C.P. Lotus Corporation reported unaudited consolidated cash flow results for the six months ended June 30, 2018. For the period, the company reported net cash generated from operating activities of RMB 189,064,000 against RMB 25,843,000 for the same period a year ago. Payment for purchases of property, plant and equipment was RMB 123,921,000 against RMB 78,839,000 for the same period a year ago.