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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, 2024
CNY (¥)
Dec. 31, 2024
USD ($)
Dec. 31, 2023
CNY (¥)
Dec. 31, 2022
CNY (¥)
Dec. 31, 2024
USD ($)
Dec. 31, 2021
CNY (¥)
Summarized statement of financial position            
Current assets ¥ 20,521,231   ¥ 19,163,855   $ 2,860,580  
Current liabilities (13,230,505)   (12,058,582)   (1,844,281)  
Non-current liabilities (1,518,024)   (1,523,411)   (211,607)  
Total equity 12,299,565   12,175,625 ¥ 11,835,064 1,714,513 ¥ 11,615,344
Attributable to NCI 3,134,940   2,949,097   436,999  
Summarized statement of comprehensive income            
Revenue 19,133,575 $ 2,667,146 18,046,349 16,030,636    
Profit after tax 491,742 68,547 422,856 335,661    
Total comprehensive income for the year 510,201 71,120 454,874 424,778    
Attributable to NCI 172,119 23,993 144,491 132,409    
Summarized statement of cash flows            
Operating 779,416 108,647 1,226,038 (119,419)    
Investing 113,101 15,766 (113,256) (133,048)    
Financing (526,635) (73,411) (33,742) (140,365)    
Guangxi Yuchai Machinery Company Limited [member]            
Summarized statement of financial position            
Current assets 19,675,359   18,073,115   2,742,669  
Non-current assets, excluding goodwill 6,225,707   6,293,318   867,839  
Goodwill 212,636   212,636   29,641  
Current liabilities (13,208,372)   (12,029,500)   (1,841,196)  
Non-current liabilities (1,451,625)   (1,457,329)   (202,351)  
Net assets/(liabilities) 11,453,705   11,092,240   1,596,602  
Total equity 11,453,705   11,092,240   1,596,602  
Attributable to NCI 2,921,456   2,741,359 2,627,354 $ 407,240  
Summarized statement of comprehensive income            
Revenue 19,102,797 2,662,856 18,015,280 15,998,041    
Profit after tax 511,379 71,284 431,697 355,140    
Total comprehensive income for the year 515,926 71,918 442,666 355,936    
Attributable to NCI 165,388 23,054 135,173 114,700    
Summarized statement of cash flows            
Operating 837,220 116,705 1,261,921 (82,444)    
Investing 18,761 2,615 23,243 (221,126)    
Financing (293,216) (40,873) (67,590) (181,072)    
Net increase in cash and cash equivalents ¥ 562,765 $ 78,447 ¥ 1,217,574 ¥ (484,642)