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Other reserves
12 Months Ended
Dec. 31, 2022
Other reserves  
Other reserves

25   Other reserves

    

    

    

    

Foreign

    

    

Sharebased

currency

Recapitalization

Share

compensation

translation

reserve

premium

reserve

differences

Others

Total

RMB’000

RMB’000

RMB’000

RMB’000

RMB’000

RMB’000

As at January 1, 2020

 

1,200,000

6,929,485

84,491

475,295

(227,634)

8,461,637

Other comprehensive income

 

-Foreign currency translation differences

 

(608,427)

(608,427)

-Fair value changes on financial assets measured at fair value through other comprehensive income

(39)

(39)

Share premium from issuance of ordinary shares (a)

2,697,674

2,697,674

Share-based payments:

 

- Value of employee services and business cooperation arrangements

 

89,652

89,652

- Vesting of shares under Restricted Share Unit Scheme

 

(566)

(566)

As at December 31, 2020

 

1,200,000

9,627,159

173,577

(133,132)

(227,673)

10,639,931

Other comprehensive income

-Foreign currency translation differences

(152,542)

(152,542)

-Fair value changes on financial assets measured at fair value through other comprehensive income

(1,812)

(1,812)

Share-based payments:

- Value of employee services and business cooperation arrangements(Note 26)

25,409

25,409

- Exercise of shares under share option Scheme

2,345

2,345

- Vesting of shares under Restricted Share Unit Scheme

(700)

(700)

As at December 31, 2021

1,200,000

9,627,159

200,631

(285,674)

(229,485)

10,512,631

Other comprehensive income

-Foreign currency translation differences

426,145

426,145

-Fair value changes on financial assets measured at fair value through other comprehensive income

5,324

5,324

Share-based payments:

- Value of employee services and business cooperation arrangements (Note 26)

13,361

13,361

- exercise of shares under share option Scheme

331

331

- Vesting of shares under Restricted Share Unit Scheme

(4,720)

(4,720)

As at December 31, 2022

1,200,000

9,627,159

209,603

140,471

(224,161)

10,953,072

(a)

The excess of the net proceeds of approximately RMB225,727,710 received from the over-allotment options for the IPO over the aggregate par value of the ordinary shares of the Company at approximately RMB728 (Note 24(d)), being RMB225,727,000, was credited to the share premium account of the Company.

The excess of the net proceeds of approximately RMB2,471,951,645 received from the underwritten public offerings over the aggregate par value of the ordinary shares of the Company at approximately RMB4,305 (Note 24(d)), being RMB2,471,947,000, was credited to the share premium account of the Company.