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INTERIM CONDENSED CONSOLIDATED STATEMENTS OF CHANGES IN SHAREHOLDERS' (DEFICIT)/EQUITY
¥ in Thousands, $ in Thousands
CNY (¥)
USD ($)
Class A ordinary shares [Member]
CNY (¥)
shares
Class B ordinary shares [Member]
CNY (¥)
shares
Additional paid-in capital [Member]
CNY (¥)
Statutory reserves [Member]
CNY (¥)
Accumulated deficit [Member]
CNY (¥)
Accumulated other comprehensive income/(loss) [Member]
CNY (¥)
Non-controlling interests [Member]
CNY (¥)
Pre-IPO ordinary shares [Member]
CNY (¥)
shares
Balance at Dec. 31, 2018 ¥ (1,141,433)       ¥ 138,024 ¥ 292 ¥ (1,281,191) ¥ 496 ¥ 888 ¥ 58
Balance (Shares) at Dec. 31, 2018 | shares                   92,000,000
Net loss (398,570)           (399,505)   935  
Share-based compensation expenses 5,498       5,498          
Foreign currency translation adjustment 55             55    
Deemed contribution related to acquisition of businesses under common control 69,603       69,603          
Accretions of convertible redeemable preferred shares (32,209)           (32,209)      
Balance at Sep. 30, 2019 (1,497,056)       213,125 292 (1,712,905) 551 1,823 ¥ 58
Balance (Shares) at Sep. 30, 2019 | shares                   92,000,000
Balance at Dec. 31, 2019 301,027   ¥ 16 ¥ 56 2,232,841 1,786 (1,920,081) (14,527) 936  
Balance (Shares) at Dec. 31, 2019 | shares     22,635,396 89,132,360            
Net loss (1,305,418) $ (192,267)         (1,305,035)   (383)  
Issuance of ordinary shares pursuant to incentive plans (Shares) | shares     1,987,389              
Issuance of ordinary shares pursuant to incentive plans 26,996   ¥ 1   26,995          
Share-based compensation expenses 26,901       26,901          
Deemed distribution to NetEase (2,060)       (2,060)          
Noncontrolling interests arising from business combination 624               624  
Foreign currency translation adjustment (19,466) (2,867)           (19,466)    
Balance at Sep. 30, 2020 ¥ (971,396) $ (143,071) ¥ 17 ¥ 56 ¥ 2,284,677 ¥ 1,786 ¥ (3,225,116) ¥ (33,993) ¥ 1,177  
Balance (Shares) at Sep. 30, 2020 | shares     24,622,785 89,132,360