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Note to Consolidated Statements of Cash flows - Summary of Movements In Net Debt (Detail) - CNY (¥)
¥ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Disclosure of reconciliation of liabilities arising from financing activities [line items]      
Beginning Balance ¥ 44,796,562 ¥ 28,942,594 ¥ 24,202,226
Cash flows 5,725,310 14,031,853 5,965,931
C-round restructuring     (1,472,273)
Conversion of Class C ordinary shares to ordinary shares upon IPO     (367,916)
Redemption of convertible promissory note (3,697,127)    
Acquisitions-leases 589,488 501,663 653,251
Disposals-leases (72,455) (62,087) (62,913)
Foreign exchange adjustments 2,566,575 (640,396) (1,779,539)
Accrued expense 3,206,362 2,022,935 1,803,827
Ending Balance 53,114,715 44,796,562 28,942,594
Borrowings      
Disclosure of reconciliation of liabilities arising from financing activities [line items]      
Beginning Balance 25,927,417 10,315,445 2,989,862
Cash flows 8,675,099 15,242,903 7,583,729
Foreign exchange adjustments 772,437 (227,077) (469,452)
Accrued expense 1,540,560 596,146 211,306
Ending Balance 36,915,513 25,927,417 10,315,445
Bond payable      
Disclosure of reconciliation of liabilities arising from financing activities [line items]      
Cash flows 2,010,782    
Foreign exchange adjustments 75,524    
Accrued expense 57,042    
Ending Balance 2,143,348    
Convertible promissory note payable      
Disclosure of reconciliation of liabilities arising from financing activities [line items]      
Beginning Balance 10,669,498 10,117,188 10,014,377
Cash flows (3,863,265) (100,937) (92,981)
Redemption of convertible promissory note (3,697,127)    
Foreign exchange adjustments 1,009,422 (239,754) (687,967)
Accrued expense 1,045,611 893,001 883,759
Ending Balance 5,164,139 10,669,498 10,117,188
Convertible redeemable preferred shares      
Disclosure of reconciliation of liabilities arising from financing activities [line items]      
Beginning Balance     10,258,898
Cash flows     (928,242)
C-round restructuring     (9,234,748)
Conversion of Class C ordinary shares to ordinary shares upon IPO     (367,916)
Foreign exchange adjustments     (262,678)
Accrued expense     534,686
Lease liabilities [member]      
Disclosure of reconciliation of liabilities arising from financing activities [line items]      
Beginning Balance 794,544 979,419 939,089
Cash flows (604,172) (663,160) (596,575)
Acquisitions-leases 589,488 501,663 653,251
Disposals-leases (72,455) (62,087) (62,913)
Accrued expense 41,402 38,709 46,567
Ending Balance 748,807 794,544 979,419
Optionally convertible promissory notes [member]      
Disclosure of reconciliation of liabilities arising from financing activities [line items]      
Beginning Balance 7,405,103 7,530,542  
Cash flows (493,134) (446,953)  
C-round restructuring     7,762,475
Foreign exchange adjustments 709,192 (173,565) (359,442)
Accrued expense 521,747 495,079 127,509
Ending Balance ¥ 8,142,908 ¥ 7,405,103 ¥ 7,530,542