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Consolidated Statements of Changes in Shareholders’ Equity/ (Deficit)
Class A
Ordinary shares
CNY (¥)
shares
Class A
Ordinary shares
USD ($)
shares
Class A
shares
Class B
Ordinary shares
CNY (¥)
shares
Class B
Ordinary shares
USD ($)
shares
Class B
shares
Additional paid-in capital
CNY (¥)
Additional paid-in capital
USD ($)
Subscription receivable
CNY (¥)
Subscription receivable
USD ($)
Statutory reserves
CNY (¥)
Statutory reserves
USD ($)
(Accumulated deficit)/Retained earnings
CNY (¥)
(Accumulated deficit)/Retained earnings
USD ($)
Accumulated other comprehensive income (loss)
CNY (¥)
Accumulated other comprehensive income (loss)
USD ($)
Total Jayud Global Logistics Limited shareholders’ equity
CNY (¥)
Total Jayud Global Logistics Limited shareholders’ equity
USD ($)
Non-controlling interests
CNY (¥)
Non-controlling interests
USD ($)
CNY (¥)
shares
USD ($)
shares
Balance (in Dollars) ¥ 6,880 [1]     ¥ 4,087 [1]     ¥ 12,831,938     ¥ 1,468,823   ¥ (8,106,381)   ¥ 8,442   ¥ 6,213,789   ¥ (77,336)   ¥ 6,136,453  
Balance at Dec. 31, 2020 ¥ 6,880 [1]     ¥ 4,087 [1]     12,831,938     1,468,823   (8,106,381)   8,442   6,213,789   (77,336)   6,136,453  
Balance (in Shares) at Dec. 31, 2020 | shares [1] 10,790,400 10,790,400   6,409,600,000,000 6,409,600,000,000                                  
Provision for statutory reserve             979,039   (979,039)          
Net income (loss)               10,305,308     10,305,308   (81,640)   10,223,668  
Capital injection         400,000           400,000     400,000  
Acquisition of non-controlling interest         (41,732)           (41,732)   41,732    
Foreign currency translation                 10,158   10,158     10,158  
Balance at Dec. 31, 2021 ¥ 6,880 [1]     ¥ 4,087 [1]     13,190,206     2,447,862   1,219,888   18,600   16,887,523   (117,244)   16,770,279  
Balance (in Shares) at Dec. 31, 2021 | shares [1] 10,790,400 10,790,400   6,409,600,000,000 6,409,600,000,000                                  
Balance (in Dollars) ¥ 6,880 [1]     ¥ 4,087 [1]     13,190,206     2,447,862   1,219,888   18,600   16,887,523   (117,244)   16,770,279  
Provision for statutory reserve             2,203,279   (2,203,279)          
Issuance of new shares to third party investors ¥ 1,393 [1]     [1]     34,821,607   (34,823,000)              
Issuance of new shares to third party investors (in Shares) | shares [1] 2,000,000 2,000,000                                    
Issuance of new shares to service providers ¥ 557 [1]     [1]               557     557  
Issuance of new shares to service providers (in Shares) | shares [1] 800,000 800,000                                    
Capital injection by non-controlling interest                     200,000   200,000  
Dividend distribution               (11,931,000)     (11,931,000)     (11,931,000)  
Net income (loss)                 3,888,723     3,888,723   (2,510,826)   1,377,897  
Capital injection         24,680,000             24,680,000     24,680,000  
Foreign currency translation                 (200,146)   (200,146)       (200,146)  
Balance at Dec. 31, 2022 ¥ 8,830 [1]     ¥ 4,087 [1]     72,691,813   (34,823,000)   4,651,141   (9,025,668)   (181,546)   33,325,657   (2,428,070)   ¥ 30,897,587  
Balance (in Shares) at Dec. 31, 2022 | shares 13,590,400 [1] 13,590,400 [1] 13,590,400 6,409,600,000,000 [1] 6,409,600,000,000 [1] 6,409,600                             6,409,600 6,409,600
Balance (in Dollars) ¥ 8,830 [1]     ¥ 4,087 [1]     72,691,813   (34,823,000)   4,651,141   (9,025,668)   (181,546)   33,325,657   (2,428,070)   ¥ 30,897,587  
Provision for statutory reserve             (4,148,200)   4,148,200          
Issuance of new shares - IPO ¥ 957 [1]     [1]     38,309,168             38,310,125       38,310,125  
Issuance of new shares - IPO (in Shares) | shares [1] 1,352,223 1,352,223                                    
Reorganization payment           (35,000,000)           (35,000,000)     (35,000,000)  
Funds received from share issued in 2022           34,823,000         34,823,000     34,823,000  
Transfer of deferred offering cost upon completion of IPO         (15,938,208)           (15,938,208)       (15,938,208)  
Issuance of warrant         360,874           360,874       360,874  
Capital injection by non-controlling interest                             2,450,000   2,450,000  
Net income (loss)               (72,576,740)     (72,576,740)   (7,698,604)   (80,275,344) $ (11,334,004)
Foreign currency translation                 (1,360,107)   (1,360,107)     (1,360,107)  
Balance at Dec. 31, 2023 ¥ 9,787 [1] $ 1,382 [1]   ¥ 4,087 [1] $ 577 [1]   60,423,647 $ 8,531,160 502,941 $ 71,010 (77,454,208) $ (10,935,689) (1,541,653) $ (217,665) (18,055,399) $ (2,549,225) (7,676,674) $ (1,083,863) (25,732,073) (3,633,088)
Balance (in Shares) at Dec. 31, 2023 | shares 14,942,623 [1] 14,942,623 [1] 14,942,623 6,409,600,000,000 [1] 6,409,600,000,000 [1] 6,409,600                                
Balance (in Dollars) ¥ 9,787 [1] $ 1,382 [1]   ¥ 4,087 [1] $ 577 [1]   ¥ 60,423,647 $ 8,531,160 ¥ 502,941 $ 71,010 ¥ (77,454,208) $ (10,935,689) ¥ (1,541,653) $ (217,665) ¥ (18,055,399) $ (2,549,225) ¥ (7,676,674) $ (1,083,863) ¥ (25,732,073) $ (3,633,088)
[1] Ordinary shares, additional paid-in capital and share data have been retroactively restated to give effect to the reverse recapitalization completed on September 6, 2022 (Note 1(b)).