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Schedule of Supplemental Reverse Recapitalization (Details)
¥ in Thousands
12 Months Ended
Dec. 31, 2023
CNY (¥)
Schedule Of Supplemental Reverse Recapitalization  
Cash held by Prime Impact and cash related to Prime Impact trust account ¥ 360,745
Less redemptions (331,574)
Cash related to trust account, net of redemptions 29,171
Cash consideration for the subscription of shares by the Sponsor 14,787
Cash available for payment of costs 43,958
Less cash paid associated with transaction costs allocated to Reverse Recapitalization (33,031)
Less cash paid on behalf of the Company for professional expenses (2,318)
Proceeds from PIPE financing – Prime Impact Cayman LLC 8,609
Proceeds from PIPE financing – World Dynamic Limited 93,436
Proceeds from PIPE financing – Goldrock Holdings Limited 35,863
Total contributions from PIPE financing 137,908
Less cash payment associated with transaction costs allocated to PIPE (4,953)
Net contributions from Reverse Recapitalization and PIPE financing ¥ 132,955