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CONDENSED FINANCIAL INFORMATION OF THE PARENT COMPANY - Parent company statements of cash flows (Details)
6 Months Ended
Dec. 31, 2024
CNY (¥)
Dec. 31, 2024
USD ($)
Dec. 31, 2023
CNY (¥)
CASH FLOWS FROM OPERATING ACTIVITIES:      
Net income (loss) ¥ (20,729,599) $ (2,839,942) ¥ (23,107,851)
Adjustments to reconcile net cash flows from operating activities:      
Provision for credit losses 870,714 119,287 1,553,364
Restricted shares issued for management and employees 5,353,151 733,376 2,866,560
Accrued interest income from loans to third parties (6,779,697) (928,815) (4,415,298)
Accrued interest income from short-term investment 0 0 (2,352,250)
Restricted shares issued for services 0 0 1,070,143
Net cash used in operating activities (12,666,780) (1,735,341) (6,609,801)
Cash flows from investing activities:      
Repayments from loans to third parties 2,904,352 397,895 44,613,948
Payments made for loans to third parties (36,897,900) (5,054,992) (16,600,000)
Payments for short-term investments 0 0 (131,598,400)
Redemption of short-term investments 88,892,092 12,178,167 180,338,865
Net cash generated by investing activities 49,105,291 6,727,397 61,558,080
Cash flows from financing activities:      
Redemption of warrants 0 0 (31,866,604)
Net cash used in financing activities (1,643,569) (225,168) (32,007,826)
Effect of exchange rate fluctuation on cash (343,038) (46,996) (5,945,117)
Net increase (decrease) in cash 34,451,904 4,719,892 16,995,336
Cash at beginning of period 109,991,674    
Cash at end of period 145,284,391 19,903,880  
RECON TECHNOLOGY LTD      
CASH FLOWS FROM OPERATING ACTIVITIES:      
Net income (loss) (20,588,334) (2,820,590) (22,554,914)
Adjustments to reconcile net cash flows from operating activities:      
Loss in fair value changes of warrants liability 10,327 1,415 10,461,075
Restricted shares issued for management and employees 5,353,151 733,379 2,866,560
Accrued interest income from loans to third parties (5,381,364) (737,244) (3,088,457)
Accrued interest income from short-term investment     (2,352,250)
Restricted shares issued for services     1,070,144
Equity in earnings of subsidiaries and VIEs 14,461,878 1,981,269 7,954,486
Other current assets 78,508 10,756 7,289,074
Other current liabilities (1,191,370) (163,217) (2,516,342)
Net cash used in operating activities (7,257,204) (994,232) (870,624)
Cash flows from investing activities:      
Repayments from loans to third parties     24,849,650
Payments made for loans to third parties (21,897,900) (3,000,000)  
Payments for short-term investments     (113,598,400)
Redemption of short-term investments 88,892,092 12,178,167  
Due from intercompany, VIEs and VIEs' subsidiaries (1,768,224) (242,246) (64,916,652)
Net cash generated by investing activities 65,225,968 8,935,921 (153,665,402)
Cash flows from financing activities:      
Proceeds from sale of common share, net of issuance costs (810,082) (110,981)  
Redemption of warrants     (31,866,604)
Net cash used in financing activities (810,082) (110,981) (31,866,604)
Effect of exchange rate fluctuation on cash 1,297,437 177,748 (15,086,688)
Net increase (decrease) in cash 58,456,119 8,008,456 (201,489,318)
Cash at beginning of period 16,473,018 2,256,794 236,146,589
Cash at end of period ¥ 74,929,137 $ 10,265,250 ¥ 34,657,271