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Operations and Reorganization - Combined financial information of the Group's VIEs and Others (Details)
¥ in Thousands, $ in Thousands
12 Months Ended
Dec. 31, 2020
CNY (¥)
entity
Dec. 31, 2020
USD ($)
entity
Dec. 31, 2019
CNY (¥)
Dec. 31, 2018
CNY (¥)
Dec. 31, 2020
USD ($)
Dec. 31, 2019
USD ($)
Dec. 31, 2017
CNY (¥)
Current assets:              
Cash and cash equivalents ¥ 4,678,109   ¥ 4,962,660 ¥ 3,540,031 $ 716,952 $ 760,561 ¥ 762,882
Time deposits 4,720,089   1,844,558 749,385 723,385    
Accounts receivable, net 1,053,641   744,845 324,392 161,478    
Prepayments and other current assets 1,765,787   1,315,901 990,851 270,619    
Short-term investments 3,357,189   1,260,810 945,338 514,511    
Non-current assets:              
Long-term investments, net 2,232,938   1,251,129 979,987 342,213    
Other non-current assets 789,643   301,916   121,019    
Total assets 23,865,608   15,516,567 10,490,036 3,657,566    
Current liabilities:              
Accounts payable 3,074,298   1,904,042 1,307,598 471,157    
Salary and welfare payable 734,376   355,936 246,815 112,548    
Taxes payable 127,192   67,856 38,505 19,493    
Short-term loans 100,000       15,326    
Deferred revenue 2,118,006   1,369,000 985,143 324,599    
Accrued liabilities and other payables 1,237,676   575,763 670,442 189,682    
Non-current liabilities:              
Total liabilities 16,083,404   7,880,107 3,298,834 $ 2,464,891    
Net revenues:              
Net revenues 11,998,976 $ 1,838,924 6,777,922 4,128,931      
Net loss (3,054,017) (468,049) (1,303,570) (565,021)      
Net cash provided by operating activities 753,100 115,418 194,551 737,286      
Net cash used in investing activities (8,906,821) (1,365,029) (3,958,277) (3,196,394)      
Net cash provided by financing activities 8,335,419 $ 1,277,458 5,078,842 4,974,810      
Assets of VIE's used to settle obligations of respective VIE's registered capital 92,100   94,800 12,200      
Assets of VIE's used to settle obligations of respective VIE's non-distributable statutory reserves ¥ 17,900   12,500 7,700      
Number of VIE having variable interest but not primary beneficiary | entity 0 0          
Consolidated VIEs without recourse to the primary beneficiary              
Current assets:              
Cash and cash equivalents ¥ 349,190   201,310 152,295      
Time deposits 22,161   7,674 10,265      
Accounts receivable, net 343,099   223,438 130,823      
Amount due from the Company and its subsidiaries 173,596   127,944 165,559      
Amount due from related parties 59,117   170,535        
Prepayments and other current assets 1,383,648   999,780 841,018      
Short-term investments 1,175,309   672,787 252,943      
Non-current assets:              
Long-term investments, net 1,223,943   794,549 843,149      
Other non-current assets 2,183,411   1,483,983 943,373      
Total assets 6,913,474   4,682,000 3,339,425      
Current liabilities:              
Accounts payable 2,332,372   1,454,924 1,078,070      
Salary and welfare payable 288,686   128,343 94,699      
Taxes payable 106,492   33,611 27,152      
Short-term loans 100,000            
Deferred revenue 1,769,992   1,234,508 937,086      
Amount due to the Company and its subsidiaries 3,752,973   2,650,499 1,594,527      
Accrued liabilities and other payables 449,370   222,078 318,568      
Amount due to related parties       23,054      
Non-current liabilities:              
Other long-term liabilities 19,640   23,108        
Total liabilities 8,819,525   5,747,071 4,073,156      
Net revenues:              
Net revenues 10,318,972   6,588,162 4,134,624      
Net loss (853,970)   (448,114) (587,932)      
Net cash provided by operating activities 1,476,494   271,299 636,972      
Net cash used in investing activities (2,421,163)   (1,518,931) (674,483)      
Net cash provided by financing activities 1,090,287   1,300,740 130,592      
Consolidated VIEs without recourse to the primary beneficiary | Third parties              
Net revenues:              
Net revenues 9,651,207   6,056,332 3,691,219      
Consolidated VIEs without recourse to the primary beneficiary | Company and its subsidiaries              
Net revenues:              
Net revenues ¥ 667,765   ¥ 531,830 ¥ 443,405