v3.26.1
Variable interest entities (Tables)
12 Months Ended
Dec. 31, 2025
Variable interest entities  
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)