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Consolidated Balance Sheets
¥ in Millions, $ in Millions
Dec. 31, 2023
CNY (¥)
Dec. 31, 2023
USD ($)
Dec. 31, 2022
CNY (¥)
Current assets      
Cash and cash equivalents ¥ 71,892 $ 10,126 ¥ 78,861
Restricted cash 7,506 1,057 6,254
Short-term investments 118,254 16,656 141,095
Accounts receivable, net 20,302 2,859 20,576
Advance to suppliers 2,753 388 3,838
Inventories, net 68,058 9,586 77,949
Prepayments and other current assets 15,639 2,202 15,156
Assets held for sale 1,292 182 1,203
Total current assets 307,810 43,354 351,074
Non-current assets      
Property, equipment and software, net 70,035 9,864 55,080
Construction in progress 9,920 1,397 11,161
Intangible assets, net 6,935 977 9,139
Land use rights, net 39,563 5,572 33,848
Operating lease right-of-use assets 20,863 2,938 22,267
Goodwill 19,980 2,814 23,123
Investment in equity investees 56,746 7,993 57,641
Marketable securities and other investments 80,840 11,386 14,360
Deferred tax assets 1,744 246 1,536
Other non-current assets 14,522 2,045 16,021
Total non-current assets 321,148 45,232 244,176
Total assets 628,958 88,586 595,250
Current liabilities (including amounts of the consolidated VIEs without recourse to the primary beneficiaries of RMB27,450 million and RMB27,923 million as of December 31, 2022 and 2023, respectively. Note 1)      
Short-term debts 5,034 709 12,146
Accounts payable 166,167 23,404 160,607
Advance from customers 31,625 4,454 33,713
Deferred revenues (including amounts in relation to traffic support, marketing and promotion services to be provided to related parties of RMB431 million and RMB182 million as of December 31, 2022 and 2023, respectively) 2,097 295 3,351
Taxes payable 7,313 1,030 5,926
Accrued expenses and other current liabilities 43,533 6,132 42,570
Operating lease liabilities 7,755 1,092 7,688
Liabilities held for sale 506 71 72
Total current liabilities 265,650 37,415 266,561
Non-current liabilities      
Deferred revenues (including amounts in relation to traffic support, marketing and promotion services to be provided to related parties of RMB179 million and nil as of December 31, 2022 and 2023, respectively) 964 136 1,107
Unsecured senior notes 10,411 1,466 10,224
Deferred tax liabilities 9,267 1,305 6,511
Long-term borrowings 31,555 4,444 20,009
Operating lease liabilities 13,676 1,926 14,978
Other non-current liabilities 1,055 150 1,737
Total non-current liabilities 66,928 9,427 54,566
Total liabilities 332,578 46,842 321,127
Commitments and contingencies
MEZZANINE EQUITY 614 86 590
JD.com, Inc. shareholders' equity      
Ordinary shares (US$0.00002 par value; 100,000,000,000 shares authorized; 2,793,298,344 Class A ordinary shares issued and 2,756,458,772 outstanding, 386,374,723 Class B ordinary shares issued and 379,220,475 outstanding as of December 31, 2022; 2,860,222,213 Class A ordinary shares issued and 2,820,978,543 outstanding, 323,212,124 Class B ordinary shares issued and 316,685,372 outstanding as of December 31, 2023.) [1]
Additional paid-in capital 184,204 25,945 184,041
Statutory reserves 6,109 860 3,473
Treasury stock (3,409) (480) (2,493)
Retained earnings 44,051 6,205 29,304
Accumulated other comprehensive income/(loss) 903 127 (959)
Total JD.com, Inc. shareholders' equity 231,858 32,657 213,366
Non-controlling interests 63,908 9,001 60,167
Total shareholders' equity 295,766 41,658 273,533
Total liabilities, mezzanine equity and shareholders' equity 628,958 88,586 595,250
Related Party [Member]      
Current assets      
Amount due from related parties 2,114 298 6,142
Current liabilities (including amounts of the consolidated VIEs without recourse to the primary beneficiaries of RMB27,450 million and RMB27,923 million as of December 31, 2022 and 2023, respectively. Note 1)      
Amount due to related parties ¥ 1,620 $ 228 ¥ 488
[1] Absolute amount is less than RMB1 million.