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Summary of Principal Accounting Policies - Amounts in Noah Investment and its Subsidiaries and the Consolidated Funds Included in Consolidated Financial Statements (Details)
¥ in Thousands, $ in Thousands
12 Months Ended
Dec. 31, 2022
CNY (¥)
Dec. 31, 2022
USD ($)
Dec. 31, 2021
CNY (¥)
Dec. 31, 2020
CNY (¥)
Dec. 31, 2022
USD ($)
Variable Interest Entity [Line Items]          
Cash and cash equivalents ¥ 4,403,915   ¥ 3,404,603 ¥ 5,005,211 $ 638,508
Restricted cash 23,203   510 9,993 3,364
Short-term investments 315,979   92,803   45,813
Accounts receivable, net 498,106   808,029   72,219
Amounts due from related parties 443,424   451,389   64,290
Loan receivables, net 465,780   595,766   67,532
Other current assets 166,739   163,710   24,175
Long-term investments 774,095   668,572   112,232
Property and equipment, net 2,486,317   2,580,935   360,482
Operating lease right-of-use assets, net 168,192   223,652   24,386
Deferred tax assets 436,441   335,905   63,278
Other non-current assets 124,124   161,832   17,996
Total Assets 11,798,135   10,889,789   1,710,568
Accrued payroll and welfare expenses 668,953   946,547   96,989
Deferred revenue 67,967   63,631   9,854
Other current liabilities 473,175   649,255   68,604
Deferred tax liabilities 249,768   234,134   36,213
Other non-current liabilities 59,760   100,020   8,664
Operating lease liabilities, non-current 83,171   130,956   12,059
Total Liabilities 2,297,660   2,748,148   333,129
Revenues by timing of recognition          
Total revenues 3,128,877 $ 453,644 4,326,600 3,324,712  
Less: VAT related surcharges (28,505) (4,133) (33,506) (18,886)  
Net revenues 3,100,372 449,511 4,293,094 3,305,826  
Total other income (expense) 61,100 8,858 99,144 (1,843,795)  
Net (loss) income 971,589 140,865 1,306,081 (743,522)  
Net (loss) income 976,571 141,587 1,314,131 (745,225)  
Cash flows (used in) provided by operating activities 632,901 91,764 1,521,838 796,353  
Cash flows provided by (used in) investing activities 74,289 10,773 (2,572,094) 352,584  
Cash flows used in financing activities 233,761 33,892 (513,121) (371,422)  
One Time Commissions [Member]          
Revenues by timing of recognition          
Total revenues 681,445   1,271,416 808,837  
Recurring Service Fees [Member]          
Revenues by timing of recognition          
Total revenues 1,914,415   2,109,009 1,930,199  
Performance Based Income [Member]          
Revenues by timing of recognition          
Total revenues 309,576   784,193 389,525  
Other Services [Member]          
Revenues by timing of recognition          
Total revenues 223,441   161,982 196,151  
Other          
Revenues by timing of recognition          
Total revenues 1,794,105 260,121 2,598,479 1,755,851  
Other | One Time Commissions [Member]          
Revenues by timing of recognition          
Total revenues 617,636 89,549 1,130,894 679,014  
Other | Recurring Service Fees [Member]          
Revenues by timing of recognition          
Total revenues 768,980 111,492 913,700 700,157  
Other | Performance Based Income [Member]          
Revenues by timing of recognition          
Total revenues 184,048 26,684 391,903 180,529  
Other | Other Services [Member]          
Revenues by timing of recognition          
Total revenues 223,441 32,396 161,982 196,151  
Funds Gopher manages          
Revenues by timing of recognition          
Total revenues 1,334,772 193,523 1,728,121 1,568,861  
Funds Gopher manages | One Time Commissions [Member]          
Revenues by timing of recognition          
Total revenues 63,809 9,251 140,522 129,823  
Funds Gopher manages | Recurring Service Fees [Member]          
Revenues by timing of recognition          
Total revenues 1,145,435 166,072 1,195,309 1,230,042  
