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Organization and Business Description - Schedule of Carrying Amounts of the Assets, Liabilities and the Results of Operations of the VIE and VIE’s Subsidiaries (Details) - VIE [Member] - CNY (¥)
6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Dec. 31, 2024
Assets      
Cash ¥ 1,057,392   ¥ 1,112,661
Accounts receivable, net   1,492,889
Short-term prepayments 2,292,199   397,178
Short-term investments 4,565,436   4,526,957
Prepaid expenses and other current assets 5,055,230   6,382,949
Amount due from the Company and its subsidiaries [1] 22,547,320   27,870,449
Total current assets 35,517,577   41,783,083
Right-of-use assets, net 530,549   764,839
Deferred tax assets, net 490,538   490,538
Property and equipment, net 138,565   147,260
Long-term prepayments   1,443,396
Total non-current assets 1,159,652   2,846,033
Total assets 36,677,229   44,629,116
Liabilities      
Accounts payable 4,375,827   5,918,710
Salary and welfare payable 600,216   690,339
Contract liabilities 3,862,705   6,064,243
Income taxes payable 5,021,668   5,120,578
Value added tax (“VAT”) and other tax payable 3,937,133   3,937,133
Other payables 1,789,093   2,028,391
Lease liabilities, current 397,617   432,455
Total current liabilities 19,984,259   24,191,849
Non-current liabilities:      
Lease liabilities, noncurrent 100,873   300,324
Total non-current liabilities 100,873   300,324
Total liabilities 20,085,132   ¥ 24,492,173
Revenue 5,104,599 ¥ 17,952,761  
Net income (loss) (2,021,261) 6,815,832  
Net cash provided by (used in) operating activities (3,775,518) 8,429,649  
Net cash used in investing activities 3,720,249 (5,997,820)  
Net cash provided by financing activities  
[1] As of December 31, 2024 and June 30, 2025, amounts due from the Company and its subsidiaries represent the receivables that VIEs had with the Company and its consolidation subsidiaries, which would be eliminated upon consolidation.