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Consolidated statement of cash flows - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Cash flows from operating activities      
Loss before income tax $ (3,552) $ (2,743) $ (3,981)
Adjustments for      
Amortization of intangible assets 236 261 538
Depreciation of property, plant and equipment 109 126 109
Impairment of intangible assets and goodwill 8 28 28
Impairment of property, plant and equipment 7 15 32
Equity-settled share-based payment 357 54 34
Finance costs 1,701 1,490 1,056
Net impairment loss on financial assets 19 63 56
Finance income (65) (53) (85)
(Gain)/Loss on disposal of property, plant and equipment (1) 9 1
Loss on disposal of intangible assets 0 [1] 1
Gain on disposal of associate (2) 0 0
Share listing and associated expenses 353 0 0
Share of loss of equity-accounted investees (net of tax) 8 8 [1]
Change in provisions 15 31 (1)
Adjustments to reconcile profit (loss) (807) (711) (2,212)
Changes in:      
- Inventories (1) 2 2
- Deposits pledged (83) 0 0
- Trade and other receivables (181) 31 (75)
- Trade and other payables 137 42 181
Cash used in operations (935) (636) (2,104)
Income tax paid (3) (7) (8)
Net cash used in operating activities (938) (643) (2,112)
Cash flows from investing activities      
Acquisition of property, plant and equipment (73) (22) (98)
Purchase of intangible assets (12) (18) (42)
Proceeds from disposal of property, plant and equipment 25 63 6
Acquisition of businesses, net of cash acquired 0 (3) (22)
Acquisition of additional interests in associate (16) 0 (10)
Proceeds from disposal of associate 8 0 0
Net (acquisitions of)/proceeds from other investments (2,717) (359) 579
Restricted cash (30) (99)
Interest received 28 51 79
Net cash (used in)/from investing activities (2,757) (318) 393
Cash flows from financing activities      
Proceeds from exercise of share options 46 5 6
Proceeds from the reverse recapitalization 4,425 0 0
Proceeds from bank loans 1,980 8 0
Repayment of bank loans (176) (106) (69)
Payment of lease liabilities (24) (30) (28)
Proceeds from issuance of convertible redeemable preference shares 463 1,389 1,938
Acquisition of non-controlling interests without change in control (460) [1] (203)
Proceeds from subscription of shares in subsidiaries by non-controlling interests without change in control 443 329 327
Deposits pledged (23) 0 0
Interest paid (108) (17) (20)
Net cash from financing activities 6,566 1,578 1,951
Net increase in cash and cash equivalents 2,871 617 232
Cash and cash equivalents at January 1 2,004 1,372 1,128
Effect of exchange rate fluctuations on cash held (37) 15 12
Cash and cash equivalents at December 31 $ 4,838 $ 2,004 $ 1,372
[1] Amount less than $1 million