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Consolidated Statements of Cash Flows
¥ in Thousands, $ in Thousands
12 Months Ended
Dec. 31, 2016
USD ($)
Dec. 31, 2016
CNY (¥)
Dec. 31, 2015
CNY (¥)
Dec. 31, 2014
CNY (¥)
Cash flows from operating activities:        
Net loss $ (491,678) ¥ (3,413,724) ¥ (9,117,506) ¥ (4,996,358)
Adjustments to reconcile net loss to net cash provided by operating activities:        
Depreciation and amortization 523,311 3,633,346 2,619,061 1,650,533
Share-based compensation 337,575 2,343,785 1,193,945 4,249,548
Allowance for doubtful accounts 124,908 867,233 420,750 74,332
Loss from disposal of property, equipment and software 2,661 18,478 7,714 26,043
Deferred income tax (5,010) (34,782) (42,584) (4,169)
Amortization of discounts and issuance costs of the unsecured senior notes 1,242 8,622    
Impairment of goodwill and intangible assets     2,750,129  
Impairment of investments accounted for under cost method and available-for-sale securities 91,831 637,583 611,108  
Gain from business and investment disposals (177,568) (1,232,853) (1,507)  
Share of results of equity investees 401,173 2,785,343 2,852,677 (638)
Foreign exchange losses 21,079 146,354 57,395 28,980
Changes in operating assets and liabilities:        
Accounts receivable (1,396,690) (9,697,221) (6,167,483) (1,861,364)
Restricted cash 75,853 526,646 (1,076,628) (689,499)
Inventories (1,205,514) (8,369,883) (8,348,700) (5,804,688)
Loan receivables (10,724) (74,458) (26,699) 5,430
Investment securities (533) (3,703)    
Advance to suppliers (70,189) (487,320) (18,010) (160,203)
Prepayments and other current assets (76,854) (533,596) 252,397 (1,210,697)
Other investments (36,328) (252,223)    
Amount due from related parties (69,390) (481,774) (402,795) (412,314)
Other non-current assets 24,362 169,144 (1,170,454) (66,485)
Accounts payable 1,972,302 13,693,690 13,113,084 4,902,844
Advance from customers 641,552 4,454,299 2,507,225 2,611,035
Deferred revenues (101,969) (707,966) (461,270) (65,725)
Taxes payable 71,214 494,438 (132,949) (42,615)
Accrued expenses and other current liabilities 611,828 4,247,921 2,207,476 2,988,499
Amount due to related parties 4,269 29,638 69,946 67,412
Net cash provided by operating activities 1,262,713 8,767,017 1,696,322 1,289,901
Cash flows from investing activities:        
Purchase of short-term investments (2,444,075) (16,969,213) (5,022,000) (19,104,408)
Maturity of short-term investments 1,834,722 12,738,475 16,625,621 7,853,607
Changes of deposits for capital verification       545,000
Purchases of investment securities (160,766) (1,116,200) (1,139,386) (421,133)
Cash received from disposal of investment securities 52,123 361,893    
Purchase of other investments (3,480,587) (24,165,716)    
Maturity of other investments 965,518 6,703,594    
Prepayments and investments in equity investees (1,103,343) (7,660,513) (7,156,789) (434,585)
Cash received from disposal of equity investment 4,977 34,558    
Changes in restricted cash (403,815) (2,803,688)    
Cash paid for loan originations (6,503,312) (45,152,496) (10,784,220) (662,511)
Cash received from loan repayments 5,017,536 34,836,743 7,276,347 387,626
Purchase of property, equipment and software (341,644) (2,372,035) (2,826,830) (1,424,534)
Cash paid for construction in progress (195,789) (1,359,364) (1,540,615) (1,036,513)
Purchase of intangible assets (7,265) (50,438) (6,556) (17,935)
Purchase of land use rights (97,700) (678,328) (925,758) (423,084)
Cash received from/(paid for) business combination, net of cash acquired (Note 7) (88,701) (615,849) (290,339) 1,260,337
Net cash used in investing activities (6,952,121) (48,268,577) (5,790,525) (13,478,133)
Cash flows from financing activities:        
Proceeds from issuance of ordinary shares, net       17,447,653
Repurchase of ordinary shares (768,871) (5,338,274)    
Purchase of capped call options (289,083) (2,007,100)    
Proceeds from settlement of capped call options 210,747 1,463,218    
Proceeds from issuance of ordinary shares pursuant to stock plans 11,867 82,396 75,713  
Proceeds from issuance of redeemable preferred shares of JD Finance 952,364 6,612,264    
Capital injection from non-controlling interest shareholders 25,609 177,800 146,185  
Proceeds from short-term borrowings 2,656,398 18,443,370 4,871,004 1,890,771
Repayment of short-term borrowings (1,894,032) (13,150,262) (3,726,171) (946,396)
Proceeds from unsecured senior notes, net of discount and debt issuance costs 915,450 6,355,969    
Proceeds from nonrecourse securitization debt 1,592,080 11,053,808 3,333,542  
Repayment of nonrecourse securitization debt (132,581) (920,510)    
Proceeds from sales of financial products 3,665,768 25,451,427    
Redemption of financial products (1,083,773) (7,524,635)    
Net cash provided by financing activities 5,861,943 40,699,471 4,700,273 18,392,028
Effect of exchange rate changes on cash and cash equivalents 102,249 709,916 343,147 (101,484)
Net increase in cash and cash equivalents 274,784 1,907,827 949,217 6,102,312
Cash and cash equivalents at beginning of year 2,572,932 17,863,868 16,914,651 10,812,339
Cash and cash equivalents at end of year 2,847,716 19,771,695 17,863,868 16,914,651
Supplemental cash flow disclosures:        
Cash paid for income taxes (16,288) (113,087) (23,219) (9,807)
Cash paid for interest (105,104) (729,735) (62,396) (27,268)
Supplemental disclosures of non-cash investing and financing activities:        
Conversion of preferred shares to ordinary shares       15,474,994
Certain time deposits pledged for short-term bank loan       2,000,000
Equity investments obtained through commitment of future services and contribution of certain business 326,709 2,268,342 ¥ 3,838,933  
Transaction with Tencent        
Supplemental disclosures of non-cash investing and financing activities:        
Issuance of ordinary shares in connection with Transactions, net       ¥ 11,644,310
Transaction with Walmart        
Supplemental disclosures of non-cash investing and financing activities:        
Issuance of ordinary shares in connection with Transactions, net $ 1,381,573 ¥ 9,592,258