v3.26.3
CONSOLIDATED BALANCE SHEETS
Jun. 30, 2026
CNY (¥)
Jun. 30, 2026
USD ($)
Jun. 30, 2025
CNY (¥)
Current assets      
Cash ¥ 29,745,574 $ 4,383,955 ¥ 98,874,577
Restricted cash 104 16 8,204
Short-term investments 9,000,000 1,327,174 3,599,211
Notes receivable 200,000 29,476 0
Accounts receivable, net 46,142,449 6,800,555 35,852,484
Inventories, net 1,330,874 196,147 1,344,588
Loans to third parties-short term 46,358,973 6,832,467 141,564,073
Purchase advances, net 57,757,856 8,512,455 14,619,556
Contract costs, net 25,059,648 3,693,335 53,547,408
Prepaid expenses 801,617 118,140 389,216
Prepaid consideration for acquisition of noncontrolling interest 1,950,000 287,394 0
Deferred offering cost 300,000 50,000.00 2,529,724
Total Current Assets 228,970,875 33,746,128 356,157,898
Property and equipment, net 17,158,744 2,528,886 19,986,635
Construction in progress 86,366,301 12,728,818 12,000,900
Investment in unconsolidated entity, net 1,824,974 268,968  
Loans to third parties-long term 283,684,309 41,809,894 118,500,000
Operating lease right-of-use assets, net (including ¥696,851 and ¥2,481,013 ($365,656) from related parties as of June 30, 2025 and June 30, 2026, respectively) 21,441,571 3,160,097 18,975,692
Total Assets 639,446,774 94,242,791 525,621,125
Current liabilities      
Short-term bank loans 11,306,258 1,666,336 11,582,336
Accounts payable 36,902,581 5,438,767 19,398,669
Accrued payroll and employees' welfare 4,927,089 726,163 3,212,227
Taxes payable 1,481,308 218,318 795,629
Short-term borrowings - related parties 20,033,917 2,952,634 10,017,250
Operating lease liabilities - current (including ¥355,601 and ¥1,682,080 ($247,908) from related parties as of June 30, 2025 and June 30, 2026, respectively) 2,924,605 431,033 1,761,231
Total Current Liabilities 83,725,152 12,339,560 60,568,863
Operating lease liabilities - non-current (including nil and ¥1,026,433 ($151,278) from related parties as of June 30, 2025 and June 30, 2026, respectively) 3,291,220 485,066 1,081,827
Long-term borrowings - related party     10,000,000
Warrant liability - non-current     688
Total Liabilities 87,016,372 12,824,626 71,651,378
Commitments and Contingencies
Shareholders' Equity      
Additional paid-in capital 827,448,759 121,950,857 692,569,747
Statutory reserve 4,148,929 611,476 4,148,929
Accumulated deficit (292,560,687) (43,118,110) (262,900,639)
Accumulated other comprehensive income 27,133,454 3,998,976 33,493,895
Total Recon Technology, Ltd' equity 566,327,139 83,466,291 467,427,518
Non-controlling interests (13,896,737) (2,048,126) (13,457,771)
Total shareholders' equity 552,430,402 81,418,165 453,969,747
Total Liabilities and Shareholders' Equity 639,446,774 94,242,791 525,621,125
Class A ordinary shares      
Shareholders' Equity      
Common stock value [1] 142,646 21,023 101,548
Class B ordinary shares      
Shareholders' Equity      
Common stock value 14,038 2,069 14,038
Third Parties      
Current assets      
Accounts receivable, net 46,142,449 6,800,555 35,852,484
Other receivables, net 9,879,518 1,456,061 3,760,881
Current liabilities      
Other payables 3,430,099 505,534 6,154,889
Contract liabilities 1,669,736 246,089 4,719,255
Related Parties      
Current assets      
Other receivables, net 400,000 58,953 67,976
Operating lease right-of-use assets, net (including ¥696,851 and ¥2,481,013 ($365,656) from related parties as of June 30, 2025 and June 30, 2026, respectively) 2,481,013 (365,656) 696,851
Current liabilities      
Other payables 649,559 95,733 2,927,377
Contract liabilities 400,000 58,953  
Operating lease liabilities - current (including ¥355,601 and ¥1,682,080 ($247,908) from related parties as of June 30, 2025 and June 30, 2026, respectively) 1,682,080 247,908 355,601
Operating lease liabilities - non-current (including nil and ¥1,026,433 ($151,278) from related parties as of June 30, 2025 and June 30, 2026, respectively) ¥ 1,026,433 $ 151,278 ¥ 0
[1] Retrospectively restated for the 1-for-18 reverse stock split effective on May 1, 2024 and 1-for-200 reverse stock split on August 18, 2026.