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Operations - Assets, Liabilities, Statement of Operations and Cash Flows (Details)
$ in Thousands, ¥ in Millions
1 Months Ended 12 Months Ended
Apr. 30, 2020
CNY (¥)
director
Dec. 31, 2025
USD ($)
Dec. 31, 2024
USD ($)
Dec. 31, 2023
USD ($)
Dec. 31, 2022
USD ($)
Operations          
Costs and expenses allocated from SINA   $ 31,724 $ 33,157 $ 36,483  
Interest-free loans to the VIE's shareholders   83,600 80,200    
VIEs and VIEs' subsidiaries accumulated earnings (deficit)   14,000 (117,300)    
Assets and liabilities of the VIEs and their subsidiaries          
Cash and cash equivalents   2,298,941 1,890,632    
Short-term investments   106,139 459,852    
Accounts receivable   400,209 339,754    
Prepaid expenses and other current assets   330,356 348,774    
Property and equipment, net   282,442 215,034    
Operating lease assets   153,763 154,717    
Intangible assets, net   96,080      
Goodwill   169,280 162,223 166,436 $ 120,151
Long-term investments   1,663,346 1,389,199 1,320,386 993,630
Other non-current assets   14,949 61,377    
Total assets   7,091,186 6,504,499    
Accounts payable   248,977 158,435    
Accrued and other liabilities   634,447 640,207    
Income taxes payable   80,049 84,690    
Deferred revenues   $ 78,315 $ 72,642    
Other Liability, Current, Related Party, Type [Extensible Enumeration]   srt:SubsidiariesMember srt:SubsidiariesMember    
Operating lease liabilities   $ 42,392      
Deferred tax liabilities   119,302 $ 61,052    
Other non-current liabilities   16,591 3,069    
Total liabilities   3,083,623 2,925,613    
Redeemable non-controlling interests   54,006 51,012    
Total shareholders' equity (deficit)   3,974,735 3,533,783 3,448,888 $ 3,344,745
Total liabilities, redeemable non-controlling interests and shareholders' equity   7,091,186 6,504,499    
Results of operations of the VIEs and their subsidiaries          
Total revenues   1,757,216 1,754,677 1,759,836  
Net income   449,020 300,801 342,598  
Cash flows of the VIE and its subsidiary          
Net cash provided by operating activities   519,479 639,898 672,820  
Net cash provided by (used in) investing activities   66,617 (246,900) (736,846)  
Net cash provided by (used in) financing activities   (227,293) (1,029,439) 21,690  
Contractual Arrangements with the VIE          
Assets, except for registered capital of VIEs, that can only be used to settle obligations of the respective VIEs   0      
Registered capital and non-distributable reserve funds of VIE and its subsidiaries   $ 210,900 202,500    
Term of loan agreements   10 years      
Term of trademark license agreements   1 year      
Service fees revenue charged to VIE   $ 651,600 712,400 714,800  
Third parties          
Assets and liabilities of the VIEs and their subsidiaries          
Accounts receivable   $ 314,668 256,670    
Weimeng          
Contractual Arrangements with the VIE          
Equity interest   99.00%      
New Weimeng Shareholder          
Minority Investment In Weimeng          
Sale of subsidiaries' shares to non-controlling interests | ¥ ¥ 10.7        
Percentage of enlarged registered capital invested 1.00%        
Number of member of board of directors the entity has right to appoint | director 3        
Consolidated VIEs          
Assets and liabilities of the VIEs and their subsidiaries          
Cash and cash equivalents   $ 757,963 678,562    
Short-term investments   78,918 94,770    
Accounts receivable   382,712 315,354    
Prepaid expenses and other current assets   187,900 168,186    
Property and equipment, net   55,205 1,276    
Operating lease assets   26,537 20,922    
Intangible assets, net   96,081 109,577    
Goodwill   169,280 162,223    
Long-term investments   389,262 238,142    
Other non-current assets   63,550 166,591    
Total assets   2,211,626 1,953,246    
Accounts payable   183,768 114,034    
Accrued and other liabilities   356,918 389,208    
Income taxes payable   28,352 27,439    
Deferred revenues   40,202 38,066    
Amount due to the subsidiaries of the Group   1,398,290 1,325,148    
Operating lease liabilities   31,600 25,304    
Deferred tax liabilities   39,036 22,558    
Other non-current liabilities   16,591 3,069    
Total liabilities   2,094,757 1,944,826    
Redeemable non-controlling interests   32,828 45,103    
Total shareholders' equity (deficit)   84,041 (36,683)    
Total liabilities, redeemable non-controlling interests and shareholders' equity   2,211,626 1,953,246    
Results of operations of the VIEs and their subsidiaries          
Total revenues   1,509,928 1,512,278 1,531,675  
Net income   131,201 8,220 25,343  
Cash flows of the VIE and its subsidiary          
Net cash provided by operating activities   60,922 202,668 159,891  
Net cash provided by (used in) investing activities   (22,453) (75,876) 88,119  
Net cash provided by (used in) financing activities   10,127 (56,719) (260,289)  
Contractual Arrangements with the VIE          
Costs and expenses   $ 7,700 6,700 6,600  
Weimeng          
Minority Investment In Weimeng          
Percentage of equity interests the entity will not be able to purchase or have the New Weimeng Shareholder pledge   1.00%      
Percentage of equity interests for which the authorization of voting rights will not be granted to entity   1.00%      
Percentage of equity interests issued   1.00%      
SINA | Related party          
Contractual Arrangements with the VIE          
Costs and expenses   $ 31,724 33,157 36,483  
SINA | Consolidated VIEs          
Assets and liabilities of the VIEs and their subsidiaries          
Amount due from (to) SINA   4,218 (2,357)    
Cost of revenues          
Operations          
Costs and expenses allocated from SINA   5,547 9,835 12,313  
Product development          
Operations          
Costs and expenses allocated from SINA   8,202 7,042 6,850  
General and administrative          
Operations          
Costs and expenses allocated from SINA   $ 17,975 $ 16,280 $ 17,320