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Parent company only condensed financial information - Schedule of Condensed Statements of Cash Flows (Details)
¥ in Millions, $ in Millions
12 Months Ended
Mar. 31, 2025
CNY (¥)
Mar. 31, 2025
USD ($)
Mar. 31, 2024
CNY (¥)
Mar. 31, 2023
CNY (¥)
Net cash provided by operating activities ¥ 163,509 $ 22,532 ¥ 182,593 ¥ 199,752
Net cash (used in) provided by investing activities (185,415) (25,551) (21,824) (135,506)
Issuance of ordinary shares 10 1 843 11
Repurchase of ordinary shares (86,662) (11,942) (88,745) (74,746)
Repayment of unsecured senior notes (16,220) (2,235) (5,013) 0
Repayment of bank borrowings (43,678) (6,019) (13,092) (11,448)
Proceeds from unsecured senior notes, net of debt issuance cost 35,979 4,958 0 0
Proceeds from convertible unsecured senior notes, net of debt issuance cost 35,665 4,915 0 0
Payments for capped call transactions (4,612) (636) 0 0
Net cash (used in) provided by financing activities (76,215) (10,502) (108,244) (65,619)
Effect of exchange rate changes on cash and cash equivalents, restricted cash and escrow receivables 965 133 4,389 3,530
Increase (Decrease) in cash and cash equivalents, restricted cash and escrow receivables (97,156) (13,388) 56,914 2,157
Cash and cash equivalents, restricted cash and escrow receivables at beginning of year 286,424 39,470 229,510 227,353
Cash and cash equivalents, restricted cash and escrow receivables at end of year 189,268 $ 26,082 286,424 229,510
Parent Company [Member]        
Net cash provided by operating activities 51,728   93,308 71,885
(Advances to and investments in) Repayments from subsidiaries and VIEs, and others (54,809)   11,838 (12,290)
Net cash (used in) provided by investing activities (54,809)   11,838 (12,290)
Issuance of ordinary shares 10   843 11
Advances from subsidiaries 73,526   6,195 15,296
Repurchase of ordinary shares (86,662)   (88,745) (74,746)
Dividend distribution (29,077)   (17,946) 0
Repayment of unsecured senior notes (16,220)   (5,013) 0
Repayment of bank borrowings (6,067)   0 0
Proceeds from unsecured senior notes, net of debt issuance cost 35,979   0 0
Proceeds from convertible unsecured senior notes, net of debt issuance cost 35,665   0 0
Payments for capped call transactions (4,612)   0 0
Net cash (used in) provided by financing activities 2,542   (104,666) (59,439)
Effect of exchange rate changes on cash and cash equivalents, restricted cash and escrow receivables 43   58 33
Increase (Decrease) in cash and cash equivalents, restricted cash and escrow receivables (496)   538 189
Cash and cash equivalents, restricted cash and escrow receivables at beginning of year 1,114   576 387
Cash and cash equivalents, restricted cash and escrow receivables at end of year ¥ 618   ¥ 1,114 ¥ 576