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 ¥ 4,696,817 $ 671,636 ¥ 4,452,416
Restricted cash (including RMB771,798 and RMB1,470,555 from the consolidated trusts as of December 31, 2024 and 2025, respectively) 2,844,101 406,701 2,353,384
Short term investments 2,852,254 407,867 3,394,073
Security deposit prepaid to third-party guarantee companies 325,698 46,574 162,617
Funds receivable from third party payment service providers 848,163 121,286 462,112
Accounts receivable and contract assets, net (net of allowance of RMB261,496 and RMB181,843 as of December 31, 2024 and 2025, respectively) 950,267 135,886 2,214,530
Financial assets receivable, net (net of allowance of RMB390,649 and RMB380,406 as of December 31, 2024 and 2025, respectively) ¥ 1,510,205 $ 215,956 1,553,912
Amounts due from related parties (net of allowance of RMB7,030 and nil as of December 31, 2024 and 2025, respectively)     ¥ 8,510
Other Receivable, after Allowance for Credit Loss, Current, Related Party [Extensible Enumeration] Related Party [Member] Related Party [Member] Related Party [Member]
Loans receivable, net (including RMB6,956,948 and RMB12,399,462 from the consolidated trusts as of December 31, 2024 and 2025, respectively) ¥ 34,680,954 $ 4,959,310 ¥ 26,714,428
Prepaid expenses and other assets (including RMB109,428 and RMB108,174 from the consolidated trusts as of December 31, 2024 and 2025, respectively) 772,999 110,537 1,464,586
Total current assets 49,481,458 7,075,753 42,780,568
Non-current assets:      
Accounts receivable and contract assets, net-noncurrent (net of allowance of RMB10,540 and RMB6,189 as of December 31, 2024 and 2025, respectively) 21,992 3,145 27,132
Financial assets receivable, net-noncurrent (net of allowance of RMB55,440 and RMB49,776 as of December 31, 2024 and 2025, respectively) ¥ 209,459 $ 29,952 170,779
Amounts due from related parties, non-current (net of allowance of RMB5 and nil as of December 31, 2024 and 2025, respectively)     ¥ 51
Other Receivable, after Allowance for Credit Loss, Noncurrent, Related Party [Extensible Enumeration] Related Party [Member] Related Party [Member] Related Party [Member]
Loans receivable, net-noncurrent (including RMB631,575 and RMB1,754,356 from the consolidated trusts as of December 31, 2024 and 2025, respectively) ¥ 4,002,159 $ 572,301 ¥ 2,537,749
Property and equipment, net 636,994 91,089 362,774
Land use rights, net 966,582 138,219 956,738
Intangible assets 10,670 1,526 11,818
Goodwill 45,200 6,464 42,414
Deferred tax assets 1,379,933 197,328 1,206,325
Other non-current assets 195,348 27,934 36,270
Total non-current assets 7,468,337 1,067,958 5,352,050
TOTAL ASSETS 56,949,795 8,143,711 48,132,618
Current liabilities:      
Payable to investors of the consolidated trusts-current 9,922,559 1,418,907 8,188,454
Accrued expenses and other current liabilities 2,935,726 $ 419,803 2,492,921
Amounts due to related parties ¥ 0   ¥ 67,495
Other Liability, Current, Related Party [Extensible Enumeration] Related Party [Member] Related Party [Member] Related Party [Member]
Short term loans ¥ 1,202,891 $ 172,011 ¥ 1,369,939
Convertible senior notes-current 1,019,130 145,734  
Guarantee liabilities-stand ready 2,314,865 331,021 2,383,202
Guarantee liabilities-contingent 1,872,149 267,714 1,820,350
Income tax payable 1,083,176 154,892 1,040,687
Other tax payable 9,333 1,335 109,161
Total current liabilities 20,359,829 2,911,417 17,472,209
Non-current liabilities:      
Deferred tax liabilities 320,149 45,781 439,435
Payable to investors of the consolidated trusts-noncurrent 9,930,000 1,419,971 5,719,600
Convertible senior notes-noncurrent 1,583,213 226,396  
Other long-term liabilities 599,561 85,736 255,155
Total non-current liabilities 12,432,923 1,777,884 6,414,190
TOTAL LIABILITIES 32,792,752 4,689,301 23,886,399
Contingencies (Note 19)
SHAREHOLDERS' EQUITY      
Ordinary shares (USD0.00001 par value per share 5,000,000,000 shares authorized, 296,540,988 shares issued and 283,981,320 shares outstanding as of December 31, 2024, and 283,019,282 shares issued and 243,823,900 shares outstanding as of December 31, 2025, respectively) 20 3 21
Treasury stock (4,066,385) (581,485) (1,113,608)
Additional paid-in capital 3,874,816 554,091 4,339,413
Retained earnings 24,502,158 3,503,762 20,952,340
Other comprehensive income (loss) (195,694) (27,985) 11,877
TOTAL QFIN HOLDINGS, INC EQUITY 24,114,915 3,448,386 24,190,043
Non-controlling interests 42,128 6,024 56,176
TOTAL EQUITY 24,157,043 3,454,410 24,246,219
TOTAL LIABILITIES AND EQUITY ¥ 56,949,795 $ 8,143,711 ¥ 48,132,618