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ChartFinancialsNewsAbout
HighlightsIncome StatementBalance SheetCash Flow
Currency in CNYFY2021FY2022FY2023FY2024FY2025

Operating Activities

Net Income-1.59B-2.69B-2.18B-1.98B-943.69M
Depreciation & Amortization855.60M1.16B940.48M1.26B2.48B
Stock-Based Compensation434.35M359.83M181.65M214.44M446.91M
Working Capital Changes-425.60M522.82M-394.42M-111.93M1.76B
Operating Cash Flow-708.87M188.97M-169.07M628.42M3.80B
YoY Growth %——-189.5%—+504.9%

Investing Activities

Capital Expenditures-735.39M-1.44B-1.96B-3.68B-4.74B
Acquisitions150.33M-223.42M-5.47M-2.77M0.00
Investing Cash Flow-421.62M-32.87M-673.19M-3.62B-4.53B

Financing Activities

Debt Issuance (Net)2.16B-894.39M446.11M3.47B537.35M
Share Repurchases0.00-208.38M0.000.000.00
Dividends Paid0.000.000.000.000.00
Financing Cash Flow2.21B-1.15B-227.85M3.26B4.18B

Summary

Net Change in Cash1.03B-922.89M-1.04B240.62M3.39B
Free Cash Flow-1.44B-1.25B-2.13B-3.05B-941.34M
YoY Growth %—————

Financials are standardized for comparability and may differ from company-reported line-item presentation.

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