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VIEs (VIEs Consolidated within Sohu Group, Financial Information) (Details) - USD ($)
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
ASSETS:      
Cash and cash equivalents $ 998,949,000 $ 217,057,000  
Restricted cash 1,969,000 330,791,000  
Short-term investments 399,345,000 100,745,000  
Accounts receivable, net 82,550,000 87,521,000  
Prepaid and other current assets 107,311,000 106,590,000  
Assets held for sale (current) 0 1,412,168,000  
Total current assets 1,590,124,000 2,254,872,000  
Fixed assets, net 329,997,000 337,674,000  
Other non-current assets 25,589,000 42,140,000  
Total assets 2,245,785,000 2,822,121,000  
LIABILITIES:      
Accounts payable 87,447,000 107,611,000  
Accrued liabilities 138,196,000 157,513,000  
Receipts in advance and deferred revenue 57,041,000 52,055,000  
Liabilities held for sale (current) 0 416,998,000  
Total current liabilities 503,451,000 1,284,730,000  
Long-term tax liabilities 193,918,000 188,760,000  
Deferred tax liabilities 249,165,000 217,593,000  
Total liabilities 953,598,000 1,790,140,000  
Cost of revenues:      
Total cost of revenues 204,671,000 217,437,000 $ 243,647,000
Operating expenses:      
Total operating expenses 533,433,000 459,082,000 501,353,000
Net income from continuing operations 69,271,000 (36,527,000) (98,499,000)
Net loss from discontinued operations 864,902,000 (91,793,000) 55,108,000
Cash flows from operating activities:      
Net cash provided by continuing operating activities 113,610,000 163,394,000 (18,267,000)
Net cash used in discontinued operating activities (175,888,000) (68,187,000) 228,857,000
Net cash provided by operating activities (62,278,000) 95,207,000 210,590,000
Cash flows from investing activities:      
Net cash used in continuing investing activities (537,419,000) 184,393,000 (214,814,000)
Net cash provided by/(used in) discontinued investing activities 1,054,148,000 235,374,000 (228,406,000)
Net cash used in investing activities 516,729,000 419,767,000 (443,220,000)
Cash flows from financing activities:      
Net cash provided by continuing financing activities (424,968,000) 101,795,000 (479,748,000)
Net cash provided by/(used in) discontinued financing activities (9,132,000) (8,209,000) (33,415,000)
Net cash provided by financing activities (434,100,000) 93,586,000 (513,163,000)
Variable Interest Entity Primary Beneficiary [Member]      
ASSETS:      
Cash and cash equivalents 32,513,000 47,028,000  
Restricted cash 0 1,211,000  
Short-term investments 0 153,000  
Accounts receivable, net 36,027,000 47,234,000  
Prepaid and other current assets 18,836,000 15,385,000  
Intra-Group receivables due from the Company's subsidiaries 647,330,000 506,659,000  
Assets held for sale (current) 0 113,011,000  
Total current assets 734,706,000 730,681,000  
Fixed assets, net 427,000 295,000  
Other non-current assets 86,744,000 69,284,000  
Total assets 821,877,000 800,260,000  
LIABILITIES:      
Accounts payable 12,325,000 11,145,000  
Accrued liabilities 43,695,000 46,888,000  
Receipts in advance and deferred revenue 45,844,000 43,076,000  
Other current liabilities 24,026,000 37,148,000  
Intra-Group payables due to the Company's subsidiaries 462,487,000 350,599,000  
Liabilities held for sale (current) 0 187,712,000  
Total current liabilities 588,377,000 676,568,000  
Long-term tax liabilities 14,465,000 14,134,000  
Deferred tax liabilities 3,323,000 2,014,000  
Other non-current liabilities 1,750,000 1,819,000  
Total liabilities 607,915,000 694,535,000  
Revenues:      
Total revenues 686,311,000 583,187,000 511,957,000
Cost of revenues:      
Total cost of revenues 217,946,000 235,050,000 240,809,000
Operating expenses:      
Total operating expenses 438,888,000 305,779,000 253,930,000
Net income from continuing operations 35,805,000 41,756,000 19,607,000
Net loss from discontinued operations (47,924,000) (82,329,000) (1,491,000)
Cash flows from operating activities:      
Net cash provided by continuing operating activities 35,619,000 79,614,000 24,660,000
Net cash used in discontinued operating activities (1,789,000) (13,244,000) (5,046,000)
Net cash provided by operating activities 33,830,000 66,370,000 19,614,000
Cash flows from investing activities:      
Net cash used in continuing investing activities (164,558,000) (107,094,000) (53,698,000)
Net cash provided by/(used in) discontinued investing activities 12,116,000 7,797,000 (18,040,000)
Net cash used in investing activities (152,442,000) (99,297,000) (71,738,000)
Cash flows from financing activities:      
Net cash provided by continuing financing activities 111,888,000 32,751,000 26,559,000
Net cash provided by/(used in) discontinued financing activities (9,131,000) 152,000 8,601,000
Net cash provided by financing activities 102,757,000 32,903,000 35,160,000
Variable Interest Entity Primary Beneficiary [Member] | Third-party [Member]      
Revenues:      
Total revenues 664,823,000 552,980,000 482,283,000
Cost of revenues:      
Total cost of revenues 81,725,000 93,333,000 101,044,000
Operating expenses:      
Total operating expenses 72,126,000 50,983,000 69,131,000
Variable Interest Entity Primary Beneficiary [Member] | Intra-Group [Member]      
Revenues:      
Total revenues 21,488,000 30,207,000 29,674,000
Cost of revenues:      
Total cost of revenues 136,221,000 141,717,000 139,765,000
Operating expenses:      
Total operating expenses 366,762,000 254,796,000 184,799,000
Cash flows from operating activities:      
Net cash provided by operating activities (505,553,000) (379,649,000) (310,243,000)
Cash flows from investing activities:      
Net cash used in investing activities (140,671,000) (106,321,000) (40,426,000)
Cash flows from financing activities:      
Net cash provided by financing activities 111,888,000 32,751,000 26,559,000
Variable Interest Entity Primary Beneficiary [Member] | External ​parties [​Member]      
Cash flows from operating activities:      
Net cash provided by operating activities 541,172,000 459,263,000 334,903,000
Cash flows from investing activities:      
Net cash used in investing activities $ (23,887,000) $ (773,000) $ (13,272,000)