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Condensed Parent Company Information - Schedule of Condensed Balance Sheets (Details)
¥ in Thousands, $ in Thousands
Feb. 28, 2025
CNY (¥)
Feb. 28, 2025
USD ($)
Feb. 29, 2024
CNY (¥)
Feb. 28, 2023
CNY (¥)
Current assets        
Cash and cash equivalents ¥ 210,771 $ 28,941 ¥ 180,198 ¥ 175,696
Short-term investments under fair value 37,953 5,211 82,791  
Long-term investments under fair value, current 3,584 492 14,122  
Total current assets 296,978 40,777 322,579  
Non-current assets        
Restricted cash 128,028 17,580 122,048 1,362
Long-term investment under fair value, non-current 99,571 13,672 94,817  
Other non-current assets 2,593 359 2,429  
Total non-current assets 434,164 59,618 351,581  
TOTAL ASSETS 731,142 100,395 674,160  
Accrued expenses and other current liabilities 71,888 9,871 66,040  
TOTAL LIABILITIES 225,989 31,032 148,016  
Ordinary Shares (US$0.0001 par value; 500,000,000 shares authorized, 21,163,416 and 22,600,576 shares issued and outstanding as of February 29, 2024 and February 28, 2025, respectively) 15 2 14  
Additional paid-in capital 747,376 102,622 783,313  
Treasury shares (2,938,567 and 2,363,567 shares as of February 29, 2024 and February 28, 2025, respectively) (45,115) (6,195) (56,090)  
Accumulated deficit (276,538) (37,971) (277,339)  
Accumulated other comprehensive income 28,873 3,965 25,105  
Shareholders’ equity 454,611 62,423 475,003  
TOTAL LIABILITIES AND EQUITY 731,142 100,395 674,160  
Four Seasons Education (Cayman) Inc.        
Current assets        
Cash and cash equivalents 102,743 14,108 73,528 ¥ 65,987
Short-term investments under fair value 37,953 5,211 82,791  
Long-term investments under fair value, current 3,584 492 14,122  
Amounts due from subsidiaries and consolidated VIEs 1,460 200 4  
Other current assets 2,858 393 1,334  
Total current assets 148,598 20,404 171,779  
Non-current assets        
Restricted cash 127,449 17,500 121,472  
Long-term investment under fair value, non-current 99,571 13,672 94,817  
Investments in subsidiaries and consolidated VIEs 117,724 16,165 124,990  
Total non-current assets 344,744 47,337 341,279  
TOTAL ASSETS 493,342 67,741 513,058  
Accrued expenses and other current liabilities 1,043 144 1,446  
Amounts due to subsidiaries and consolidated VIEs 36,432 5,002 35,322  
Other liabilities 1,256 172 1,287  
TOTAL LIABILITIES 38,731 5,318 38,055  
Ordinary Shares (US$0.0001 par value; 500,000,000 shares authorized, 21,163,416 and 22,600,576 shares issued and outstanding as of February 29, 2024 and February 28, 2025, respectively) 15 2 14  
Additional paid-in capital 747,376 102,622 783,313  
Treasury shares (2,938,567 and 2,363,567 shares as of February 29, 2024 and February 28, 2025, respectively) (45,115) (6,195) (56,090)  
Accumulated deficit (276,538) (37,971) (277,339)  
Accumulated other comprehensive income 28,873 3,965 25,105  
Shareholders’ equity 454,611 62,423 475,003  
TOTAL LIABILITIES AND EQUITY ¥ 493,342 $ 67,741 ¥ 513,058