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Organization - Schedule of Assets, Liabilities, and Cash Flows of VIEs (Detail)
¥ in Thousands, $ in Thousands
12 Months Ended
Dec. 31, 2021
CNY (¥)
Dec. 31, 2021
USD ($)
Dec. 31, 2020
CNY (¥)
Dec. 31, 2019
CNY (¥)
Dec. 31, 2021
USD ($)
Variable Interest Entity [Line Items]          
Current assets ¥ 23,325,718   ¥ 18,364,080   $ 3,660,314
Non-current assets 5,203,288   5,366,765   816,510
Total assets 28,529,006   23,730,845   4,476,824
Accrued expenses and other payables 2,044,597   2,577,709   320,842
Advance from customers 123,370   127,235   19,359
Total current liabilities (including current liabilities of consolidated VIEs without recourse to Autohome WFOE, Chezhiying WFOE or TTP WFOE of RMB602,990 and RMB375,845 (US$58,978) as of December 31, 2020 and 2021, respectively) 3,986,219   4,185,683   625,524
Other liabilities 28,619   104,861   4,492
Deferred tax liabilities 576,798   631,509   90,512
Total non-current liabilities 605,417   736,370   95,004
Total liabilities 4,591,636   4,922,053   720,528
Net revenues 7,237,004 $ 1,135,644 8,658,559 ¥ 8,420,751  
Net income/(loss) 2,248,785 352,883 3,405,229 3,199,966  
VIEs [Member]          
Variable Interest Entity [Line Items]          
Current assets 735,968   558,442   115,489
Non-current assets 1,922,848   2,077,768   301,737
Total assets 2,658,816   2,636,210   417,226
Accrued expenses and other payables 255,661   497,742   40,119
Advance from customers 88,699   87,604   13,919
Deferred revenue 31,485   17,644   4,941
Inter-company payables 524,983   103,393   82,381
Total current liabilities (including current liabilities of consolidated VIEs without recourse to Autohome WFOE, Chezhiying WFOE or TTP WFOE of RMB602,990 and RMB375,845 (US$58,978) as of December 31, 2020 and 2021, respectively) 900,828   706,383   141,360
Other liabilities 4,202   9,054   659
Deferred tax liabilities 56,462   66,247   8,860
Total non-current liabilities 60,664   75,301   9,519
Total liabilities 961,492   781,684   150,879
Net assets 1,697,324   1,854,526   $ 266,347
Net revenues 948,520 148,844 700,608 702,040  
Net income/(loss) (89,397) (14,028) 23,342 (848)  
Net cash generated (used in)/ from operating activities 411,966 64,646 23,147 (446,358)  
Net cash generated/(used in) from investing activities (386,343) (60,626) 193,190 478,513  
Net cash generated from financing activities ¥ 163,424 $ 25,645 ¥ 0 ¥ 0