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CONSOLIDATED STATEMENTS OF CHANGES IN STOCKHOLDERS' EQUITY
Ordinary Shares
Class A ordinary shares
CNY (¥)
shares
Ordinary Shares
Class B ordinary shares
CNY (¥)
shares
Additional Paid-in Capital
CNY (¥)
Statutory Reserve
CNY (¥)
Accumulated deficit
CNY (¥)
Accumulated Other Comprehensive income
CNY (¥)
Recon Technology Ltd Equity
CNY (¥)
Non-controlling Interest
CNY (¥)
CNY (¥)
USD ($)
Opening Balance at Jun. 30, 2022 ¥ 19,461 [1] ¥ 2,604 [1] ¥ 516,426,799 [1] ¥ 4,148,929 ¥ (111,273,525) ¥ 11,307,461 ¥ 420,631,729 ¥ (7,746,968) ¥ 412,884,761 $ 57,636,491
Opening Balance (in shares) at Jun. 30, 2022 1,704,766 [2] 4,100,000                
Stock issuance ¥ 6,091 [1]   28,168,902 [1]       28,174,993   28,174,993 3,933,077
Stock issuance (in shares) [2] 490,417                  
Restricted shares issued for services ¥ 690 [1]   5,805,150 [1]       5,805,840   5,805,840 810,464
Restricted shares issued for services (in shares) [2] 55,556                  
Proceeds from Pre-Funded warrants     3,750,282 [1]       3,750,282   3,750,282 523,519
Restricted shares issued for management ¥ 690 [1] ¥ 2,089 [1] 26,188,928 [1]       26,191,707   26,191,707 3,656,221
Restricted shares issued for management (in shares) (55,556) [2] 3,000,000                
Net loss for the year         (59,167,301)   (59,167,301) (2,309,091) (61,476,392) (8,581,773)
Foreign currency translation adjustment           23,819,712 23,819,712   23,819,712 3,325,104
Ending Balance at Jun. 30, 2023 ¥ 26,932 [1] ¥ 4,693 [1] 580,340,061 [1] 4,148,929 (170,440,826) 35,127,173 449,206,962 (10,056,059) 439,150,903 61,303,103
Ending Balance (in shares) at Jun. 30, 2023 2,306,295 [2] 7,100,000                
Stock issuance ¥ 71,799 [1]   77,639,734 [1]       77,711,533   77,711,533 10,848,112
Stock issuance (in shares) [2] 5,555,559                  
Restricted shares issued for services     1,070,143 [1]       1,070,143   1,070,143 149,386
Proceeds from Pre-Funded warrants | ¥ [1] ¥ 859   (859)              
Proceeds from Pre-Funded warrants (in shares) [2] 65,278                  
Restricted shares issued for management ¥ 44 [1]   22,427,638 [1]       22,427,682   22,427,682 3,130,784
Restricted shares issued for management (in shares) [2] 60,827                  
Net loss for the year         (49,871,259)   (49,871,259) (1,564,581) (51,435,840) (7,180,166)
Foreign currency translation adjustment           2,009,476 2,009,476   2,009,476 280,512
Ending Balance at Jun. 30, 2024 ¥ 99,634 [1] ¥ 4,693 [1] 681,476,717 [1] 4,148,929 (220,312,085) 37,136,649 502,554,537 (11,620,640) 490,933,897 68,531,731
Ending Balance (in shares) at Jun. 30, 2024 7,987,959 [2] 7,100,000                
Capital contribution in non-controlling interests     100,000 [1]       100,000   100,000 13,959
Additional paid-in capital from acquisition of minority interests | ¥     724,408 [1]       724,408 724,408    
Restricted shares issued for management ¥ 1,914 [1] ¥ 9,345 [1] 10,268,622 [1]       10,279,881   10,279,881 1,435,016
Restricted shares issued for management (in shares) 2,639,467 [2] 12,900,000                
Net loss for the year         (42,588,554)   (42,588,554) (1,112,723) (43,701,277) (6,100,463)
Foreign currency translation adjustment           (3,642,754) (3,642,754)   (3,642,754) (508,509)
Ending Balance at Jun. 30, 2025 ¥ 101,548 [1] ¥ 14,038 [1] ¥ 692,569,747 [1] ¥ 4,148,929 ¥ (262,900,639) ¥ 33,493,895 ¥ 467,427,518 ¥ (13,457,771) ¥ 453,969,747 $ 63,371,734
Ending Balance (in shares) at Jun. 30, 2025 10,627,426 [2] 20,000,000                
[1] Retrospectively restated for the 1-for-18 reverse stock split on May 1, 2024 and change in capital structure on March 29, 2024.
[2] Retrospectively restated for the 1-for-18 reverse stock split on May 1, 2024 and change in capital structure on March 29, 2024.