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Consolidated Balance Sheets
¥ in Thousands, $ in Thousands
Dec. 31, 2018
USD ($)
Dec. 31, 2018
CNY (¥)
Dec. 31, 2017
CNY (¥)
Current assets      
Cash and cash equivalents $ 4,983,266 ¥ 34,262,445 ¥ 25,688,327
Restricted cash 471,182 3,239,613 4,110,210
Short-term investments 296,062 2,035,575 8,587,852
Accounts receivable, net 1,615,881 11,109,988 16,359,147
Advance to suppliers 69,393 477,109 394,574
Inventories, net 6,403,910 44,030,084 41,700,379
Loan receivables, net 395,095 2,716,475 5,132,698
Prepayments and other current assets 559,699 3,848,225 2,258,904
Amount due from related parties 456,151 3,136,265 10,796,561
Total current assets 15,250,639 104,855,779 115,028,652
Non-current assets      
Property, equipment and software, net 3,066,372 21,082,838 12,574,178
Construction in progress 953,198 6,553,712 3,196,516
Intangible assets, net 728,922 5,011,706 6,692,717
Land use rights, net 1,523,621 10,475,658 7,050,809
Goodwill 966,282 6,643,669 6,650,570
Investment in equity investees 4,560,631 31,356,616 18,551,319
Investment securities 2,312,788 15,901,573 10,027,813
Deferred tax assets 15,004 103,158 158,250
Other non-current assets 768,518 5,283,948 2,227,942
Amount due from related parties 275,791 1,896,200 1,896,200
Total non-current assets 15,171,127 104,309,078 69,026,314
Total assets 30,421,766 209,164,857 184,054,966
Current liabilities (including amounts of the consolidated VIEs and VIEs' subsidiaries without recourse to the primary beneficiaries of RMB7,577,086 and RMB9,234,523 as of December 31, 2017 and 2018, respectively. Note 1)      
Short-term borrowings 21,419 147,264 200,000
Nonrecourse securitization debt 639,615 4,397,670 12,684,881
Accounts payable 11,633,338 79,985,018 74,337,708
Advance from customers 1,893,332 13,017,603 13,605,298
Deferred revenues (including amounts in relation to traffic support, marketing and promotion services to be provided to related parties of RMB813,525 and RMB863,480 as of December 31, 2017 and 2018, respectively) 288,050 1,980,489 1,592,332
Taxes payable 120,090 825,677 658,220
Amount due to related parties 31,360 215,614 54,342
Accrued expenses and other current liabilities 2,951,448 20,292,680 15,117,840
Total current liabilities 17,578,652 120,862,015 118,250,621
Non-current liabilities      
Deferred revenues (including amounts in relation to traffic support, marketing and promotion services to be provided to related parties of RMB1,273,545 and RMB463,153 as of December 31, 2017 and 2018, respectively) 67,363 463,153 1,273,545
Nonrecourse securitization debt     4,475,238
Unsecured senior notes 987,004 6,786,143 6,447,357
Deferred tax liabilities 120,496 828,473 882,248
Long-term borrowings 449,195 3,088,440  
Other non-current liabilities 44,868 308,489 337,254
Total non-current liabilities 1,668,926 11,474,698 13,415,642
Total liabilities 19,247,578 132,336,713 131,666,263
Commitments and contingencies (Note 33)
MEZZANINE EQUITY      
Convertible redeemable non-controlling interests (Note 23) 2,321,472 15,961,284  
JD.com, Inc. shareholders' equity      
Ordinary shares (US$0.00002 par value; 100,000,000,000 shares authorized; 2,477,346,590 Class A ordinary shares issued and 2,406,652,132 outstanding, 461,362,309 Class B ordinary shares issued and 446,011,297 outstanding as of December 31, 2017; 2,507,473,330 Class A ordinary shares issued and 2,447,926,638 outstanding, 458,342,517 Class B ordinary shares issued and 446,369,717 outstanding as of December 31, 2018) 55 380 377
Additional paid-in capital 12,047,545 82,832,895 76,254,607
Statutory reserves 203,681 1,400,412 635,966
Treasury stock (550,321) (3,783,729) (4,457,608)
Accumulated deficit (3,496,194) (24,038,081) (22,234,609)
Accumulated other comprehensive income 488,560 3,359,096 1,842,081
Total JD.com, Inc. shareholders' equity 8,693,326 59,770,973 52,040,814
Non-controlling interests 159,390 1,095,887 347,889
Total shareholders' equity 8,852,716 60,866,860 52,388,703
Total liabilities, mezzanine equity and shareholders' equity $ 30,421,766 ¥ 209,164,857 ¥ 184,054,966