v3.26.1
Consolidated Statements of Changes in Shareholders’ Equity
¥ in Thousands, $ in Thousands
Ordinary shares
Class A
CNY (¥)
shares
Ordinary shares
Class A
USD ($)
shares
Ordinary shares
Class B
CNY (¥)
shares
Ordinary shares
Class B
USD ($)
shares
Ordinary shares
Class C
CNY (¥)
shares
Ordinary shares
Class C
USD ($)
shares
Additional paid-in capital
CNY (¥)
Additional paid-in capital
USD ($)
Accumulated other comprehensive loss
CNY (¥)
Accumulated other comprehensive loss
USD ($)
Accumulated deficit
CNY (¥)
Accumulated deficit
USD ($)
Total Fangdd Network Group Ltd. shareholders’ equity
CNY (¥)
Total Fangdd Network Group Ltd. shareholders’ equity
USD ($)
Non- controlling interests
CNY (¥)
Non- controlling interests
USD ($)
CNY (¥)
USD ($)
Balance (in Dollars) ¥ 1   [1]   [1]   ¥ 5,051,631   ¥ (393,841)   ¥ (4,557,675)   ¥ 100,116   ¥ (4,722)   ¥ 95,394  
Balance at Dec. 31, 2022 ¥ 1   [1]   [1]   5,051,631   (393,841)   (4,557,675)   100,116   (4,722)   95,394  
Balance (in Shares) at Dec. 31, 2022 | shares [2] 20,565 20,565 6,889 6,889 1 1                        
Net income/(loss) for the year           (91,753)   (91,753)   (1,351)   (93,104)  
Exercise of share options under share-based compensation [1]                  
Exercise of share options under share-based compensation (in Shares) | shares [2] 62 62                        
Share-based compensation       105       105     105  
Capital contribution from non-controlling shareholders               635   635  
Disposal of subsidiaries               1,090   1,090  
Issuance of ordinary shares ¥ 3     [1]   46,629       46,632     46,632  
Issuance of ordinary shares (in Shares) | shares [2] 139,736 139,736 78 78                        
Conversion of Class B ordinary shares to Class A ordinary shares [1]   [1]                
Conversion of Class B ordinary shares to Class A ordinary shares (in Shares) | shares [2] 1,439 1,439 (1,439) (1,439)                        
Issuance of convertible promissory note       4,343       4,343     4,343  
Conversion of convertible promissory note ¥ 13       140,708       140,721     140,721  
Conversion of convertible promissory note (in Shares) | shares [2] 208,333 208,333                        
Foreign currency translation adjustments         (4,319)     (4,319)     (4,319)  
Balance at Dec. 31, 2023 ¥ 17   [1]   [1]   5,243,416   (398,160)   (4,649,428)   195,845   (4,348)   191,497  
Balance (in Shares) at Dec. 31, 2023 | shares [2] 370,135 370,135 5,450 5,450 79 79                        
Balance (in Dollars) ¥ 17   [1]   [1]   5,243,416   (398,160)   (4,649,428)   195,845   (4,348)   191,497  
Net income/(loss) for the year           30,833   30,833   (2,530)   28,303  
Exercise of share options under share-based compensation [1]                  
Exercise of share options under share-based compensation (in Shares) | shares [2] 6 6                                
Share-based compensation       18       18     18  
Capital contribution from non-controlling shareholders               1,905   1,905  
Disposal of subsidiaries               10   10  
Issuance of ordinary shares ¥ 74     [1]   88,486       88,560     88,560  
Issuance of ordinary shares (in Shares) | shares [2] 1,164,681 1,164,681 869 869                        
Reset warrants exercised for cashless ¥ 2             2     2  
Reset warrants exercised for cashless (in Shares) | shares [2] 28,274 28,274                        
Regular warrants exercised ¥ 9       25,304       25,313     25,313  
Regular warrants exercised (in Shares) | shares [2] 143,035 143,035                        
Issuance and exercise of pre-funded warrants ¥ 34       30,814       30,848     30,848  
Issuance and exercise of pre-funded warrants (in Shares) | shares [2] 522,884 522,884                        
Acquisition of subsidiaries with non-controlling interests               1,920   1,920  
Foreign currency translation adjustments         14,925     14,925     14,925  
Balance at Dec. 31, 2024 ¥ 136   [1]   [1]   5,388,038   (383,235)   (4,618,595)   386,344   (3,043)   383,301  
Balance (in Shares) at Dec. 31, 2024 | shares [2] 2,229,015 2,229,015 5,450 5,450 948 948                        
Balance (in Dollars) ¥ 136   [1]   [1]   5,388,038   (383,235)   (4,618,595)   386,344   (3,043)   383,301  
Net income/(loss) for the year           (84,710)   (84,710)   (1,296)   (86,006) $ (12,299)
Capital contribution from non-controlling shareholders               3,245   3,245  
Transaction with non-controlling interests       21       21   (25)   (4)  
Disposal of subsidiaries               1,258   1,258  
Issuance of ordinary shares     ¥ 1   162       163     163  
Issuance of ordinary shares (in Shares) | shares [2] 12,731 12,731                        
Acquisition of subsidiaries with non-controlling interests               350   350  
Issuance of convertible promissory note ¥ 2       3,372       3,374     3,374  
Issuance of convertible promissory note (in Shares) | shares [2] 26,031 26,031                        
Conversion of convertible promissory note ¥ 2,314       281,818       284,132     284,132  
Conversion of convertible promissory note (in Shares) | shares [2] 36,274,218 36,274,218                        
Ordinary shares adjustment reflected as a result of the Share Consolidation                  
Ordinary shares adjustment reflected as a result of the Share Consolidation (in Shares) | shares [2] 20 20                        
Foreign currency translation adjustments         (10,921)     (10,921)     (10,921) (1,562)
Balance at Dec. 31, 2025 ¥ 2,452 $ 351 [1] [1] ¥ 1 [1] 5,673,411 $ 811,287 (394,156) $ (56,364) (4,703,305) $ (672,564) 578,403 $ 82,710 489 $ 70 578,892 82,780
Balance (in Shares) at Dec. 31, 2025 | shares [2] 38,529,284 38,529,284 5,450 5,450 13,679 13,679                        
Balance (in Dollars) ¥ 2,452 $ 351 [1] [1] ¥ 1 [1] ¥ 5,673,411 $ 811,287 ¥ (394,156) $ (56,364) ¥ (4,703,305) $ (672,564) ¥ 578,403 $ 82,710 ¥ 489 $ 70 ¥ 578,892 $ 82,780
[1] Less than 1 after in thousand and rounding.
[2] Retrospectively restated to reflect the 2025 Share Consolidation.