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Prepayments and Other Current Assets, net (Tables)
12 Months Ended
Dec. 31, 2024
Prepayments and Other Current Assets, net  
Summary of prepayments and other current assets, net

The following is a summary of prepayments and other current assets, net (in thousands):

    

December 31, 

    

December 31, 

2023

2024

RMB

RMB

Prepayment for royalties, revenue sharing cost

 

1,729,241

 

2,522,296

Interest receivable

 

2,271,944

 

1,934,920

Prepayments of content and marketing cost and other operational expenses

 

638,697

 

485,587

Prepayment for deductible value added tax and refundable subsidy

 

581,228

 

603,670

Bridge loans in connection with ongoing investments

 

27,369

 

13,196

Deposits

 

81,712

 

91,576

Employee advances

57,949

51,652

Advance to suppliers

43,820

40,852

Receivable within one year related to disposal of investments

512,367

529,051

Others

 

132,268

 

144,068

 

6,076,595

 

6,416,868