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CONDENSED FINANCIAL INFORMATION OF THE PARENT COMPANY - Parent company statements of cash flows (Details)
12 Months Ended
Jun. 30, 2025
CNY (¥)
Jun. 30, 2025
USD ($)
Jun. 30, 2024
CNY (¥)
Jun. 30, 2023
CNY (¥)
Cash flows from operating activities:        
Net loss ¥ (43,701,277) $ (6,100,463) ¥ (51,435,840) ¥ (61,476,392)
Adjustments to reconcile net cash flows from operating activities:        
Changes in warrants liabilities (6,226) (869) 933,995 (6,116,000)
Amortization of offering cost of warrants     0 1,483,306
Provision for credit losses (2,856,803) (398,794) 4,086,505 (9,038,985)
Restricted shares issued for management and employees 10,279,881 1,435,016 22,427,682 26,191,707
Accrued interest income from loans to third parties (5,288,121) (738,193) (6,998,866) (7,997,961)
Accrued interest income from short-term investment (17,411) (2,430) (885,394) (2,901,955)
Restricted shares issued for services     1,070,143 5,805,840
Net cash used in operating activities (33,771,174) (4,714,270) (43,747,933) (51,688,331)
Cash flows from investing activities:        
Repayments of loans to third parties 100,478,982 14,026,325 117,522,129 40,113,311
Payments made for loans to third parties (140,490,800) (19,611,759) (196,437,504) (103,146,761)
Payments for short-term investments (3,581,800) (500,000) (203,481,600) (290,051,964)
Redemption of short-term investments 87,239,515 12,178,167 300,863,518 108,769,464
Net cash (used in) provided by investing activities 33,712,984 4,706,152 2,984,976 (245,224,673)
Cash flows from financing activities:        
Proceeds from sale of common share, net of issuance costs (2,529,724) (353,136) 77,711,533 28,174,993
Proceeds from sale of prefunded warrants, net of issuance costs     0 3,750,282
Redemption of warrants 0 0 (32,617,499) 0
Net cash (used in) provided by financing activities (3,273,347) (456,942) 45,024,057 56,383,273
Effect of exchange rate fluctuation on cash (8,626,292) (1,204,184) 1,722,165 27,688,659
Net increase (decrease) in cash (11,957,829) (1,669,245) 5,983,265 (212,841,072)
Cash, beginning of year 109,991,674      
Cash, end of year 98,874,577 13,802,361 109,991,674  
RECON TECHNOLOGY LTD        
Cash flows from operating activities:        
Net loss (42,588,554) (5,945,133) (49,871,259) (59,167,301)
Adjustments to reconcile net cash flows from operating activities:        
Changes in warrants liabilities (6,226) (869) 933,995 (6,116,000)
Amortization of offering cost of warrants       1,483,306
Provision for credit losses       (4,141,588)
Restricted shares issued for management and employees 10,279,881 1,435,016 22,427,682 26,191,707
Accrued interest income from loans to third parties (8,253,064) (1,152,083) (4,058,536)  
Accrued interest income from short-term investment (17,411) (2,430) (885,394)  
Restricted shares issued for services     1,070,143 5,805,840
Equity in earnings of subsidiaries and VIEs 23,597,266 3,294,051 22,311,446 25,039,453
Other current assets (89,032) (12,430) 3,743,536 (8,396,555)
Other current liabilities (261,185) (36,460) (1,474,244) (3,587,540)
Net cash used in operating activities (17,338,325) (2,420,338) (5,802,631) (22,888,678)
Cash flows from investing activities:        
Repayments of loans to third parties 100,000,000 13,959,462 75,987,831 32,413,311
Payments made for loans to third parties (21,490,800) (3,000,000) (165,837,504) (79,546,761)
Payments for short-term investments (3,581,800) (500,000) (87,206,400)  
Redemption of short-term investments 87,239,515 12,178,167    
Due from intercompany, VIEs and VIEs' subsidiaries (92,151,863) (12,863,904) (84,211,565) (86,300,464)
Net cash (used in) provided by investing activities 70,015,052 9,773,725 (261,267,638) (133,433,914)
Cash flows from financing activities:        
Proceeds from warrants issued with common share       17,493,069
Proceeds from sale of common share, net of issuance costs (2,529,724) (353,136) 77,711,533 28,174,993
Proceeds from sale of prefunded warrants, net of issuance costs       3,750,282
Redemption of warrants     (32,617,499)  
Net cash (used in) provided by financing activities (2,529,724) (353,136) 45,094,034 49,418,344
Effect of exchange rate fluctuation on cash (7,681,843) (1,072,344) 2,302,664 46,211,878
Net increase (decrease) in cash 42,465,160 5,927,907 (219,673,571) (60,692,370)
Cash, beginning of year 16,473,018 2,299,545 236,146,589 296,838,959
Cash, end of year ¥ 58,938,178 $ 8,227,452 ¥ 16,473,018 ¥ 236,146,589