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Fair Value Disclosure and Measurement on Recurring Basis (Detail)
¥ in Millions, $ in Millions
Dec. 31, 2023
CNY (¥)
Dec. 31, 2023
USD ($)
Dec. 31, 2022
CNY (¥)
Fair value disclosure      
Long-term time deposits and held-to-maturity investments ¥ 24,666 $ 3,474 ¥ 23,629
Notes payable, current portion 5,999 845 6,812
Convertible senior notes, current portion 2,727 384 6,756
Notes payable, non-current portion 32,742 4,612 36,268
Convertible senior notes, non-current portion 8,881 1,251 7,253
Fair value measurements on a recurring basis      
Derivative instruments ¥ 994 $ 140 ¥ 1,416
Derivative Asset, Noncurrent, Statement of Financial Position [Extensible Enumeration] Deferred Income Tax Assets, Net Deferred Income Tax Assets, Net Deferred Income Tax Assets, Net
Total assets measured at fair value ¥ 21,740 $ 3,063 ¥ 22,379
Total liabilities measured at fair value 321 45 328
Cash Equivalents      
Fair value disclosure      
Time deposits 6,266 883 12,968
Money market funds     3
Short-term Investments      
Fair value disclosure      
Held-to-maturity debt investments 167,740 23,626 120,464
Fair value measurements on a recurring basis      
Available-for-sale debt investments 1,671 235 855
Long-term investments      
Fair value disclosure      
Long-term time deposits and held-to-maturity investments 24,872 3,503 23,688
Fair value measurements on a recurring basis      
Equity investments at fair value with readily determinable fair value 9,610 1,354 12,100
Equity investments without readily determinable fair value using NAV practical expedient 942 133 945
Investments accounted for at fair value 4,841 682 4,616
Available-for-sale debt investments 3,682 519 2,447
Amounts Due To Related Parties current      
Fair value measurements on a recurring basis      
Financial liability 321 $ 45 328
Fair Value, Inputs, Level 1      
Fair value measurements on a recurring basis      
Total assets measured at fair value 9,676   12,197
Fair Value, Inputs, Level 1 | Cash Equivalents      
Fair value disclosure      
Money market funds     3
Fair Value, Inputs, Level 1 | Long-term investments      
Fair value measurements on a recurring basis      
Equity investments at fair value with readily determinable fair value 9,610   12,100
Investments accounted for at fair value 66   97
Fair Value, Inputs, Level 2      
Fair value disclosure      
Notes payable, current portion 5,999   6,812
Convertible senior notes, current portion 2,727   6,756
Notes payable, non-current portion 32,742   36,268
Convertible senior notes, non-current portion 3,757   7,253
Fair value measurements on a recurring basis      
Derivative instruments 994   1,416
Total assets measured at fair value 3,088   2,271
Total liabilities measured at fair value 321   328
Fair Value, Inputs, Level 2 | Cash Equivalents      
Fair value disclosure      
Time deposits 6,266   12,968
Fair Value, Inputs, Level 2 | Short-term Investments      
Fair value disclosure      
Held-to-maturity debt investments 167,740   120,464
Fair value measurements on a recurring basis      
Available-for-sale debt investments 1,671   855
Fair Value, Inputs, Level 2 | Long-term investments      
Fair value disclosure      
Long-term time deposits and held-to-maturity investments 24,872   23,688
Fair value measurements on a recurring basis      
Available-for-sale debt investments 423    
Fair Value, Inputs, Level 2 | Amounts Due To Related Parties current      
Fair value measurements on a recurring basis      
Financial liability 321   328
Fair Value, Inputs, Level 3      
Fair value disclosure      
Convertible senior notes, non-current portion 5,124    
Fair value measurements on a recurring basis      
Total assets measured at fair value 8,034   6,966
Fair Value, Inputs, Level 3 | Long-term investments      
Fair value measurements on a recurring basis      
Investments accounted for at fair value 4,775   4,519
Available-for-sale debt investments ¥ 3,259   ¥ 2,447