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Schedule 1 - Condensed Statements of Cash Flow (Details)
¥ in Thousands, $ in Thousands
12 Months Ended
Dec. 31, 2023
CNY (¥)
Dec. 31, 2023
USD ($)
Dec. 31, 2022
CNY (¥)
Dec. 31, 2021
CNY (¥)
Cash Flows from Operating Activities: ¥ 406,516 $ 57,258 ¥ 765,705 ¥ (1,096,652)
Cash Flows from Investing Activities:        
Purchase of short-term investments (11,445,715) (1,612,095) (17,083,380) (13,054,640)
Proceeds from maturity of short-term investments 10,683,916 1,504,798 17,023,969 12,253,325
Purchase of long-term investments (200,668) (28,263)   (9,900)
Prepaid investments     69,426  
Net cash used in investing activities (1,172,960) (165,208) (139,819) (846,898)
Cash Flows from Financing Activities:        
Proceeds from exercise of share option 11,710 1,649 9,729 2,971
Payment for share repurchase (526,025) (74,089) (67,022) (16,546)
Proceeds from initial public offering, net       2,133,437
Net cash provided by/(used in) financing activities (377,238) (53,133) (57,457) 2,119,670
Effect of exchange rate changes on cash and cash equivalents 26,173 3,685 37,723 (14,086)
Net (decrease)/increase in cash and cash equivalents (1,117,509) (157,398) 606,152 162,034
Total cash and cash equivalents and restricted cash at beginning of year 2,091,535 294,587 1,485,383 1,323,349
Total cash and cash equivalents and restricted cash at end of year 974,026 137,189 2,091,535 1,485,383
Waterdrop Inc. [Member]        
Cash Flows from Operating Activities: 621,178 87,491 534,951 320,097
Cash Flows from Investing Activities:        
Purchase of short-term investments (1,376,678) (193,901) (1,486,449) (1,875,171)
Proceeds from maturity of short-term investments 1,140,429 160,626 1,621,770 2,100,240
Investment in subsidiaries (5,938) (836) (178,395) (2,683,195)
Purchase of long-term investments (57,550) (8,106)    
Prepaid investments     (69,426)  
Net cash used in investing activities (299,737) (42,217) (112,500) (2,458,126)
Cash Flows from Financing Activities:        
Proceeds from exercise of share option 11,710 1,649 9,729 2,971
Payment for share repurchase (526,025) (74,089) (67,022) (16,546)
Proceeds from initial public offering, net       2,142,104
Net cash provided by/(used in) financing activities (514,315) (72,440) (57,293) 2,128,529
Effect of exchange rate changes on cash and cash equivalents (24,678) (3,475) (21,824) (14,162)
Net (decrease)/increase in cash and cash equivalents (217,552) (30,641) 343,334 (23,662)
Total cash and cash equivalents and restricted cash at beginning of year 351,817 49,552 8,483 32,145
Total cash and cash equivalents and restricted cash at end of year ¥ 134,265 $ 18,911 ¥ 351,817 ¥ 8,483