| Schedule of financial information of the Group's VIEs |
| | | | | | | | | As of December 31, | | | 2023 | | 2024 | | 2025 | | | RMB | | RMB | | RMB | Property and equipment | | 283,793 | | 163,307 | | 143,349 | Intangible assets | | 449,509 | | 421,566 | | 420,463 | Treasury investments | | 2,636,525 | | 3,807,688 | | 1,936,796 | Investments accounted for using the equity method | | 2,477,462 | | 2,479,867 | | 2,693,360 | Other financial investments measured at fair value through profit or loss | | 1,087,494 | | 1,225,044 | | 1,310,697 | Other financial investments measured at fair value through other comprehensive income | | 414,773 | | 496,472 | | 467,020 | Accounts receivable | | 2,091,011 | | 2,318,179 | | 2,848,474 | Amounts due from the Company and its subsidiaries | | 25,637,023 | | 31,467,731 | | 29,022,858 | Restricted cash | | 1,137,507 | | 1,559,177 | | 2,473,383 | Cash and cash equivalents | | 14,631,898 | | 3,981,383 | | 6,183,409 | Other assets | | 3,964,380 | | 8,190,767 | | 7,816,888 | Total assets | | 54,811,375 | | 56,111,181 | | 55,316,697 | Shareholders’ deficit of VIEs | | (21,029,871) | | (22,135,916) | | (19,139,281) | Borrowings | | 3,496,853 | | 3,440,561 | | 6,118,943 | Lease liabilities | | 105,645 | | 103,282 | | 150,446 | Accounts and notes payable | | 4,490,690 | | 4,372,876 | | 4,822,552 | Amounts due to the Company and its subsidiaries | | 61,319,852 | | 63,177,051 | | 54,344,585 | Other liabilities | | 6,428,206 | | 7,153,327 | | 9,019,452 | Total liabilities | | 75,841,246 | | 78,247,097 | | 74,455,978 | Total liabilities and shareholders’ deficit of VIEs | | 54,811,375 | | 56,111,181 | | 55,316,697 |
| | | | | | | | | For the Year Ended December 31, | | | 2023 | | 2024 | | 2025 | | | RMB | | RMB | | RMB | Total revenues | | 181,926,012 | | 192,643,797 | | 210,219,263 | Profit (loss) for the year | | 1,079,592 | | 546,030 | | 2,179,295 | Net cash generated from (used in) operating activities | | 16,513,314 | | 1,115,983 | | 3,174,544 | Net cash generated from (used in) investing activities | | 1,202,359 | | (7,608,750) | | 2,570,861 | Net cash generated from (used in) financing activities | | (8,642,610) | | (4,157,748) | | (3,543,379) |
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