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Schedule 1 - Condensed Statements of Cash Flow (Details)
¥ in Thousands, $ in Thousands
12 Months Ended
Dec. 31, 2024
CNY (¥)
Dec. 31, 2024
USD ($)
Dec. 31, 2023
CNY (¥)
Dec. 31, 2022
CNY (¥)
Cash Flows from Operating Activities: ¥ 437,250 $ 59,904 ¥ 406,516 ¥ 765,705
Cash Flows from Investing Activities:        
Purchase of short-term investments (6,441,705) (882,510) (11,445,715) (17,083,380)
Proceeds from maturity of short-term investments 7,891,955 1,081,193 10,683,916 17,023,969
Purchase of long-term investments (1,012,319) (138,687) (200,668)  
Proceeds from early redemption of long-term investments 71,957 9,858    
Prepaid investments       69,426
Net cash used in investing activities 291,637 39,953 (1,172,960) (139,819)
Cash Flows from Financing Activities:        
Proceeds from exercise of share option 7,225 990 11,710 9,729
Payment for share repurchase (106,979) (14,656) (526,025) (67,022)
Dividend to shareholders (158,671) (21,738)    
Net cash used in financing activities (198,579) (27,205) (377,238) (57,457)
Effect of exchange rate changes on cash and cash equivalents 2,577 353 26,173 37,723
Net increase/(decrease) in cash and cash equivalents 532,885 73,005 (1,117,509) 606,152
Total cash and cash equivalents and restricted cash at beginning of year 974,026 133,441 2,091,535 1,485,383
Total cash and cash equivalents and restricted cash at end of year 1,506,911 206,446 974,026 2,091,535
Waterdrop Inc. [Member]        
Cash Flows from Operating Activities: 1,615,062 221,263 621,178 534,951
Cash Flows from Investing Activities:        
Purchase of short-term investments (2,066,920) (283,167) (1,376,678) (1,486,449)
Proceeds from maturity of short-term investments 2,132,554 292,159 1,140,429 1,621,770
Investment in subsidiaries (14,664) (2,009) (5,938) (178,395)
Purchase of long-term investments (1,009,619) (138,317) (57,550)  
Proceeds from early redemption of long-term investments 35,979 4,929    
Prepaid investments       (69,426)
Net cash used in investing activities (922,670) (126,405) (299,737) (112,500)
Cash Flows from Financing Activities:        
Proceeds from exercise of share option 7,225 990 11,710 9,729
Payment for share repurchase (106,979) (14,656) (526,025) (67,022)
Dividend to shareholders (158,671) (21,738)    
Net cash used in financing activities (258,425) (35,404) (514,315) (57,293)
Effect of exchange rate changes on cash and cash equivalents 21,208 2,905 (24,678) (21,824)
Net increase/(decrease) in cash and cash equivalents 455,175 62,359 (217,552) 343,334
Total cash and cash equivalents and restricted cash at beginning of year 134,265 18,394 351,817 8,483
Total cash and cash equivalents and restricted cash at end of year ¥ 589,440 $ 80,753 ¥ 134,265 ¥ 351,817