(a) | Cash and cash equivalents in the consolidated statements of cash flows as of December 31, 2015, 2016 and 2017 are as follows: |
2015 | 2016 | 2017 | ||||||||||
Cash and due from banks |
22,037,236 | 19,196,875 | 22,682,652 | |||||||||
Adjustments: |
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Due from financial institutions with a maturity over three months from date of acquisition |
(4,590,643 | ) | (4,458,286 | ) | (3,010,471 | ) | ||||||
Restricted due from banks |
(12,839,342 | ) | (9,106,053 | ) | (13,435,531 | ) | ||||||
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4,607,251 | 5,632,536 | 6,236,650 | ||||||||||
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