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CONSOLIDATED BALANCE SHEETS
¥ in Thousands, $ in Thousands
Dec. 31, 2015
USD ($)
Dec. 31, 2015
CNY (¥)
Dec. 31, 2014
CNY (¥)
Current assets      
Cash and cash equivalents $ 2,757,706 ¥ 17,863,868 ¥ 16,914,651
Restricted cash 326,486 2,114,913 3,038,286
Short-term investments 429,232 2,780,482 12,161,643
Accounts receivable, net 1,467,826 9,508,284 2,436,256
Advance to suppliers 143,131 927,177 930,026
Inventories, net 3,170,759 20,539,543 12,190,843
Loan receivables, net 368,006 2,383,869 123,344
Prepayments and other current assets 229,467 1,486,441 1,734,334
Amount due from related parties 133,304 863,516 412,314
Total current assets 9,025,917 58,468,093 49,941,697
Non-current assets      
Property, equipment and software, net 962,226 6,233,106 2,408,438
Construction in progress 195,590 1,266,992 1,928,899
Intangible assets, net 812,619 5,263,983 6,877,947
Land use rights, net 297,662 1,928,192 1,067,253
Goodwill 4,485 29,050 2,622,470
Investment in equity investees 1,368,404 8,864,249 586,959
Investment securities 155,274 1,005,831 434,118
Other non-current assets 325,214 2,106,673 625,391
Total non-current assets 4,121,474 26,698,076 16,551,475
Total assets 13,147,391 85,166,169 66,493,172
Current liabilities (including amounts of the consolidated VIEs and VIEs' subsidiaries without recourse to the primary beneficiaries of RMB2,383,405 and RMB6,313,410 as of December 31, 2014 and 2015 respectively. Note 1)      
Short-term bank loans 469,327 3,040,209 1,890,771
Nonrecourse securitization debt 89,512 579,843  
Accounts payable 4,603,313 29,819,341 16,363,671
Advance from customers 1,107,457 7,173,885 4,666,660
Deferred revenues (including amounts in relation to traffic support, marketing and promotion services to be provided to related parties of nil and RMB799,255 as of December 31, 2014 and 2015, respectively) 158,750 1,028,350 157,080
Taxes payable 15,933 103,211 236,160
Amount due to related parties 16,167 104,726 325,119
Accrued expenses and other current liabilities 1,108,102 7,178,065 5,311,832
Deferred tax liabilities 190 1,228 43,812
Total current liabilities 7,568,751 49,028,858 28,995,105
Non-current liabilities      
Deferred revenues (including amounts in relation to traffic support, marketing and promotion services to be provided to related parties of nil and RMB2,664,421 as of December 31, 2014 and 2015, respectively) 417,605 2,705,164  
Nonrecourse securitization debt 425,098 2,753,699  
Total non-current liabilities 842,703 5,458,863  
Total liabilities $ 8,411,454 ¥ 54,487,721 ¥ 28,995,105
Commitments and contingencies (Note 28)
JD.com, Inc. shareholders' equity      
Ordinary shares (US$0.00002 par value; 100,000,000,000 shares authorized; 2,237,460,751 Class A ordinary shares issued and 2,208,310,595 outstanding, 556,295,899 Class B ordinary shares issued and 523,407,762 outstanding as of December 31, 2014; 2,313,578,195 Class A ordinary shares issued and 2,287,701,055 outstanding, 480,178,455 Class B ordinary shares issued and 454,289,431 outstanding as of December 31, 2015.) $ 55 ¥ 358 ¥ 358
Additional paid-in capital 7,470,611 48,393,126 47,131,172
Statutory reserves 8,577 55,560 15,009
Treasury stock 0 (3) (4)
Accumulated deficit (2,885,379) (18,690,910) (9,272,343)
Accumulated other comprehensive income/(loss) 120,795 782,484 (376,125)
Total JD.com Inc. shareholders' equity 4,714,659 30,540,615 37,498,067
Non-controlling interests 21,278 137,833  
Total shareholders' equity 4,735,937 30,678,448 37,498,067
Total liabilities and shareholders' equity $ 13,147,391 ¥ 85,166,169 ¥ 66,493,172