| Schedule of Financial Instruments |
| | |
As of December 31, | |
| | |
2024 | | |
2025 | |
| | |
RMB’000 | | |
RMB’000 | |
| Assets as per consolidated statements of financial position | |
| | |
| |
| Financial assets measured at fair value | |
| | |
| |
| —Financial assets at fair value through profit or loss | |
| 132,352 | | |
| 1,291 | |
| —Financial assets at fair value through other comprehensive income | |
| 66,642 | | |
| 92,396 | |
| | |
| 198,994 | | |
| 93,687 | |
| Financial assets measured at amortized cost | |
| | | |
| | |
| —Cash and cash equivalents | |
| 126,614 | | |
| 81,154 | |
| —Trade receivables | |
| 44,506 | | |
| 21,714 | |
| —Financial assets included in other receivables and deposits | |
| 9,261 | | |
| 10,941 | |
| —Other financial assets | |
| 9,129 | | |
| — | |
| | |
| 189,510 | | |
| 113,809 | |
| | |
| 388,504 | | |
| 207,496 | |
| | |
| | | |
| | |
| Liabilities as per consolidated statements of financial position | |
| | | |
| | |
| Financial liabilities measured at fair value | |
| | | |
| | |
| —Convertible bonds | |
| 241,524 | | |
| — | |
| —Warrant | |
| — | | |
| 22,044 | |
| | |
| 241,524 | | |
| 22,044 | |
| Financial liabilities measured at amortized cost | |
| | | |
| | |
| —Borrowings | |
| 824,045 | | |
| 582,724 | |
| —Lease liabilities | |
| 4,552 | | |
| 2,590 | |
| —Trade payables | |
| 104,224 | | |
| 230,832 | |
| —Financial liabilities included in other payables and accruals | |
| 137,401 | | |
| 327,138 | |
| | |
| 1,070,222 | | |
| 1,143,284 | |
| | |
| 1,311,746 | | |
| 1,165,328 | |
|