7. OTHER NON-CURRENT ASSETS
Other non-current assets consisted of the following:
As of December 31,
2024
2025
RMB
Deposits
6,531,928
16,935,994
Prepayment for property, plant and equipment
8,683,050
8,423,185
Prepayment for insurance
4,103,681
10,628,935
Other non-current assets
19,318,659
35,988,114
The entire disclosure for other non-current assets.
No definition available.