2 0 2 4 INTERIM REPORT 13 Unaudited Condensed Consolidated Balance Sheet (All amounts in thousands, except for share and per share data) As of June 30, As of December 31, 2024 2023 Note RMB RMB ASSETS Current assets Cash and cash equivalents 2(g) 14,253,645 21,127,163 Restricted cash 2(h) 3,451,099 3,174,886 Short-term deposits 2(i) 10,868,694 9,756,979 Restricted short-term deposits 533,377 ?Short-term investments 2(k), 5 250,967 781,216 Long-term deposits, current portion 2(i) 2,765,569 7,054,915 Accounts and notes receivable, net 6 2,135,141 2,716,216 Installment payment receivables, net, current portion 12 1,972,380 1,881,755 Inventory 7 5,565,776 5,526,212 Amounts due from related parties 25 33,533 12,948 Prepayments and other current assets 8 2,902,937 2,489,339 Total current assets 44,733,118 54,521,629 Non-current assets Long-term deposits 2(i) 3,915,641 3,035,426 Restricted long-term deposits 17 1,287,281 767,899 Property, plant and equipment, net 9 10,467,934 10,954,485 Right-of-use assets, net 1,270,676 1,455,865 Intangible assets, net 10 4,705,139 4,948,992 Land use rights, net 11 2,764,487 2,789,367 Installment payment receivables, net 12 3,187,137 3,027,795 Long-term investments 13 2,061,775 2,084,933 Other non-current assets 14 605,601 576,150 Total non-current assets 30,265,671 29,640,912 Total assets 74,998,789 84,162,541