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UNAUDITED INTERIM CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS - CNY (¥)
¥ in Thousands
6 Months Ended 9 Months Ended
Jun. 30, 2022
Jun. 30, 2021
Sep. 30, 2022
Sep. 30, 2021
Cash flows from operating activities        
Net (loss)/income ¥ 80,321 ¥ (1,590,312) ¥ 292,038 ¥ (1,304,144)
Adjustments to reconcile net (loss)/income to net cash generated from operating activities:        
Share-based compensation 283,046 202,887 447,961 301,812
Issuance of Class B ordinary shares to TECHWOLF LIMITED (Note 13)   1,506,362   1,506,362
Depreciation and amortization 59,748 35,139 98,022 55,464
Loss from disposal of property, equipment and software 7 42 85 49
Foreign exchange loss/(gain) (4,694) 586 (10,136) 317
Amortization of right-of-use assets 68,979 43,453 106,479 68,076
Unrealized investment income (2,229) (1,294) (14,291) (6,359)
Changes in operating assets and liabilities:        
Accounts receivable (1,011) 4,404 (3,509) 6,260
Prepayments and other current assets 87,319 (98,442) 30,794 (278,684)
Amounts due from related parties (2,968) 1,037 (3,435) 3,131
Other non-current assets       (4,000)
Accounts payable 17,974 62,080 (663) 12,651
Deferred revenue 20,486 670,129 80,099 679,370
Other payables and accrued liabilities (64,074) 39,347 (71,523) 125,522
Operating lease liabilities (61,956) (38,875) (104,422) (59,356)
Net cash generated from operating activities 480,948 836,543 847,499 1,106,471
Cash flows from investing activities        
Purchase of property, equipment and software (173,207) (81,374) (280,672) (163,765)
Proceeds from disposal of property, equipment and software 298 9 326 14
Purchase of short-term investments (1,450,000) (2,164,000) (3,785,740) (3,390,000)
Proceeds from maturity of short-term investments 1,525,000 2,078,000 1,975,000 2,748,000
Net cash used in investing activities (97,909) (167,365) (2,091,086) (805,751)
Cash flows from financing activities        
Proceeds from IPO, net of issuance cost   6,423,798   6,406,872
Proceeds from exercise of share options 180,166   238,104 14,556
Net cash generated from/(used in) financing activities (87,816) 6,412,214 (41,278) 6,409,844
Effect of exchange rate changes on cash and cash equivalents 537,116 9,364 1,101,863 47,598
Net increase in cash and cash equivalents 832,339 7,090,756 (183,002) 6,758,162
Cash and cash equivalents at beginning of the period 11,341,758 3,998,203 11,341,758 3,998,203
Cash and cash equivalents at end of the period 12,174,097 11,088,959 11,158,756 10,756,365
Supplemental cash flow disclosures        
Cash paid for income tax 72,083   73,536  
Supplemental schedule of non-cash investing and financing activities        
Accretion on convertible redeemable preferred shares to redemption value   164,065   164,065
Unpaid consideration for share repurchase     67,150  
Changes in payables for purchase of property, equipment and software 64,336 (1,895) (537) (21,221)
Class A ordinary shares        
Cash flows from financing activities        
Repurchase of ordinary shares ¥ (267,982)   ¥ (279,382)  
Class B ordinary shares        
Cash flows from financing activities        
Repurchase of ordinary shares   ¥ (11,584)   ¥ (11,584)