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Investments in Subsidiaries - Summarized Financial Information Including Goodwill On Acquisition And Consolidation Adjustment But Before Intercompany Eliminations Of Subsidiaries With Material Non Controlling Interests (Detail)
¥ in Thousands, $ in Thousands
12 Months Ended
Dec. 31, 2021
CNY (¥)
Dec. 31, 2021
USD ($)
Dec. 31, 2020
CNY (¥)
Dec. 31, 2019
CNY (¥)
Dec. 31, 2021
USD ($)
Dec. 31, 2018
CNY (¥)
Summarized statement of financial position            
Current assets ¥ 17,985,060   ¥ 19,260,985   $ 2,844,747  
Current liabilities (12,636,836)   (13,051,795)   (1,998,803)  
Non-current liabilities (848,506)   (1,406,453)   (134,209)  
Total equity 11,615,344   11,832,710 ¥ 11,573,385 1,837,232 ¥ 11,147,554
Attributable to NCI 2,756,192   2,818,086   435,955  
Summarized statement of comprehensive income            
Revenue 21,265,930 $ 3,363,691 20,581,170 18,016,085    
Profit after tax 407,894 64,517 779,326 860,700    
Total comprehensive income for the year 435,099 68,821 712,710 872,217    
Attributable to NCI 141,859 22,438 219,744 261,848    
Summarized statement of cash flows            
Operating 504,556 79,809 1,415,368 1,583,016    
Investing (738,848) (116,867) (785,753) (810,477)    
Financing (838,563) (132,638) (461,832) (589,429)    
Guangxi Yuchai Machinery Company Limited [member]            
Summarized statement of financial position            
Current assets 17,067,747   18,395,754   2,699,653  
Non-current assets, excluding goodwill 6,812,500   6,722,233   1,077,552  
Goodwill 212,636   212,636   33,633  
Current liabilities (12,620,344)   (13,035,680)   (1,996,195)  
Non-current liabilities (781,986)   (1,293,007)   (123,689)  
Net assets 10,690,553   11,001,936   1,690,954  
Total equity 10,690,553   11,001,936   1,690,954  
Attributable to NCI 2,574,669   2,624,933 2,603,227 $ 407,243  
Summarized statement of comprehensive income            
Revenue 21,254,134 3,361,826 20,557,660 17,980,304    
Profit after tax 443,499 70,149 829,042 825,807    
Total comprehensive income for the year 506,769 80,157 826,214 828,861    
Attributable to NCI 153,500 24,280 229,231 254,284    
Summarized statement of cash flows            
Operating 588,727 93,121 1,476,034 1,632,557    
Investing (674,686) (106,717) (794,291) (858,904)    
Financing (1,002,764) (158,610) (505,997) (656,576)    
Net increase in cash and cash equivalents ¥ (1,088,723) $ (172,206) ¥ 175,746 ¥ 117,077