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Description of business and organization - Reorganization and VIE (Details)
¥ / shares in Units, $ / shares in Units, ¥ in Thousands, $ in Thousands
1 Months Ended 12 Months Ended
Mar. 05, 2020
CNY (¥)
item
Apr. 30, 2022
item
Dec. 31, 2022
CNY (¥)
¥ / shares
Dec. 31, 2022
USD ($)
Dec. 31, 2021
CNY (¥)
Dec. 31, 2020
CNY (¥)
Dec. 31, 2022
USD ($)
Jan. 01, 2022
CNY (¥)
Nov. 12, 2019
USD ($)
$ / shares
shares
Description of business and organization                  
Authorized capital amount | $                 $ 50
Authorized capital | shares                 10,000,000,000
Par value of Authorized shares | $ / shares                 $ 0.000005
Number of equity method investments transferred | item   3              
Number of investment and consulting companies | item   2              
Current assets                  
Cash at bank     ¥ 737,384   ¥ 877,959   $ 106,911    
Restricted cash     40,957   23,004   5,938    
Accounts receivable - third parties, net     418,222   184,546   60,636    
Accounts receivable - related parties, net     482,992   768,747        
Notes receivable     145,442   137,710   21,087    
Inventories     131,555   223,319   19,074    
Amounts due from related parties     911,589   41,278   132,168    
Prepayments and other assets     412,934   200,075   59,870 ¥ 195,617  
Total current assets     3,281,075   2,456,638   475,711    
Non-current assets                  
Long-term investments     489,764   1,354,049   71,009    
Property and equipment, net     118,449   103,156   17,173    
Intangible assets, net     36,689   31,026   5,319    
Other non-current assets - third parties     26,029   19,904   3,773    
Other non-current assets - related parties     213,695   1,929   30,983    
Total non-current assets     969,952   1,510,064   140,628    
Total assets     4,251,027   3,966,702   616,339    
Current liabilities                  
Short-term borrowings     870,000   932,000   126,138    
Accounts payable - third parties     1,024,194   649,967   148,494    
Accounts payable - related parties     239,891   111,531   34,781    
Amounts due to related parties     191,174   376,906   27,718    
Current liabilities - third parties     4,706   2,685   682    
Current liabilities - related parties     316,667   363,285   45,912    
Accrued expenses and other current liabilities     738,603   458,979   107,087    
Total current liabilities     3,599,402   3,022,657   521,863    
Non-current liabilities                  
Non-current liabilities - third parties     70   317   10    
Non-current liabilities - related parties     282,080   472,749   40,898    
Other non-current liabilities     30,716   16,292   4,453    
Total non-current liabilities     828,818   489,358   120,167    
Total liabilities     4,428,220   3,512,015   642,030    
Restricted cash pledged for notes payable     40,957   23,004        
Notes receivable pledged for notes payable     25,034   110,550        
Consolidated revenues, net loss and cash flow information                  
Revenues     3,557,137 $ 515,736 2,779,063 ¥ 2,241,063      
Net loss     (1,539,301) (223,179) (1,179,615) (439,659)      
Net cash used in operating activities     405,765 58,833 872,325 368,046      
Net cash used in investing activities     (283,530) (41,108) (1,391,361) (91,112)      
Net cash provided by financing activities     537,767 77,969 2,192,792 1,138,126      
Net increase in cash and restricted cash     (122,622) (17,778) (102,913) 668,945      
Cash and restricted cash at the beginning of the year     900,963 130,627 1,003,876 334,931      
Cash and restricted cash at the end of the year     778,341 $ 112,849 900,963 1,003,876      
Paid-in-capital     ¥ 5,919,660       $ 858,270    
VIE's                  
Description of business and organization                  
Percentage of ownership interest in VIE     100.00% 100.00%          
Consideration for purchase of equity interest in VIE     ¥ 0   0        
Working Capital ¥ 20,000                
Number of equity method investments spun off | item 3                
Current assets                  
Cash at bank         642,293        
Restricted cash     0   23,004        
Accounts receivable - third parties, net         184,546        
Accounts receivable - related parties, net         813,364        
Notes receivable         137,710        
Inventories         223,319        
Amounts due from related parties         42,604        
Prepayments and other assets         182,589        
Total current assets         2,249,429        
Non-current assets                  
Long-term investments         441,586        
Property and equipment, net         94,387        
Intangible assets, net         31,026        
Other non-current assets - third parties         19,904        
Other non-current assets - related parties         1,929        
Total non-current assets         588,832        
Total assets         2,838,261        
Current liabilities                  
Short-term borrowings     0   932,000        
Accounts payable - third parties     0   622,867        
Accounts payable - related parties         159,528        
Notes payable         127,304        
Amounts due to related parties         2,452,787        
Current liabilities - third parties     0   2,685        
Current liabilities - related parties     0   363,285        
Accrued expenses and other current liabilities     0   442,588        
Total current liabilities         5,103,044        
Non-current liabilities                  
Non-current liabilities - third parties     0   317        
Non-current liabilities - related parties     0   472,749        
Other non-current liabilities     0   16,292        
Total non-current liabilities         489,358        
Total liabilities         5,592,402        
Restricted cash pledged for notes payable         23,004        
Amount of intercompany accounts receivable         57,039        
Amount of intercompany accounts payable         59,622        
Notes receivable pledged for notes payable         110,550        
Amount of intercompany due from related parties         1,326        
Amount of intercompany due to related parties         2,143,777        
Consolidated revenues, net loss and cash flow information                  
Revenues     936,520   2,755,780 2,241,536      
Net loss     2,793,301   (1,106,865) (495,741)      
Net cash used in operating activities     224,031   (817,989) (312,311)      
Net cash used in investing activities     165,672   (436,280) (91,112)      
Net cash provided by financing activities     (1,055,000)   1,047,854 940,204      
Net increase in cash and restricted cash     (665,297)   (206,415) 536,781      
Cash and restricted cash at the beginning of the year     665,297   871,712 334,931      
Cash and restricted cash at the end of the year         665,297 871,712      
Amount of intercompany revenue     265,452   26,290 31,394      
Amount of net cash used in operating activities from intercompany transactions     228,428   33,405 75,361      
Amount of net cash provided by financing activities from intercompany transactions     157,000   2,067,268 0      
Amount of intercompany net income (loss)     ¥ 2,981,707   (44,361) ¥ 21,950      
Paid-in-capital         ¥ 10,000        
Mr. Shufu Li                  
Description of business and organization                  
Par value of Authorized shares | ¥ / shares     ¥ 1.00