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CONSOLIDATED BALANCE SHEETS
Jun. 30, 2023
CNY (¥)
Jun. 30, 2023
USD ($)
Jun. 30, 2022
CNY (¥)
Current assets      
Cash ¥ 104,125,800 $ 14,359,604 ¥ 316,974,857
Restricted cash 731,545 100,885 723,560
Short-term investments 184,200,000 25,400,000 0
Notes receivable 3,742,390 516,099 10,828,308
Accounts receivable, net 27,453,415 3,785,999 22,577,980
Inventories, net 6,330,701 873,044 3,894,369
Other receivables, net 2,185,733 301,427 5,501,833
Loans to third parties 123,055,874 16,970,181 50,383,822
Purchase advances, net 2,680,456 369,652 178,208
Contract costs, net 49,572,685 6,836,386 33,858,820
Prepaid expenses 350,119 48,284 420,284
Prepaid expenses - related parties     275,000
Total current assets 504,413,173 69,561,759 445,617,041
Property and equipment, net 24,752,864 3,413,576 25,474,162
Construction in progress     239,739
Intangible assets, net     5,950,000
Long-term other receivables, net 3,640 502 1,564,381
Goodwill     4,730,002
Operating lease right-of-use assets (including ¥765,241 and ¥335,976 ($46,333) from a related party as of June 30, 2022 and 2023, respectively) 2,654,900 366,127 6,666,759
Total Assets 531,824,577 73,341,964 490,242,084
Current liabilities      
Short-term bank loans 12,451,481 1,717,138 10,000,000
Accounts payable 10,791,721 1,488,246 16,739,989
Other payables 5,819,010 802,478 3,533,918
Other payable- related parties 2,592,395 357,508 2,240,135
Contract liabilities 2,748,365 379,017 2,001,277
Accrued payroll and employees' welfare 2,382,516 328,564 2,250,547
Taxes payable 1,163,006 160,386 2,210,958
Short-term borrowings - related parties 20,018,222 2,760,639 9,009,156
Long-term borrowings - related party - current portion     999,530
Operating lease liabilities - current (including ¥429,265 and ¥335,976 ($46,333) from a related party as of June 30, 2022 and 2023, respectively) 3,066,146 422,841 3,892,774
Total Current Liabilities 61,032,862 8,416,817 52,878,284
Operating lease liabilities - non-current (including ¥335,976 and ¥nil ($nil) from a related party as of June 30, 2022 and 2023, respectively) 25,144 3,468 2,184,635
Long-term borrowings - related party     5,511,076
Contract liabilities - non-current     106,000
Warrant liability 31,615,668 4,360,000 16,677,328
Total Liabilities 92,673,674 12,780,285 77,357,323
Commitments and Contingencies
Equity      
Additional paid-in capital [1] 580,340,061 80,032,554 516,426,799
Statutory reserve 4,148,929 572,163 4,148,929
Accumulated deficit (170,440,826) (23,504,865) (111,273,525)
Accumulated other comprehensive income 35,127,173 4,844,259 11,307,461
Total shareholders' equity 449,206,962 61,948,472 420,631,729
Non-controlling interests (10,056,059) (1,386,793) (7,746,968)
Total equity 439,150,903 60,561,679 412,884,761
Total Liabilities and Equity 531,824,577 73,341,964 490,242,084
Class A ordinary shares      
Equity      
Common stock value [1] 26,932 3,714 19,461
Class B ordinary shares      
Equity      
Common stock value [1] ¥ 4,693 $ 647 ¥ 2,604
[1] Retrospectively restated for the 1-for-18 reverse stock split on May 1, 2024 and change in capital structure on March 29, 2024.