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PRINCIPAL ACTIVITIES AND ORGANIZATION - Summary of group's consolidated financial statements (Details) - CNY (¥)
¥ in Thousands
6 Months Ended 9 Months Ended
Jun. 30, 2022
Jun. 30, 2021
Sep. 30, 2022
Sep. 30, 2021
Dec. 31, 2021
Jan. 01, 2019
Current assets            
Cash and cash equivalents ¥ 12,174,097   ¥ 11,158,756   ¥ 11,341,758  
Short-term investments 812,225   2,764,368   884,996  
Accounts receivable 2,013   4,511   1,002  
Amounts due from related parties 9,583   10,050   6,615  
Prepayments and other current assets 520,589   549,174   724,583  
Total current assets 13,518,507   14,486,859   12,958,954  
Non-current assets            
Property, equipment and software, net 546,106   550,894   369,126  
Intangible assets, net 413   390   458  
Right-of-use assets, net 303,609   310,445   309,085 ¥ 50,570
Other non-current assets 4,000   4,000   4,000  
Total non-current assets 854,128   865,729   682,669  
Total assets 14,372,635   15,352,588   13,641,623  
Current liabilities            
Accounts payable 135,273   51,763   52,963  
Deferred revenue 1,979,056   2,038,669   1,958,570  
Other payables and accrued liabilities 578,981   638,947   645,138  
Operating lease liabilities, current 146,134   150,513   127,531  
Total current liabilities 2,839,444   2,879,892   2,784,202  
Non-current liabilities            
Operating lease liabilities, non-current 166,309   163,800   183,365  
Total non-current liabilities 166,309   163,800   183,365  
Total liabilities 3,005,753   3,043,692   2,967,567  
Total revenues 2,250,224 ¥ 1,956,717 3,428,787 ¥ 3,168,478    
Cost of revenues (351,578) (250,029) (552,466) (404,863)    
Net (loss)/income 80,321 (1,590,312) 292,038 (1,304,144)    
Net cash generated from operating activities 480,948 836,543 847,499 1,106,471    
Net cash used in investing activities (97,909) (167,365) (2,091,086) (805,751)    
Net cash used in financing activities (87,816) 6,412,214 (41,278) 6,409,844    
Cash and cash equivalents at beginning of the period 11,341,758   11,341,758      
Cash and cash equivalents at end of the period 12,174,097   11,158,756      
VIE and VIE's subsidiaries            
Current assets            
Cash and cash equivalents 1,245,088 438,383 873,872 102,128 864,851  
Short-term investments 802,159   1,329,802   864,557  
Accounts receivable 1,946   3,929   1,002  
Amounts due from Group companies 100,805   125,745   86,989  
Amounts due from related parties 9,583   10,050   6,615  
Prepayments and other current assets 450,841   480,213   487,598  
Total current assets 2,610,422   2,823,611   2,311,612  
Non-current assets            
Property, equipment and software, net 544,171   548,476   368,381  
Intangible assets, net 413   390   458  
Right-of-use assets, net 287,032   294,905   301,288  
Other non-current assets 4,000   4,000   4,000  
Total non-current assets 835,616   847,771   674,127  
Total assets 3,446,038   3,671,382   2,985,739  
Current liabilities            
Accounts payable 135,098   51,678   52,938  
Deferred revenue 1,979,019   2,036,728   1,958,570  
Other payables and accrued liabilities 557,568   521,066   626,151  
Amounts due to Group companies 37,362   12,576   27,223  
Operating lease liabilities, current 139,625   143,389   124,464  
Total current liabilities 2,848,672   2,765,437   2,789,346  
Non-current liabilities            
Operating lease liabilities, non-current 155,954   154,775   178,844  
Total non-current liabilities 155,954   154,775   178,844  
Total liabilities 3,004,626   2,920,212   ¥ 2,968,190  
Total revenues 2,250,118 1,956,717 3,427,797 3,168,478    
Cost of revenues (351,566) (250,007) (552,380) (404,796)    
Net (loss)/income 162,265 (41,429) 319,165 274,608    
Net cash generated from operating activities 486,939 861,135 777,516 1,158,919    
Net cash used in investing activities (106,702) (167,365) (733,351) (795,751)    
Net cash used in financing activities   (438,586) (35,144) (444,239)    
Net increase in cash and cash equivalents 380,237 255,184 9,021 (81,071)    
Cash and cash equivalents at beginning of the period 864,851 183,199 864,851 183,199    
Cash and cash equivalents at end of the period ¥ 1,245,088 ¥ 438,383 ¥ 873,872 ¥ 102,128