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CONSOLIDATED STATEMENTS OF SHAREHOLDERS' EQUITY (DEFICIT)
¥ in Thousands
Ordinary shares [Member]
Cumulative Effect, Period of Adoption, Adjustment
CNY (¥)
Ordinary shares [Member]
Cumulative Effect, Period of Adoption, Adjustment
USD ($)
Ordinary shares [Member]
CNY (¥)
shares
Ordinary shares [Member]
USD ($)
shares
Treasury stock [Member]
Cumulative Effect, Period of Adoption, Adjustment
CNY (¥)
Treasury stock [Member]
CNY (¥)
Treasury stock [Member]
USD ($)
Additional paid-in capital [Member]
Cumulative Effect, Period of Adoption, Adjustment
CNY (¥)
Additional paid-in capital [Member]
CNY (¥)
Additional paid-in capital [Member]
USD ($)
Accumulated other comprehensive loss [Member]
Cumulative Effect, Period of Adoption, Adjustment
CNY (¥)
Accumulated other comprehensive loss [Member]
CNY (¥)
Accumulated other comprehensive loss [Member]
USD ($)
Accumulated deficit [Member]
Cumulative Effect, Period of Adoption, Adjustment
CNY (¥)
Accumulated deficit [Member]
CNY (¥)
Accumulated deficit [Member]
USD ($)
Noncontrolling interests [Member]
Cumulative Effect, Period of Adoption, Adjustment
CNY (¥)
Noncontrolling interests [Member]
CNY (¥)
Noncontrolling interests [Member]
USD ($)
Contingently redeemable noncontrolling Interest [Member]
Cumulative Effect, Period of Adoption, Adjustment
CNY (¥)
Contingently redeemable noncontrolling Interest [Member]
CNY (¥)
Contingently redeemable noncontrolling Interest [Member]
USD ($)
Cumulative Effect, Period of Adoption, Adjustment
CNY (¥)
CNY (¥)
USD ($)
Cumulative adjustments for changes in accounting principles | ¥     ¥ 105     ¥ (8)     ¥ 1,860,763     ¥ (47,418)     ¥ (879,393)     ¥ 80,869     ¥ 0     ¥ 1,014,918  
Balance at Dec. 31, 2017 | ¥     ¥ 105     (8)     1,860,763     (47,418)     (879,393)     80,869     0     1,014,918  
Balance, shares at Dec. 31, 2017 | shares     130,091,977 130,091,977                                          
Net loss     ¥ 0 $ 0   0     0     0     (234,875)     (24,422)     0     (259,297)  
Other comprehensive income     0 0   0     0     (41,203)     0     1,527     0     (39,676)  
Accretion of contingently redeemable noncontrolling interests     0 0   0     0     0     (124,355)     3,989     120,366     (120,366)  
Share-based compensation     0 0   0     11,139     0     0     0     0     11,139  
Contribution from contingently redeemable noncontrolling interests     0 0   0     0     0     0     0     1,500,000     0  
Acquisition of additional shares of non-wholly owned subsidiaries     0 $ 0   0     (35,770)     0     0     (22,545)     0     (58,315)  
Restricted shares vested | ¥     ¥ 0     0     0     0     0     0     0     0  
Restricted shares vested (in shares) | shares     86,400 86,400                                          
Acquisition of noncontrolling interests     ¥ 0 $ 0   0     0     0     0     99,480     0     99,480  
Modification of noncontrolling interests     0 $ 0   0     (77,195)     0     0     (22,805)     100,000     (100,000)  
Balance at Dec. 31, 2018 ¥ 0 $ 0 ¥ 105   ¥ 0 (8)   ¥ 0 1,758,937   ¥ 0 (88,621)   ¥ 5,632 (1,232,991)   ¥ 0 116,093   ¥ 0 1,720,366   ¥ 5,632 553,515  
Balance, shares at Dec. 31, 2018 | shares     130,178,377 130,178,377                                          
Cumulative adjustments for changes in accounting principles 0 0 ¥ 105   0 (8)   0 1,758,937   0 (88,621)   5,632 (1,232,991)   0 116,093   0 1,720,366   5,632 553,515  
Net loss     0 $ 0   0     0     0     (307,049)     (45,043)     0     (352,092)  
Other comprehensive income     0 0   0     0     (8,664)     0     1,113     0     (7,551)  
Accretion of contingently redeemable noncontrolling interests     0 0   0     0     0     (245,477)     56,237     189,240     (189,240)  
Share-based compensation     0 0   0     20,593     0     0     0     0     20,593  
Contribution from contingently redeemable noncontrolling interests     0 0   0     7     0     0     4,585     0     4,592  
Acquisition of additional shares of non-wholly owned subsidiaries     0 $ 0   0     (19,596)     0     0     (30,589)     0     (50,185)  
Restricted shares vested | ¥     ¥ 0     0     0     0     0     0     0     0  
Restricted shares vested (in shares) | shares     63,618 63,618                                          
Balance at Dec. 31, 2019 | ¥     ¥ 105     (8)     1,759,941     (97,285)     (1,785,517)     102,396     1,909,606     (20,368)  
Balance, shares at Dec. 31, 2019 | shares     130,241,995 130,241,995                                          
Cumulative adjustments for changes in accounting principles | ¥     ¥ 105     (8)     1,759,941     (97,285)     (1,785,517)     102,396     1,909,606     (20,368)  
Net loss     0 $ 0   0     0     0     (309,989)     (94,040)     0     (404,029) $ (61,922,000)
Other comprehensive income     0 0   0     0     50,856     0     0     0     50,856  
Contribution from noncontrolling interest     0 0   0     59,464     0     0     51,410     0     110,874  
Accretion of contingently redeemable noncontrolling interests     0 0   0     0     0     (359,920)     87,266     272,654     (272,654)  
Share-based compensation     0 0   0     20,621     0     0     0     0     20,621  
Contribution from contingently redeemable noncontrolling interests     0 0   0     0     0     0     0     731,415     0  
Acquisition of additional shares of non-wholly owned subsidiaries     0 $ 0   0     0     0     0     3,078     0     3,078  
Restricted shares vested | ¥     ¥ 0     0     0     0     0     0     0     0  
Restricted shares vested (in shares) | shares     9,690 9,690                                          
Balance at Dec. 31, 2020 0 0 ¥ 105 $ 16,000 0 (8) $ (1,000) 0 1,840,026 $ 281,996,000 0 (46,429) $ (7,116,000) (1,223) (2,456,649) $ (376,498,000) 0 150,110 $ 23,005,000 0 2,913,675 $ 446,540,000 (1,223) (512,845) (78,598,000)
Balance, shares at Dec. 31, 2020 | shares     130,251,685 130,251,685                                          
Cumulative adjustments for changes in accounting principles ¥ 0 $ 0 ¥ 105 $ 16,000 ¥ 0 ¥ (8) $ (1,000) ¥ 0 ¥ 1,840,026 $ 281,996,000 ¥ 0 ¥ (46,429) $ (7,116,000) ¥ (1,223) ¥ (2,456,649) $ (376,498,000) ¥ 0 ¥ 150,110 $ 23,005,000 ¥ 0 ¥ 2,913,675 $ 446,540,000 ¥ (1,223) ¥ (512,845) $ (78,598,000)