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History And Reorganization of The Group - Summary of Cash Flow Summary And Income Summary of Consolidated Affiliated Entities And Subsidiaries (Detail) - CNY (¥)
¥ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Disclosure Details Of Cash Flow Summary And Income Summary Of Consolidated Affiliated Entities And Subsidiaries [Line Items]      
Total income ¥ 1,267,815 ¥ 820,843 ¥ 364,385
Total expense 45,102,457 38,434,729 34,136,219
Net loss 8,775,039 16,709,060 12,276,240
Net cash generated from/(used in) operating activities 4,455,301 4,987,472 7,121,282
Proceeds from sale of investment assets 99,031,093 132,430,620 151,232,710
Payment for acquisition of investment assets 97,732,903 128,591,697 166,531,308
Net cash generated from/(used in) investing activities 8,447,678 313,822 (15,003,750)
Proceeds from borrowings 9,046,338 7,262,435 10,589,599
Net cash generated from/(used in) financing activities (9,918,803) (2,448,028) 24,873,923
Effect of exchange rate changes on cash and cash equivalents 57,025 (142,607) (517,865)
Net increase/(decrease) in cash 3,041,201 2,710,659 16,473,590
Add: Cash and cash equivalents at the beginning of the year 26,496,310 23,785,651 7,312,061
Cash and cash equivalents at the end of the year 29,537,511 26,496,310 23,785,651
Consolidated affiliated entities and subsidiaries [member]      
Disclosure Details Of Cash Flow Summary And Income Summary Of Consolidated Affiliated Entities And Subsidiaries [Line Items]      
Inter-company revenues 156,029 5,249 (70,159)
Total income 966,196 1,566,847 1,571,968
Inter-company expenses 540,809 1,422,021 1,012,435
Total expense (1,359,876) (2,213,789) (1,714,084)
Net loss (393,680) (646,942) (142,116)
Inter-company cash flow (625,594) 1,369,172 (1,151,110)
Reclassification [1] 1,487,448 327,497  
Other operating activities (916,309) (653,230) 1,835,668
Net cash generated from/(used in) operating activities (54,455) 1,043,439 684,558
Inter-company cash flow 564,266 (735,327) 501,185
Reclassification (1,487,448) (327,497)  
Payment for advances to consolidated entities   (500,000) (240,000)
Receipts of repayment of the advances from consolidated entities 158 1,064,669 4,813,732
Proceeds from sale of investment assets 9,229,963 20,633,784 16,449,825
Payment for acquisition of investment assets (5,675,189) (9,440,542) (28,402,132)
Other investing activities 5,543,944 (4,826,844) (697,316)
Net cash generated from/(used in) investing activities 8,175,694 5,868,243 (7,574,706)
Repayment for advances to consolidated entities (10,755,583) (17,114,012) (9,031,546)
Receipts of advances from consolidated entities 4,617,000 9,774,001 16,096,040
Proceeds from borrowings   572,000 531,162
Repayment of interest expenses and borrowings (436,274) (664,880) (275,959)
Other financing activities (1,000) (474)  
Net cash generated from/(used in) financing activities (6,575,857) (7,433,365) 7,319,697
Effect of exchange rate changes on cash and cash equivalents 21 (15) (14)
Net increase/(decrease) in cash 1,545,403 (521,698) 429,535
Add: Cash and cash equivalents at the beginning of the year 904,360 1,426,058 996,523
Cash and cash equivalents at the end of the year ¥ 2,449,763 ¥ 904,360 ¥ 1,426,058
[1] This represents the reclassification of certain cash flows that were considered as investing activities in the financial statements of consolidated entities and consolidated affiliated entities’ subsidiaries and as operating activities in the consolidated financial statements of the Group.