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Prepayments and Other Current Assets (Tables)
12 Months Ended
Dec. 31, 2022
Prepayments and Other Current Assets  
Schedule of prepayments and other current assets

December 31, 

December 31, 

    

2021

    

2022

Deductible VAT input

 

1,040,024

779,694

Prepayment to vendors

 

167,453

541,457

Deposits

84,421

349,651

Receivables from JAC

20,939

196,075

Receivables from third party online payment service providers

74,464

154,264

Receivable of reimbursement from the depositary bank

80,461

87,170

Interest receivable

 

97,734

10,167

Derivative assets (Note 2(q))

104,277

Other receivables

 

184,302

131,963

Less: Allowance for credit losses

(3,932)

(4,033)

Total

 

1,850,143

2,246,408