v3.26.3
Unaudited Condensed Financial Information of the Parent Company (Tables)
6 Months Ended 12 Months Ended
Dec. 31, 2025
Jun. 30, 2025
Unaudited Condensed Financial Information of the Parent Company [Abstract]    
Schedule of Condensed Balance Sheets

Condensed Balance Sheets

 

    June 30,
2025
    December 31,
2025
 
    (Audited)
RMB
    (Unaudited)
RMB
 
Current assets            
Cash     -       161,372  
Prepaid expenses and other current assets     -       101,811,094  
Due from related parties     -       1,500,000  
Total current assets     -       103,472,466  
                 
Non-current asset                
Investments in subsidiaries     45,921,022       -  
Total non-current asset     45,921,022       -  
                 
                 
TOTAL ASSETS     45,921,022       103,472,466  
                 
LIABILITIES AND SHAREHOLDERS’ EQUITY                
                 
Shareholders’ equity                
Class A ordinary shares (par value of US$0.00001 per share; 4,980,000,000 Class A ordinary shares authorized, 12,650,000 and 32,650,000 Class A ordinary shares issued and outstanding as of June 30, 2025 and December 31, 2025, respectively)     906       2,283  
Class B ordinary shares (par value of US$0.00001 per share; 20,000,000 Class B ordinary shares authorized, 1,300,000  Class B ordinary shares issued and outstanding as of June 30,2025 and December 31, 2025, respectively)     94       94  
Subscription receivable     (725 )     (725 )
Additional paid-in capital     185,821,560       223,691,961  
Accumulated deficit     (139,900,813 )     (120,221,148 )
Total shareholders’ equity     45,921,022       103,472,466  
TOTAL LIABILITIES AND SHAREHOLDERS’ EQUITY     45,921,022       103,472,466  

Condensed Balance Sheets

 

    As of June 30,  
    2024     2025  
    RMB     RMB  
ASSETS            
Investment in subsidiaries     22,430,461       45,921,022  
Total assets     22,430,461       45,921,022  
                 
LIABILITIES                
Investment in subsidiaries     -       -  
Total liabilities     -       -  
                 
Shareholders’ equity                
Class A ordinary shares (par value of US$0.00001 per share; 4,980,000,000 Class A ordinary shares authorized, 8,700,000 and 12,650,000 Class A ordinary shares issued and outstanding as of June 30, 2024 and 2025 respectively)     631       906  
Class B ordinary shares (par value of US$0.00001 per share; 20,000,000 Class B ordinary shares authorized, 1,300,000 Class B ordinary shares issued and outstanding as of June 30, 2024 and 2025, respectively)     94       94  
Subscription receivable     (725 )     (725 )
Additional paid-in capital     31,500,000       185,821,560  
Accumulated deficit     (9,069,539 )     (139,900,813 )
Total shareholders’ equity     22,430,461       45,921,022  
                 
TOTAL LIABILITIES AND SHAREHOLDERS’ EQITY     22,430,461       45,921,022  
Schedule of Condensed Statements of Operations and Comprehensive Income

Condensed Statements of operations and comprehensive income

 

    For the
six months ended
December 31,
 
    2024     2025  
    RMB     RMB  
    (Unaudited)     (Unaudited)  
Operating profit:            
Equity in loss of subsidiaries     (2,707,310 )     (5,385,409 )
                 
Profit before income tax expense     (2,707,310 )     (5,385,409 )
Income tax expense     -       -  
Net income     (2,707,310 )     (5,385,409 )

Condensed Statements of operations and comprehensive income

 

    For the years ended June 30,  
    2023     2024     2025  
    RMB     RMB     RMB  
Operating profit:                  
Equity in profit/(loss) of subsidiaries     7,817,760       11,209,523       (130,831,274 )
                         
Profit/(loss) before income tax expenses     7,817,760       11,209,523       (130,831,274 )
Income tax expenses     -       -       -  
Net profit/(loss)     7,817,760       11,209,523       (130,831,274 )
Schedule of Condensed Statements of Cash Flows

Condensed Statements of Cash Flows

 

    For the
six months ended
December 31,
 
    2024     2025  
    RMB     RMB  
    (Unaudited)     (Unaudited)  
             
Net cash used in operating activities             -       (56,110,016 )
Net cash provided by financing activities     -       56,271,388  
Net increase in cash and cash equivalents     -       161,372  
Cash and cash equivalents at the beginning of the periods presented     -       -  
Cash and cash equivalents at the end of the periods presented     -       161,372