Funds Gopher manages | Performance Based Income [Member]          
Revenues by timing of recognition          
Total revenues 125,528 18,200 392,290 208,996  
Variable Interest Entity, Primary Beneficiary [Member]          
Variable Interest Entity [Line Items]          
Cash and cash equivalents 1,566,729   1,181,479   227,154
Restricted cash 1,916   510   278
Short-term investments 82,594   9,662   11,975
Accounts receivable, net 161,957   475,652   23,482
Amounts due from related parties 287,577   276,744   41,694
Loan receivables, net 68,805   50,884   9,976
Other current assets 64,900   53,247   9,410
Long-term investments 348,992   300,720   50,599
Investment in affiliates 858,700   854,138   124,500
Property and equipment, net 35,694   43,971   5,175
Operating lease right-of-use assets, net 13,598   15,031   1,972
Deferred tax assets 92,105   63,312   13,354
Other non-current assets 3,753   7,620   544
Total Assets 3,587,320   3,332,970   520,113
Accrued payroll and welfare expenses 236,131   381,653   34,236
Income tax payable 123,099   149,226   17,848
Amounts due to the Group's subsidiaries* 55,762   179,325   8,085
Deferred revenue 8,616   6,721   1,249
Other current liabilities 178,652   238,738   25,902
Deferred tax liabilities 17,719   254   2,569
Other non-current liabilities 13,967   53,119   2,025
Operating lease liabilities, non-current 6,850   15,512   993
Total Liabilities 640,796   1,024,548   $ 92,907
Revenues by timing of recognition          
Total revenues 1,289,672 186,984 1,514,458 984,744  
Less: VAT related surcharges (7,452) (1,080) (9,350) (6,155)  
Net revenues 1,282,220 185,904 1,505,108 978,589  
Total operating cost and expenses (586,993) (85,106) (867,215) (524,913)  
Cash flows provided by operating activities which includes amounts due to the Group's subsidiaries 55,762 8,085 179,325 143,454  
Total other income (expense) 105,426 15,285 23,868 68,444  
Net (loss) income 658,023 95,404 616,421 393,299  
Net (loss) income 628,645 91,145 621,010 393,508  
Cash flows (used in) provided by operating activities 661,944 95,973 562,400 (409,359)  
Cash flows provided by (used in) investing activities (275,289) (39,913) (207,114) 357,026  
Cash flows used in financing activities     (16,416)    
Variable Interest Entity, Primary Beneficiary [Member] | Other          
Revenues by timing of recognition          
Total revenues 522,033 75,687 673,529 246,024  
Variable Interest Entity, Primary Beneficiary [Member] | Other | One Time Commissions [Member]          
Revenues by timing of recognition          
Total revenues 365,927 53,054 552,761 161,272  
Variable Interest Entity, Primary Beneficiary [Member] | Other | Recurring Service Fees [Member]          
Revenues by timing of recognition          
Total revenues 50,494 7,321 50,817    
Variable Interest Entity, Primary Beneficiary [Member] | Other | Other Services [Member]          
Revenues by timing of recognition          
Total revenues 105,612 15,312 69,951 84,752  
Variable Interest Entity, Primary Beneficiary [Member] | Funds Gopher manages          
Revenues by timing of recognition          
Total revenues 767,639 111,297 840,929 738,720  
Variable Interest Entity, Primary Beneficiary [Member] | Funds Gopher manages | One Time Commissions [Member]          
Revenues by timing of recognition          
Total revenues 50,227 7,282 86,801 36,290  
Variable Interest Entity, Primary Beneficiary [Member] | Funds Gopher manages | Recurring Service Fees [Member]          
Revenues by timing of recognition          
Total revenues 665,724 96,521 588,337 569,154  
Variable Interest Entity, Primary Beneficiary [Member] | Funds Gopher manages | Performance Based Income [Member]          
Revenues by timing of recognition          
Total revenues ¥ 51,688 $ 7,494 ¥ 165,791 ¥ 133,276