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Certain risks and concentration (Tables)
12 Months Ended
Dec. 31, 2020
Certain risks and concentration  
Schedule of Consolidated Financial Information of VIEs and VIE's Subsidiaries

The following consolidated financial information of the Group’s VIE and its subsidiaries from continuing operations was included in the accompanying consolidated financial statements, before elimination of balances with the Company and its subsidiaries, as of and for the years ended:

As of December 31, 

(In thousands)

    

2019

    

2020

Current assets:

Cash and cash equivalents

 

34,847

 

14,284

Short-term investments

 

292

 

Accounts receivable, net

 

30,686

 

32,485

Due from related parties

 

1,644

 

10,955

Inventories

 

5,330

 

1,726

Prepayments and other current assets

 

20,747

 

15,712

Total current assets

 

93,546

 

75,162

Non-current assets:

 

 

Long-term investments

 

5,337

 

5,706

Deferred tax assets

 

985

 

Property and equipment, net

 

38,417

 

50,532

Intangible assets, net

 

9,426

 

8,857

Goodwill

 

20,382

 

22,607

Other long-term prepayments and non-current assets

 

313

 

905

Right-of-use assets

8,619

1,915

Restricted cash

2,983

1,541

Total non-current assets

 

86,462

 

92,063

Total assets

 

180,008

 

167,225

Current liabilities:

 

 

Accounts payable (including inter-companies balances with the Company and its subsidiaries of USD 21,297 and USD 30,439 as of December 31, 2019 and 2020, respectively (note a))

 

45,162

 

51,027

Due to a related party

 

2

 

55

Contract liabilities and deferred income, current portion

 

31,988

 

34,040

Income tax payable

 

2,436

 

2,500

Accrued liabilities and other payables (including inter-companies balances with the Company and its subsidiaries of USD 152,904 and USD 152,611 as of December 31, 2019 and 2020, respectively (note b))

 

191,406

 

185,972

Lease liabilities, current portion

4,621

1,912

Total current liabilities

 

275,615

 

275,506

Non-current liabilities:

 

 

Contract liabilities and deferred income, non-current portion

 

1,223

 

920

Deferred tax liabilities

1,179

1,085

Lease liabilities, non-current portion

4,073

27

Bank borrowings

 

11,324

 

19,924

Total non-current liabilities

 

17,799

 

21,956

Total liabilities

 

293,414

 

297,462

Years ended December 31, 

(In thousands)

    

2018

    

2019

    

2020

Net revenues from continuing operations

 

231,616

 

177,520

 

186,413

Net loss attributable to Xunlei Limited

 

(40,728)

 

(56,328)

 

(10,673)

Years ended December 31, 

(In thousands)

    

2018

    

2019

    

2020

Net cash provided by/(used in) operating activities

 

7,548

 

(16,047)

 

(21,008)

Net cash used in investing activities

 

(7,925)

 

(5,001)

 

(9,160)

Net cash provided by financing activities

 

2,096

 

11,707

 

7,154

 

1,719

 

(9,341)

 

(23,014)