v3.26.1
Consolidated Balance Sheets
¥ in Thousands, $ in Thousands
Dec. 31, 2025
CNY (¥)
Dec. 31, 2025
USD ($)
Dec. 31, 2024
CNY (¥)
Current assets:      
Cash and cash equivalents ¥ 31,095 $ 4,447 ¥ 106,023
Restricted cash 3,102 444 34,601
Securities available for sale, at fair value 2,450 350 563,436
Equity securities, at fair value 2,746 393
Accounts receivable, net of allowances of RMB1,186 and RMB1,858 as of December 31, 2024 and 2025, respectively 65,533 9,371 95,138
Contract assets, net of allowances of nil and RMB164 as of December 31, 2024 and 2025, respectively 182,453 26,090 260,368
Other receivables, net 288,339 41,232 708,623
Other current assets 14,809 2,118 23,402
Current assets related to discontinued operation 248,104
Total current assets 603,779 86,340 2,039,695
Non-current assets:      
Restricted bank deposit – non-current 16,059 2,296 16,541
Contract assets - non-current, net of allowances of nil and 509 as of December 31, 2024 and 2025, respectively 565,418 80,854 693,638
Property, plant, and equipment, net 62,876 8,991 71,011
Deferred tax assets 8,902 1,273 9,976
Investments in affiliates 1,004,683
Other non-current assets 237,475 33,959 225,498
Right-of-use assets 33,589 4,803 60,850
Non-current assets related to discontinued operation 29,122
Total non-current assets 924,319 132,176 2,111,319
Total assets 1,528,098 218,516 4,151,014
Current liabilities:      
Short-term loans 56,000 8,008 134,976
Accounts payable 81,089 11,596 113,265
Accrued commissions 90,076 12,881 128,314
Insurance premium payables 6 1 312
Other payables and accrued expenses 184,722 26,415 177,083
Accrued payroll 17,940 2,565 19,167
Income taxes payable 67,020 9,584 63,325
Operating lease liabilities 15,308 2,189 30,054
Current liability related to discontinued operation 150,380
Total current liabilities 512,161 73,239 816,876
Non-current liabilities:      
Accrued commissions 316,419 45,247 387,540
Tax liabilities 25,701 3,675 25,701
Deferred tax liabilities 187,218 26,772 216,115
Operating lease liabilities 15,463 2,211 27,918
Other non-current liabilities 33,374
Non-current liabilities related to discontinued operation 13,035
Total non-current liabilities 544,801 77,905 703,683
Total liabilities 1,056,962 151,144 1,520,559
Commitments and contingencies
Shareholders’ Equity:      
Treasury stock (197)
Additional paid-in capital 401,928 57,475 192,760
Statutory reserves 343,026 49,052 593,691
Retained earnings (accumulated deficit) (235,471) (33,672) 1,789,250
Accumulated other comprehensive loss (91,213) (13,043) (37,666)
Total AIFU INC. shareholders’ equity 478,520 68,428 2,546,516
Non-controlling interests (7,384) (1,056) 83,939
Total shareholders’ equity 471,136 67,372 2,630,455
Total liabilities and shareholders’ equity 1,528,098 218,516 4,151,014
Class A Ordinary Shares      
Shareholders’ Equity:      
Ordinary shares value [1] 38,877 5,560 8,678
Class B Ordinary Shares      
Shareholders’ Equity:      
Ordinary shares value [1] 21,373 3,056
Related Party      
Current assets:      
Amounts due from a related party ¥ 13,252 $ 1,895
[1] Retrospectively restated for the 1-for-400 reverse share split effected on May 21, 2025.