{"url_path":"/sec/ccgww/10-k/2026/item-16g","section_key":"item-16g","section_title":"Item 16G CORPORATE GOVERNANCE**","topic":"sec","document":{"doc_type":"20-F","doc_date":"2026-04-27","source_url":"https://www.sec.gov/Archives/edgar/data/1965473/0001493152-26-019130-index.html","accession_number":"0001493152-26-019130","cik":"0001965473","ticker":"CCG","issuer_name":"Cheche Group Inc.","edgar_url":"https://www.sec.gov/Archives/edgar/data/1965473/0001493152-26-019130-index.html","primary_entity_key":"0001965473","primary_entity_name":"Cheche Group Inc."},"word_count":183,"has_tables":true,"body_markdown":"**ITEM\n16G. CORPORATE GOVERNANCE**\n\n \n\nAs\na Cayman Islands company listed on Nasdaq, we are subject to the Nasdaq corporate governance listing standards. However, the Nasdaq Stock\nMarket Rules permit a foreign private issuer like us to follow the corporate governance practices of its home country. Certain corporate\ngovernance practices in the Cayman Islands, which is our home country, differ significantly from requirements for companies incorporated\nin other jurisdictions such as the United States. To the extent that we choose to follow home country practice with respect to corporate\ngovernance matters, our shareholders may be afforded less protection than they otherwise would under rules and regulations applicable\nto U.S. domestic issuers. See “Item 3. Key Information—D. Risk Factors—Risks Related to Ownership of Our Ordinary Shares—As\na company incorporated in the Cayman Islands, we are permitted to adopt certain home country practices in relation to corporate governance\nmatters that differ significantly from the Nasdaq Stock Market corporate governance listing standards; these practices may afford less\nprotection to shareholders than they would enjoy if we complied fully with the Nasdaq Stock Market corporate governance listing standards.”"}