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CONSOLIDATED BALANCE SHEETS
¥ in Thousands, $ in Thousands
Dec. 31, 2022
CNY (¥)
Dec. 31, 2022
USD ($)
Dec. 31, 2021
CNY (¥)
Current assets      
Cash and cash equivalents ¥ 143,934 $ 20,868 ¥ 492,107
Restricted cash 38,811 5,627 24,131
Short-term investments 2,000 290 6,150
Accounts receivable, net 470,997 68,288 884,740
Prepayments and other assets, net 191,996 27,837 220,171
Inventories 11,157 1,618  
Total current assets 858,895 124,528 1,627,299
Non-current assets      
Property, equipment and software, net 3,037 440 14,562
Equity method investments, net 206,086 29,880 257,122
Long-term equity investment, net 6,000 870 14,000
Goodwill, net 454 66  
Operating lease right-of-use assets 2,207 320  
Total non-current assets 217,784 31,576 285,684
Total assets 1,076,679 156,104 1,912,983
Current Liabilities      
Short-term bank borrowings (including short-term bank borrowings of consolidated VIE without recourse to the Company of RMB134,780 and RMB72,500 as of December 31, 2021 and 2022, respectively. Note 1) 72,500 10,512 134,780
Accounts payable (including accounts payable of consolidated VIE without recourse to the Company of RMB1,154,572 and RMB638,295 as of December 31, 2021 and 2022, respectively. Note 1) 659,215 95,577 1,175,943
Customers' refundable fees (including customers' refundable fees of consolidated VIE without recourse to the Company of RMB30,997 and RMB30,747 as of December 31, 2021 and 2022, respectively. Note 1) 30,747 4,458 30,997
Accrued expenses and other payables (including accrued expenses and other payables of consolidated VIE without recourse to the Company of RMB171,725 and RMB145,088 as of December 31, 2021 and 2022, respectively. Note 1) 181,140 26,263 238,198
Income tax payables (including income tax payables of consolidated VIE without recourse to the Company of RMB813 and RMB2,468 as of December 31, 2021 and 2022, respectively. Note 1) 4,876 707 813
Operating lease liabilities-current (including operating lease liabilities-current of consolidated VIE without recourse to the Company of nil and RMB1,096 as of December 31, 2021 and 2022, respectively. Note 1) 1,243 180  
Total current liabilities 949,721 137,697 1,580,731
Non-current liabilities      
Income tax payables (including income tax payables of consolidated VIE without recourse to the Company of RMB27,171 and RMB27,429 as of December 31, 2021 and 2022, respectively. Note 1) 30,772 4,461 28,575
Operating lease liabilities(including operating lease liabilities of consolidated VIE without recourse to the Company of nil and RMB791 as of December 31, 2021 and 2022, respectively. Note 1) 792 115  
Total non-current liabilities 31,564 4,576 28,575
Total liabilities 981,285 142,273 1,609,306
Commitments and contingencies
Equity:      
Additional paid-in capital 5,051,631 732,418 5,031,772
Accumulated other comprehensive loss (393,841) (57,102) (404,877)
Accumulated deficit (4,557,675) (660,801) (4,313,637)
Total Fangdd Network Group Ltd. shareholders' equity 100,116 14,515 313,259
Noncontrolling interests (4,722) (684) (9,582)
Total equity 95,394 13,831 303,677
Total liabilities and equity 1,076,679 156,104 1,912,983
Class A Ordinary shares      
Equity:      
Ordinary shares 1   1
Class B Ordinary shares      
Equity:      
Ordinary shares 0 0 0
Class C Ordinary shares      
Equity:      
Ordinary shares ¥ 0 $ 0 ¥ 0