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PARTLY OWNED SUBSIDIARY WITH MATERIAL NON-CONTROLLING INTERESTS (Tables)
12 Months Ended
Dec. 31, 2023
Partly Owned Subsidiary With Material Non-controlling Interests  
Schedule of equity interest held by non-controlling interests
            
Name  Country of incorporation and operation   2021    2022 
              
Shanghai Onway Group  PRC/Mainland China   49%   49%
              

 

         
   2021   2022 
    CNY    CNY 
           
(Loss)/profit for the year allocated to non-controlling interests:          
           
Shanghai Onway Group   (6,819)   2,327 
           
Dividends paid to non-controlling interests:          
           
Shanghai Onway Group   4,900     
           
Accumulated balances of non-controlling interest:          
           
Shanghai Onway Group   107,353    109,680 
           
Schedule of financial information
         
2021  Shanghai Onway Group 
   CNY   US$ 
         
Revenue   18,735    2,948 
Other income/(losses)   (32,312)   (5,084)
Loss for the year   (13,577)   (2,136)
Total comprehensive income loss for year   (13,577)   (2,136)
           
           
Current assets   187,619    29,519 
Non-current assets   126,573    19,914 
Current liabilities   (40,716)   (6,406)
Non-current liabilities   (40,259)   (6,334)
           
           
Net cash flows used in operating activities   (8,758)   (1,378)
Net cash flows used in investing activities   (1,509)   (237)
Net cash flows used in financing activities   (3,972)   (625)
           
Net decrease in cash and cash equivalents   (14,239)   (2,240)
           

 

         
2022  Shanghai Onway Group 
   CNY   US$ 
         
Revenue   20,306    2,944 
Other income/(losses)   (15,504)   (2,248)
Profit for the year   4,802    696 
Total comprehensive income loss for year   4,802    696 
           
           
Current assets   197,468    28,625 
Non-current assets   121,961    17,681 
Current liabilities   (44,602)   (6,466)
Non-current liabilities   (77,524)   (11,239)
           
           
Net cash flows used in operating activities   (6,588)   (956)
Net cash flows from investing activities   157    23 
Net cash flows used in financing activities   (7,743)   (1,122)
           
Net decrease in cash and cash equivalents   (14,174)   (2,055)