v3.26.1
Other Reserves - Schedule of Other Reserve (Details) - CNY (¥)
¥ in Millions
6 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Disclosure Of Reserves Within Equity [Line Items]    
Beginning balance ¥ 83,050 ¥ 69,726
Currency translation differences (1,098) (137)
Fair value changes on financial assets at fair value through other comprehensive income (5,440) 11,610
Share of other comprehensive income (loss) of associates 1 (38)
Share based compensation 339 297
Exercise of share options/ RSUs 4 277
Deemed disposal (8)  
Acquisition of Ximalaya 4,986  
Recognition and fair value change of financial liabilities in respect of the put option from business combinations (68) (345)
Transactions with minority interest (9)  
Ending balance 81,073 86,375
Other reserves    
Disclosure Of Reserves Within Equity [Line Items]    
Beginning balance 22,450 19,845
Currency translation differences (1,091) (137)
Fair value changes on financial assets at fair value through other comprehensive income (5,440) 11,610
Share of other comprehensive income (loss) of associates 1 (38)
Share based compensation 339 297
Exercise of share options/ RSUs (116) (224)
Deemed disposal   (147)
Acquisition of Ximalaya 120  
Recognition and fair value change of financial liabilities in respect of the put option from business combinations (68) (345)
Transfer of losses on deemed disposal of financial instruments to retained earnings 265  
Transactions with minority interest 18  
Ending balance 16,478 30,861
Share-based compensation reserve    
Disclosure Of Reserves Within Equity [Line Items]    
Beginning balance 1,562 1,691
Share based compensation 339 297
Exercise of share options/ RSUs (116) (224)
Ending balance 1,785 1,764
Contribution From Ultimate Holding Company    
Disclosure Of Reserves Within Equity [Line Items]    
Beginning balance 463 463
Ending balance 463 463
PRC statutory reserve    
Disclosure Of Reserves Within Equity [Line Items]    
Beginning balance 242 231
Ending balance 242 231
Foreign currency translation reserve    
Disclosure Of Reserves Within Equity [Line Items]    
Beginning balance (545) 277
Currency translation differences (1,091) (137)
Ending balance (1,636) 140
Fair value reserve    
Disclosure Of Reserves Within Equity [Line Items]    
Beginning balance 14,099 10,005
Fair value changes on financial assets at fair value through other comprehensive income (5,440) 11,610
Transfer of losses on deemed disposal of financial instruments to retained earnings 265  
Ending balance 8,924 21,615
Others | Other reserves    
Disclosure Of Reserves Within Equity [Line Items]    
Beginning balance 6,629 7,178
Share of other comprehensive income (loss) of associates 1 (38)
Deemed disposal   (147)
Acquisition of Ximalaya 120  
Recognition and fair value change of financial liabilities in respect of the put option from business combinations (68) (345)
Transactions with minority interest 18  
Ending balance ¥ 6,700 ¥ 6,648