v3.25.1
Consolidated Balance Sheets
¥ in Thousands, $ in Thousands
Dec. 31, 2024
CNY (¥)
Dec. 31, 2024
USD ($)
Dec. 31, 2023
CNY (¥)
Current assets:      
Cash and cash equivalents ¥ 192,117 $ 26,320 ¥ 521,538
Restricted cash (including restricted cash of the former consolidated VIEs and VIEs’ subsidiaries that can only be used to settle obligations of the VIEs of RMB14,942 and nil as of December 31, 2023 and 2024, respectively) 35,539 4,868 53,238
Short term investments (including investments measured at fair value of RMB925,678 and RMB615,461 as of December 31, 2023 and 2024, respectively) 615,461 84,318 928,270
Accounts receivable, net of allowances of RMB15,650 and RMB12,254 as of December 31, 2023 and 2024, respectively 170,901 23,414 279,912
Contract assets, net of allowances of RMB36 and nil as of December 31, 2023 and 2024, respectively 260,368 35,670 359,506
Other receivables, net 732,696 100,379 111,754
Other current assets, net 32,613 4,468 121,347
Total current assets 2,039,695 279,437 2,375,565
Non-current assets:      
Restricted bank deposit – non-current (including restricted cash of the former consolidated VIEs and VIEs’ subsidiaries that can only be used to settle obligations of the VIEs of RMB9,107 and nil as of December 31, 2023 and 2024, respectively) 18,088 2,478 27,228
Contract assets - non-current, net of allowances of RMB98 and nil as of December 31, 2023 and 2024, respectively 693,638 95,028 711,424
Property, plant, and equipment, net 78,317 10,729 91,659
Intangible assets, net 58,316
Goodwill, net 374,149
Deferred tax assets 9,976 1,367 40,735
Investments in affiliates 1,004,683 137,641
Other non-current assets 231,735 31,748 235,752
Right-of-use assets 74,882 10,259 136,056
Total non-current assets 2,111,319 289,250 1,675,319
Total assets 4,151,014 568,687 4,050,884
Current liabilities:      
Short-term loans 134,976 18,492 164,300
Accounts payable (including accounts payable of the former consolidated VIEs and former VIEs’ subsidiaries without recourse to the Company of RMB2,020 as of December 31, 2023) 113,265 15,517 251,249
Accrued commissions (including accrued commissions of the former consolidated VIEs and former VIEs’ subsidiaries without recourse to the Company of RMB RMB471 as of December 31, 2023) 128,314 17,579 155,558
Insurance premium payables (including insurance premium payables of the former consolidated VIEs and former VIEs’ subsidiaries without recourse to the Company of RMB14,817 as of December 31, 2023) 312 43 14,943
Other payables and accrued expenses (including other payables and accrued expenses of the former consolidated VIEs and VIEs’ subsidiaries without recourse to the Company of RMB3,864 as of December 31, 2023) 269,529 36,925 185,999
Accrued payroll (including accrued payroll of the former consolidated VIEs and former VIEs’ subsidiaries without recourse to the Company of RMB8,173 as of December 31, 2023) 61,013 8,359 94,305
Income taxes payable (including income taxes payable of the former consolidated VIEs and former VIEs’ subsidiaries without recourse to the Company of RMB7,416 as of December 31, 2023) 73,429 10,060 100,260
Current operating lease liabilities (including current operating lease liabilities of the former consolidated VIEs and former VIEs’ subsidiaries without recourse to the Company of RMB3,236 as of December 31, 2023) 36,038 4,936 57,164
Total current liabilities 816,876 111,911 1,023,778
Non-current liabilities:      
Accrued commissions – non-current (including accrued commissions of the former consolidated VIEs and former VIEs’ subsidiaries without recourse to the Company of RMB1,579 as of December 31, 2023) 387,540 53,093 401,385
Other tax liabilities (including other tax liability of the former consolidated VIEs and former VIEs’ subsidiaries without recourse to the Company of RMB22,184 as of December 31, 2023) 29,624 4,058 34,368
Deferred tax liabilities (including deferred tax liability of the former consolidated VIEs and former VIEs’ subsidiaries without recourse to the Company of RMB4,118 as of December 31, 2023) 217,673 29,821 149,151
Non-current operating lease liabilities (including non-current operating lease liabilities of the former consolidated VIEs and former VIEs’ subsidiaries without recourse to the Company of nil as of December 31, 2023) 35,472 4,860 71,311
Other non-current liabilities (including other non-current liability of the former consolidated VIEs and former VIEs’ subsidiaries without recourse to the Company of RMB552 as of December 31, 2023) 33,374 4,572 33,373
Total non-current liabilities 703,683 96,404 689,588
Total liabilities 1,520,559 208,315 1,713,366
Commitments and contingencies
Shareholders’ Equity:      
Treasury stock (197) (27) (178)
Additional paid-in capital 192,760 26,408 162,721
Statutory reserves 593,691 81,335 608,376
Retained earnings 1,789,250 245,126 1,319,605
Accumulated other comprehensive loss (37,666) (5,160) (27,936)
Total AIFU INC. shareholders’ equity 2,546,516 348,872 2,071,263
Noncontrolling interests 83,939 11,500 266,255
Total shareholders’ equity 2,630,455 360,372 2,337,518
Total liabilities and shareholders’ equity 4,151,014 568,687 4,050,884
Class A Ordinary shares      
Shareholders’ Equity:      
Ordinary shares [1] 8,678 1,190 8,675
Class B Ordinary shares      
Shareholders’ Equity:      
Ordinary shares [1] [1]
[1] Retrospectively restated for a dual-class structure with effective date of October 31, 2024.