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CONSOLIDATED STATEMENTS OF CASH FLOWS
¥ 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 loss attributable to HUYA Inc. ¥ (112,591) $ (16,101) ¥ (47,955) ¥ (204,519)
Adjustments to reconcile net loss to net cash (used in) provided by operating activities        
Depreciation of property and equipment 35,475 5,073 39,945 46,803
Amortization of acquired intangible assets 39,545 5,655 36,555 54,320
Amortization of right-of-use assets 33,016 4,721 37,461 39,277
Allowance (Reversal of) for expected credit losses 67,832 9,700 (5,797) 13,394
Gains on disposal of property and equipment and other long-term assets (928) (133) (831) (594)
Share-based compensation 73,592 10,523 64,520 78,265
Share of loss in equity method investments, net of income taxes 2,695 385 0 0
Deferred income tax benefits (4,059) (580) (4,041) (4,007)
Impairment loss of investments 120,156 17,182 232,466 225,800
Foreign currency exchange losses, net 6,718 961 3,802 1,593
Gains on disposal of investments (1,500) (214) 0 0
Gains on disposal of other asset (5,215) (746) 0 0
Changes in operating assets and liabilities, net of effects from acquisition:        
Accounts receivable (163,745) (23,415) (9,043) 4,706
Prepayments and other assets 26,303 3,760 50,142 36,277
Prepaid assets and amounts due from related parties (83,136) (11,888) (59,002) (88,861)
Accounts payable 175,647 25,117 50,269 4,472
Amounts due to related parties (11,363) (1,625) 12,585 15,286
Advances from customers and deferred revenue (41,423) (5,923) (158,235) (60,114)
Lease liabilities (25,421) (3,636) (29,220) (31,664)
Accrued liabilities and other current liabilities (314,635) (44,992) (124,018) (183,505)
Income tax payable 6,885 985 4,680 20,990
Net cash (used in) provided by operating activities (176,152) (25,191) 94,283 (32,081)
Cash flows from investing activities        
Placements of short-term deposits (3,475,510) (496,991) (3,428,284) (6,064,259)
Maturities of short-term deposits 5,815,847 831,655 7,265,712 8,285,719
Placements of short-term investments (1,342,297) (191,946) (10,000) 0
Maturities of short-term investments 1,342,297 191,946 10,000 3,117
Placements of long-term deposits     (60,000) (2,141,404)
Maturities of long-term deposits 50,000 7,150 140,000 714,657
Purchase of property and equipment (167,830) (23,999) (186,257) (123,207)
Purchase of intangible assets (20,982) (3,000) (24,244) (8,084)
Cash paid for long-term investments (24,000) (3,432) 0 (68,332)
Cash consideration paid for business combination under common control     (28,770) (546,084)
Cash received from disposal of investments 3,000 429 0 0
Proceeds from disposal of property and equipment 1,076 154 378 1,083
Proceeds from disposal of other assets 3,677 526 0 0
Net cash provided by investing activities 2,185,278 312,492 3,678,535 53,206
Cash flows from financing activities        
Repurchase of shares (90,345) (12,919) (247,890) (202,422)
Dividends paid to shareholders (2,407,847) (344,318) (2,857,461) 0
Proceeds from exercise of vested share options 0 0 680 128
Net cash used in financing activities (2,498,192) (357,237) (3,104,671) (202,294)
Net (decrease) increase in cash and cash equivalents and restricted cash (489,066) (69,936) 668,147 (181,169)
Cash and cash equivalents and restricted cash at the beginning of the year 1,205,942 172,447 530,110 698,141
Effect of exchange rate changes on cash and cash equivalents and restricted cash (12,182) (1,742) 7,685 13,138
Cash and cash equivalents and restricted cash at the end of the year 704,694 100,769 1,205,942 530,110
Supplemental disclosure of cash flows information:        
- Unpaid cash consideration for business acquisition       (28,742)
- Income tax received (paid) (6,116) (875) (13,519) 8,895
- Unpaid cash consideration for repurchase of treasury shares     (4,365) (3,923)
- Acquisition of property and equipment, included with accrued liabilities and other current liabilities ¥ 61,460 $ 8,789 ¥ 73,309 ¥ 62,357