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Other reserves (Details) - CNY (¥)
¥ in Thousands
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Disclosure of reserves within equity [line items]      
Balance at Beginning ¥ 10,989,851 ¥ 10,953,072 ¥ 10,512,631
Other comprehensive income, net of tax      
Foreign currency translation differences 29,111 26,216 426,145
Fair value changes on financial assets measured at fair value through other comprehensive income 2,852 500 5,324
Fair value changes on debt instruments measured at fair value through other comprehensive income 6,056    
Fair value changes on equity instruments measured at fair value through other comprehensive income (3,204)    
Disposal of subsidiaries 18,237    
Value of employee services and business cooperation arrangements 1,158 14,497 13,361
Vesting of shares under Restricted Share Unit Scheme     (4,720)
Exercise of shares under share option Scheme     331
Transactions with non-controlling interests   (4,434)  
Balance at Ending 11,041,209 10,989,851 10,953,072
Recapitalization reserve      
Disclosure of reserves within equity [line items]      
Balance at Beginning 1,200,000 1,200,000 1,200,000
Other comprehensive income, net of tax      
Balance at Ending 1,200,000 1,200,000 1,200,000
Share premium      
Disclosure of reserves within equity [line items]      
Balance at Beginning 9,627,159 9,627,159 9,627,159
Other comprehensive income, net of tax      
Balance at Ending 9,627,159 9,627,159 9,627,159
Sharebased compensation reserve      
Disclosure of reserves within equity [line items]      
Balance at Beginning 224,100 209,603 200,631
Other comprehensive income, net of tax      
Value of employee services and business cooperation arrangements 1,158 14,497 13,361
Vesting of shares under Restricted Share Unit Scheme     (4,720)
Exercise of shares under share option Scheme     331
Balance at Ending 225,258 224,100 209,603
Foreign currency translation differences      
Disclosure of reserves within equity [line items]      
Balance at Beginning 166,687 140,471 (285,674)
Other comprehensive income, net of tax      
Foreign currency translation differences 29,111 26,216 426,145
Disposal of subsidiaries 30,180    
Balance at Ending 225,978 166,687 140,471
Others      
Disclosure of reserves within equity [line items]      
Balance at Beginning (228,095) (224,161) (229,485)
Other comprehensive income, net of tax      
Fair value changes on financial assets measured at fair value through other comprehensive income   500 5,324
Fair value changes on debt instruments measured at fair value through other comprehensive income 6,056    
Fair value changes on equity instruments measured at fair value through other comprehensive income (3,204)    
Disposal of subsidiaries (11,943)    
Transactions with non-controlling interests   (4,434)  
Balance at Ending ¥ (237,186) ¥ (228,095) ¥ (224,161)