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Cheche Group Inc. Class A Ordinary Shares
Cheche Group Inc. Class A Ordinary Shares

Cheche Group Inc. Class A Ordinary Shares (CCG)

24HHigh$17.0124HLow$13.31
$17.01
+0.26%

Last updated: 2026-08-15 10:26:45

K-Line Chart, actual market data is subject to the trading page.

Key Data

Prev. Open
$13.49
Prev. Close
$17.01
Prev. Day's Range
$13.31 - $17.01
52W Range
$10.20 - $53.90
Trading Volume
34.858K
MC
$42.617M
P/E Ratio
--
EPS
$-1.14

Company Overview

NASDAQ

Cheche Group Inc. (CCG) is a leading financial services entity focused on enhancing consumer access to credit through cutting-edge technology solutions. With a strong commitment to responsible lending practices, Cheche fosters deep customer engagement while adapting to the evolving fintech landscape. The company's expanding customer base positions it favorably to capitalize on emerging market trends, presenting a compelling investment opportunity for institutional investors looking to diversify their portfolios in the innovative financial technology sector.

SectorCOMMUNICATION SERVICES
IndustryINTERNET CONTENT & INFORMATION
HeadquartersDESHENG HOPSON FORTUNE PLAZA, BEIJING, CHINA, 100088
CountryChina
Listing Date2020-11-02
Fiscal Year Ended2026-03-31
Shares Outstanding1.974M
CIK Code1965473

Financial Metrics

Indicator2025-06-302025-03-312024-12-312024-09-30
Income$674.326M$674.326M$983.636M$850.517M
Operating Expenses$641.162M$641.162M$932.013M$808.079M
Net Income-$12.784M-$12.784M-$10.415M$4.051M
Net Profit Margin-1.9%-1.9%-1.1%0.5%
Earnings Per Share--------
EBITDA-$12.222M-$12.222M--$4.137M
Effective Tax Rate0.8%0.8%---2.3%

FAQ

CCG operates in the [sector and industry], focusing on [core business activities]. The company specializes in [specific products/services] and generates revenue primarily through [main revenue drivers]. This strategic focus positions CCG uniquely among its competitors in the industry.
CCG’s revenue is driven by [main revenue drivers]. These include [key products/services offered] and [additional relevant factors]. The company’s approach to scaling and retaining customers has been central to its business model within the [sector/industry].
Investing in CCG carries risks such as [specific risks], competitive pressures from [specific competitors], and potential market conditions impacting the [sector/industry]. Investors should consider these factors alongside the company’s growth potential.
CCG [does/does not] pay dividends. The company’s dividend policy aligns with its financial strategy and reinvestment goals. Investors may want to review recent dividend history to assess income potential, if applicable.
CCG competes with [key competitors], which operate within the same [industry]. The company differentiates itself through [specific advantages, products, or strategies]. Understanding its competitive landscape is crucial for evaluating its market position.
CCG’s growth opportunities may include [key opportunities], such as expansion into [specific markets] or innovation in [specific products/services]. However, these potential positives should be weighed against industry risks and competitive dynamics.
CCG’s valuation can be compared using metrics like P/E ratios, market cap, and growth forecasts relative to competitors in the [industry]. Investors may want to study how these values reflect CCG’s potential and risks in the market.
CCG’s stock outlook can be influenced by the overall performance of the [sector/industry], including trends, regulatory changes, and macroeconomic factors. Evaluating industry conditions can provide context for assessing CCG's prospects.
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