| Schedule of Cash and Bank Balances |
| | |
As
at December 31, | |
| | |
2024 | | |
2025 | | |
2025 | |
| | |
RMB | | |
RMB | | |
US$ | |
| | |
| | |
| | |
| |
| Cash
and cash equivalents as stated in the consolidated statements of cash flows | |
| 893,100 | | |
| 1,195,784 | | |
| 170,995 | |
| Restricted
cash | |
| 24,633 | | |
| 5,685 | | |
| 812 | |
| Time
deposits with original maturity of more than three months | |
| 343,478 | | |
| 1,268,616 | | |
| 181,410 | |
| Cash
and bank balances as stated in the consolidated statements of financial position | |
| 1,261,211 | | |
| 2,470,085 | | |
| 353,217 | |
| Denominated
in: | |
| | | |
| | | |
| | |
| RMB | |
| 298,922 | | |
| 205,783 | | |
| 29,426 | |
| US$ | |
| 947,012 | | |
| 2,257,307 | | |
| 322,791 | |
| HK$ | |
| 13,812 | | |
| 3,827 | | |
| 547 | |
| Others | |
| 1,465 | | |
| 3,168 | | |
| 453 | |
| Total | |
| 1,261,211 | | |
| 2,470,085 | | |
| 353,217 | |
|