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Parent Company Only Condensed Financial Information - Schedule of Condensed Statements of Cash Flows (Detail)
¥ in Thousands, $ in Thousands
12 Months Ended
Dec. 31, 2025
CNY (¥)
Dec. 31, 2025
USD ($)
Dec. 31, 2024
CNY (¥)
Dec. 31, 2023
CNY (¥)
Cash flows from operating activities:        
Net Cash Provided by (Used in) Operating Activities ¥ 55,186 $ 7,891 ¥ (67,912) ¥ (438,145)
Cash flows from investing activities:        
Loans made to intra-Group companies (1,200) (171) (13,100) (31,405)
Loans repaid by intra-Group companies 5,000 715 19,607 25,000
Net cash provided by/(used in) investing activities (253,363) (36,230) (13,585) 125,573
Cash flows from financing activities:        
Proceeds from long-term loans from NetEase Group 25,150 3,596 487,971 99,289
Repayment of long-term loans from NetEase Group     (214,038)  
Repurchase of ADSs     (62,300) (127,543)
Proceeds from issuance of ordinary shares pursuant to incentive plan 20,869 2,984 16,879 9,312
Net cash (used in)/provided by financing activities 45,638 6,526 228,512 (18,942)
Effect of exchange rate changes on cash and cash equivalents (2,024) (289) (2,457) 1,961
Net (decrease)/increase in cash, cash equivalents and restricted cash (154,563) (22,102) 144,558 (329,553)
Cash, cash equivalents and restricted cash at the beginning of the year 599,489 85,726 454,931 784,484
Total cash, cash equivalents and restricted cash shown in the statements of cash flows 444,926 63,624 599,489 454,931
Parent Company [Member]        
Cash flows from operating activities:        
Net Cash Provided by (Used in) Operating Activities (33,431) (4,781) (36,424) (50,269)
Cash flows from investing activities:        
Loans made to intra-Group companies (158,060) (22,602) (8,860)  
Loans repaid by intra-Group companies 140,273 20,059 241,041 41,309
Net cash provided by/(used in) investing activities (17,787) (2,543) 232,181 41,309
Cash flows from financing activities:        
Proceeds from long-term loans from NetEase Group 25,150 3,596 70,971 99,289
Repayment of long-term loans from NetEase Group     (214,038)  
Repurchase of ADSs     (62,300) (127,543)
Proceeds from issuance of ordinary shares pursuant to incentive plan 20,869 2,984 16,879 9,312
Net cash (used in)/provided by financing activities 46,019 6,580 (188,488) (18,942)
Effect of exchange rate changes on cash and cash equivalents (151) (22) 107  
Net (decrease)/increase in cash, cash equivalents and restricted cash (5,350) (766) 7,376 (27,902)
Cash, cash equivalents and restricted cash at the beginning of the year 9,892 1,415 2,516 30,418
Total cash, cash equivalents and restricted cash shown in the statements of cash flows ¥ 4,542 $ 649 ¥ 9,892 ¥ 2,516