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DESCRIPTION OF ORGANIZATION AND PRINCIPAL ACTIVITIES (Tables)
12 Months Ended
Dec. 31, 2023
DESCRIPTION OF ORGANIZATION AND PRINCIPAL ACTIVITIES  
Schedule of Group's VIE information

 

As of December 31, 

    

2022

    

2023

 

RMB

RMB

Cash

 

493,570,803

620,484,535

Term deposits-current

20,000,000

Restricted cash

6,229,605

145,000

Short-term investments

 

160,406,301

Accounts receivable, net

 

298,732,239

91,975,054

Inventories

 

411,954,893

386,966,973

Prepayments and other current assets

 

187,576,865

177,957,171

Amounts due from inter-companies

24,251,018

44,220,970

Total current assets

 

1,582,721,724

1,341,749,703

Term deposits-non-current

20,000,000

Property, plant and equipment, net

 

394,621,585

321,213,398

Intangible assets, net

 

1,317,785

1,102,870

Operating lease right-of-use assets

86,597,121

76,821,285

Deferred income tax assets

6,132,499

20,747,021

Other non-current assets

 

5,677,414

6,720,608

Total assets

 

2,097,068,128

1,768,354,885

Short-term bank borrowings

 

160,000,000

100,000,000

Notes payable

316,832,113

167,282,688

Accounts payable

 

459,406,790

575,235,413

Amounts due to inter-companies

 

476,120,909

467,282,009

Income taxes payable

1,501,992

1,195,114

Advances from customers

 

23,522,149

16,399,926

Deferred revenue—current

 

37,539,733

41,755,097

Accrued expenses and other current liabilities

 

175,352,229

151,286,008

Total current liabilities

 

1,650,275,915

1,520,436,255

Deferred revenue-non-current

11,429,500

13,168,111

Deferred income tax liabilities

 

1,398,279

2,362,494

Operating lease liabilities

7,569,128

280,421

Other non-current liabilities

 

13,441,382

8,968,519

Total liabilities

 

1,684,114,204

1,545,215,800

 

For the Year Ended December 31, 

    

2021

    

2022

    

2023

 

RMB

RMB

 

RMB

Revenues

 

3,768,134,434

3,187,989,945

 

2,645,570,002

Net income (loss)

 

213,848,471

(9,347,980)

 

(236,441,380)

Net cash provided by (used in) operating activities

 

354,675,219

(74,417,318)

 

93,727,586

Net cash (used in) provided by investing activities

 

(329,808,349)

455,930,283

 

82,502,334

Net cash used in financing activities

 

(20,000,000)

 

(60,000,000)

Effect of foreign currency exchange rate changes on cash and restricted cash

 

(422,991)

7,993,970

 

4,599,207

Net increase in cash and restricted cash

 

24,443,879

369,506,935

 

120,829,127

Cash and restricted cash at the beginning of the year

 

105,849,594

130,293,473

 

499,800,408

Cash and restricted cash at the end of the year

 

130,293,473

499,800,408

 

620,629,535