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Operations - Combined financial information of the Group's VIEs and Others (Details)
¥ in Thousands, $ in Thousands
12 Months Ended
Dec. 31, 2022
CNY (¥)
entity
Dec. 31, 2022
USD ($)
entity
Dec. 31, 2021
CNY (¥)
Dec. 31, 2020
CNY (¥)
Dec. 31, 2022
USD ($)
Dec. 31, 2019
CNY (¥)
Variable Interest Entity [Line Items]            
Cash and cash equivalents ¥ 10,172,584   ¥ 7,523,108 ¥ 4,678,109 $ 1,474,886  
Time deposits 4,767,972   7,632,334   691,291  
Accounts receivable, net 1,328,584   1,382,328   192,627  
Prepayments and other current assets 1,950,573   2,807,048   282,806  
Short-term investments 4,623,452   15,060,722   670,338  
Long-term investments, net 5,651,018   5,502,524   819,321  
Other non-current assets 1,474,368   1,459,485   213,762  
Total assets 41,830,570   52,053,151   6,064,863  
Accounts payable 4,291,656   4,360,906   622,232  
Salary and welfare payables 1,401,526   995,451   203,202  
Taxes payable 316,244   203,770   45,851  
Deferred revenue 2,819,323   2,645,389   408,763  
Accrued liabilities and other payables 1,534,962   2,416,955   222,548  
Other long-term liabilities 814,429   481,982   118,082  
Total liabilities 26,590,983   30,337,085   3,855,330  
Total Bilibili Inc's shareholders' deficit 15,237,828   21,703,667   2,209,278  
Noncontrolling interests 1,759   12,399   255  
Total shareholders' equity 15,239,587   21,716,066 7,782,204 2,209,533 ¥ 7,636,460
Total liabilities and shareholders' equity 41,830,570   52,053,151   $ 6,064,863  
Total revenues 21,899,167 $ 3,175,081 19,383,684 11,998,976    
Gain/(Loss) from non-operations (8,357,944) (1,211,788) (6,429,074) (3,140,963)    
Loss before income tax expenses (7,403,508) (1,073,407) (6,713,450) (3,000,648)    
Income tax (104,145) (15,100) (95,289) (53,369)    
Net loss (7,507,653) (1,088,507) (6,808,739) (3,054,017)    
Net loss attributable to noncontrolling interests 10,640 1,542 19,511 46,605    
Net loss attributable to the Bilibili Inc.'s shareholders (7,497,013) (1,086,965) (6,789,228) (3,011,704)    
Net cash provided by /(used in) operating activities (3,911,400) (567,097) (2,647,008) 753,103    
Purchase of short-term investments (70,578,711) (10,232,951) (71,748,847) (26,731,176)    
Maturities of short-term investments 81,698,532 11,845,174 60,524,888 24,921,538    
Placements of time deposits (10,245,026) (1,485,389) (10,697,444) (10,907,296)    
Maturities of time deposits 13,909,967 2,016,756 7,655,147 7,670,373    
Net cash (used in)/provided by investing activities 10,609,218 1,538,192 (24,578,111) (8,906,821)    
Net cash provided by/(used in) financing activities (4,354,919) $ (631,404) 30,389,152 8,335,419    
Assets of VIE's used to settle obligations of respective VIE's registered capital 494,100   494,100      
Assets of VIE's used to settle obligations of respective VIE's non-distributable statutory reserves ¥ 24,100   22,600      
Number of VIE having variable interest but not primary beneficiary | entity 0 0        
Consolidated VIEs without recourse to the primary beneficiary            
Variable Interest Entity [Line Items]            
Cash and cash equivalents ¥ 1,590,440   377,114      
Time deposits 4,186   6,997      
Accounts receivable, net 619,927   524,311      
Amounts due from Group companies 507,849   391,951      
Amount due from related parties 119,857   101,983      
Prepayments and other current assets 883,903   1,806,185      
Short-term investments 272,340   927,124      
Long-term investments, net 1,852,740   1,745,466      
Other non-current assets 5,852,315   4,926,989      
Total assets 11,703,557   10,808,120      
Accounts payable 3,452,192   3,164,301      
Salary and welfare payables 343,786   343,008      
Taxes payable 165,162   128,817      
Short-term loan 400,000   400,000      
Deferred revenue 2,138,539   2,192,460      
Accrued liabilities and other payables 531,188   1,184,523      
Amounts due to the Group companies 12,415,760   7,214,146      
Amounts due to related parties 27,929   117,901      
Other long-term liabilities 269,623   222,719      
Total liabilities 19,744,179   14,967,875      
Total Bilibili Inc's shareholders' deficit (8,042,238)   (4,170,459)      
Noncontrolling interests 1,616   10,704      
Total shareholders' equity (8,040,622)   (4,159,755)      
Total liabilities and shareholders' equity 11,703,557   10,808,120      
Total revenues 16,074,746   14,442,432 10,318,972    
Total costs and expenses (19,582,407)   (17,147,663) (11,154,230)    
Gain/(Loss) from non-operations (268,584)   (163,146) 8,368    
Loss before income tax expenses (3,776,245)   (2,868,377) (826,890)    
Income tax (89,660)   (38,997) (27,080)    
Net loss (3,865,905)   (2,907,374) (853,970)    
Net loss attributable to noncontrolling interests 9,088   10,367 8,501    
Net loss attributable to the Bilibili Inc.'s shareholders (3,856,817)   (2,897,007) (845,469)    
Net cash provided by /(used in) operating activities 913,694   (682,959) 1,476,494    
Purchase of short-term investments (7,335,115)   (12,610,305) (13,973,904)    
Maturities of short-term investments 7,970,552   12,954,425 13,498,485    
Placements of time deposits (1,270)   (39,318) (25,515)    
Maturities of time deposits 4,444   54,319 7,896    
Other investing activities (2,188,712)   (3,265,756) (1,928,125)    
Net cash (used in)/provided by investing activities (1,550,101)   (2,906,635) (2,421,163)    
Other financing activities   300,000 100,000    
Net cash provided by/(used in) financing activities 1,884,890   3,607,226 1,090,287    
Consolidated VIEs without recourse to the primary beneficiary | Third-party            
Variable Interest Entity [Line Items]            
Total revenues 14,876,639   12,867,536 9,651,207    
Total costs and expenses (18,436,865)   (16,283,295) (9,931,047)    
Net cash provided by /(used in) operating activities (2,339,697)   (1,729,079) 1,965,376    
Consolidated VIEs without recourse to the primary beneficiary | Inter-company            
Variable Interest Entity [Line Items]            
Total revenues 1,198,107   1,574,896 667,765    
Consolidated VIEs without recourse to the primary beneficiary | Inter-company | Consulting and services charges            
Variable Interest Entity [Line Items]            
Total costs and expenses (726,875)   (593,272) (1,021,596)    
Consolidated VIEs without recourse to the primary beneficiary | Other inter-company            
Variable Interest Entity [Line Items]            
Total costs and expenses (418,667)   (271,096) (201,587)    
Consolidated VIEs without recourse to the primary beneficiary | Group companies            
Variable Interest Entity [Line Items]            
Net cash provided by /(used in) operating activities 3,863,991   1,683,907 586,017    
Investments and loans from Group companies 1,884,890   3,307,226 990,287    
Consolidated VIEs without recourse to the primary beneficiary | Group companies | Consulting and services charges            
Variable Interest Entity [Line Items]            
Net cash provided by /(used in) operating activities ¥ (610,600)   ¥ (637,787) ¥ (1,074,899)