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Organization and Nature of Operations (Tables)
12 Months Ended
Dec. 31, 2023
Organization and Nature of Operations  
Schedule of major subsidiaries and VIEs

The major subsidiaries and the VIEs through which the Company conducts its business operations as of December 31, 2023 are described below:

    

Place and year of

Major Subsidiaries

Incorporation

Guangzhou Boguan Telecommunication Technology Co., Ltd. (“Boguan”)

 

Guangzhou, China 2003

NetEase (Hangzhou) Network Co., Ltd. (“NetEase Hangzhou”)

 

Hangzhou, China 2006

Hong Kong NetEase Interactive Entertainment Limited

Hong Kong, China 2007

    

Place and year of

Major VIEs and VIEs’ subsidiaries

Incorporation

Guangzhou NetEase Computer System Co., Ltd. (“Guangzhou NetEase”)

 

Guangzhou, China 1997

Hangzhou NetEase Leihuo Technology Co., Ltd. (“Hangzhou Leihuo”, formerly known as Hangzhou NetEase Leihuo Network Co., Ltd.)

 

Hangzhou, China 2009

Schedule of combined financial information of the VIEs included in the accompanying consolidated financial statements of the Group

The following combined financial information of the VIEs was included in the accompanying consolidated financial statements of the Group as follows (in thousands):

December 31, 

December 31, 

    

2022

    

2023

RMB

RMB

Cash and cash equivalents

2,303,280

1,802,256

Time deposits

400,000

420,000

Restricted cash

2,654,971

2,701,083

Accounts receivable, net

3,542,272

4,663,331

Inventories

67,572

36,908

Prepayments and other current assets, net

1,867,110

1,765,209

Short-term investments

73,984

73,904

Amounts due from Group companies

9,917,091

9,192,463

Total current assets

20,826,280

20,655,154

Property, equipment and software, net

78,666

52,212

Operating lease right-of-use assets, net

54,653

53,686

Deferred tax assets

155,595

148,847

Restricted cash

200

500

Long-term investments

885,372

1,212,804

Other long-term assets

164,968

203,744

Total non-current assets

1,339,454

1,671,793

Total assets

 

22,165,734

 

22,326,947

Accounts payable

802,717

265,137

Salary and welfare payables

155,478

114,794

Taxes payable

41,352

142,769

Short-term loans

422

16,095

Contract liabilities

11,465,101

12,401,426

Accrued liabilities and other payables

3,809,049

3,689,885

Short-term operating lease liabilities

20,690

22,413

Amounts due to Group companies

3,937,784

2,822,751

Total current liabilities

20,232,593

19,475,270

Long-term operating lease liabilities

34,291

30,278

Other long-term payable

263,373

554,648

Total non-current liabilities

297,664

584,926

Total liabilities

 

20,530,257

 

20,060,196

For the year ended December 31, 

    

2021

    

2022

    

2023

RMB

RMB

RMB

Net revenues

 

 

 

Third-party revenues

74,406,521

82,549,444

90,054,544

Intra-Group revenues

808,648

817,962

734,857

Total net revenues

75,215,169

83,367,406

90,789,401

Cost of revenues and operating expenses

Third-party cost of revenues and operating expenses

(17,651,675)

(18,358,287)

(17,468,565)

Intra-Group cost of revenues and operating expenses related to technical consulting and related service

(56,822,482)

(64,777,586)

(72,992,568)

Other intra-Group cost of revenues and operating expenses

(168,850)

(185,608)

(23,546)

Total cost of revenues and operating expenses

(74,643,007)

(83,321,481)

(90,484,679)

Net income

 

624,299

 

(81,329)

 

328,357

For the year ended December 31, 

    

2021

    

2022

    

2023

RMB

RMB

RMB

Cash flows from operating activities:

Net cash provided by transactions with third-parties

61,272,031

67,459,864

72,325,460

Net cash used in transactions with intra-Group companies related to technical consulting and related service

(59,439,552)

(66,970,818)

(73,298,667)

Net cash (used in)/ provided by other transactions with intra-Group companies

(283,621)

299,452

639,545

Net cash provided by/ (used in) operating activities

 

1,548,858

 

788,498

 

(333,662)

Cash flows from investing activities:

Net cash used in transactions with third-parties

(39,430)

(71,832)

(82,645)

Net cash used in investing activities

 

(39,430)

 

(71,832)

 

(82,645)

Cash flows from financing activities:

Net cash used in transactions with intra-Group companies

(622,809)

(105,448)

(52,839)

Net cash (used in)/ provided by transactions with third-parties

(678,287)

(52,541)

15,673

Net cash used in financing activities

 

(1,301,096)

 

(157,989)

 

(37,166)