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Consolidated Balance Sheets
¥ in Thousands, $ in Thousands
Dec. 31, 2023
CNY (¥)
Dec. 31, 2023
USD ($)
Dec. 31, 2022
CNY (¥)
Current assets:      
Cash and cash equivalents ¥ 21,428,902 $ 3,018,198 ¥ 24,889,000
Time deposits 100,856,034 14,205,275 84,947,679
Restricted cash 2,777,206 391,161 2,699,055
Accounts receivable, net 6,422,417 904,579 5,002,872
Inventories 695,374 97,941 993,636
Prepayments and other current assets, net 6,076,595 855,871 5,448,284
Short-term investments 4,436,057 624,806 7,622,673
Total current assets 142,692,585 20,097,831 131,603,199
Non-current assets:      
Property, equipment and software, net 8,075,044 1,137,346 6,342,330
Land use rights, net 4,075,143 573,972 4,121,767
Operating lease right-of-use assets, net 749,275 105,533 887,977
Deferred tax assets 1,560,088 219,734 1,480,789
Time deposits 1,050,000 147,889 2,973,840
Restricted cash 550 77 270
Long-term investments 21,783,187 3,068,098 18,544,358
Other long-term assets 5,939,106 836,505 6,806,455
Total non-current assets 43,232,393 6,089,154 41,157,786
Total assets 185,924,978 26,186,985 172,760,985
Current liabilities:      
Accounts payable 881,016 124,089 1,507,141
Salary and welfare payables 4,857,206 684,123 4,732,941
Taxes payable 2,571,534 362,193 2,813,096
Short-term loans 19,240,163 2,709,920 23,875,704
Contract liabilities 13,362,166 1,882,022 12,518,890
Accrued liabilities and other payables 12,670,906 1,784,660 11,122,022
Short-term operating lease liabilities 259,493 36,549 259,053
Total current liabilities 53,842,484 7,583,556 56,828,847
Non-current liabilities:      
Deferred tax liabilities 2,299,303 323,850 2,126,120
Long-term operating lease liabilities 555,829 78,287 672,640
Long-term loans 427,997 60,282 3,654,964
Other long-term liabilities 715,284 100,745 604,934
Total non-current liabilities 3,998,413 563,164 7,058,658
Total liabilities 57,840,897 8,146,720 63,887,505
Commitments and contingencies
Redeemable noncontrolling interests 115,759 16,304 136,440
Shareholders' equity:      
Ordinary shares, US$0.0001 par value: 1,000,300,000,000 shares authorized, 3,223,623,596 and 3,210,783,141 shares issued and outstanding as of December 31, 2022 and 2023, respectively 2,710 382 2,710
Additional paid-in capital 22,604,651 3,183,799 22,854,234
Treasury stock (12,694,364) (1,787,964) (10,910,754)
Statutory reserves 1,541,416 217,103 1,278,666
Accumulated other comprehensive income 616,780 86,872 431,786
Retained earnings 112,214,583 15,805,093 91,074,675
NetEase, Inc.'s shareholders' equity 124,285,776 17,505,285 104,731,317
Noncontrolling interests 3,682,546 518,676 4,005,723
Total equity 127,968,322 18,023,961 108,737,040
Total liabilities, redeemable noncontrolling interests and shareholders' equity ¥ 185,924,978 $ 26,186,985 ¥ 172,760,985