7Baggers

JinkoSolar Holding Co., Ltd
(NYSE:JKS) 

JKS stock logo

JinkoSolar Holding Co., Ltd., together with its subsidiaries, engages in the design, development, production, and marketing of photovoltaic products. The company offers solar modules, silicon wafers, solar cells, recovered silicon materials, and silicon ingots. It also provides solar system integrat...

Founded: 2006
Full Time Employees: 15,195
Sector: Technology
Industry: Solar

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Quarterly
Annual
    Unit: USD2025-11-17 2025-04-29 2025-03-26 2024-12-31 2024-10-30 2024-08-30 2024-04-29 2024-03-20 2023-12-31 2023-10-30 2023-04-28 2023-03-10 2022-12-31 2022-10-28 2022-08-29 2022-04-28 2022-04-22 2021-12-31 2021-12-09 2021-09-16 2021-06-28 2021-04-12 2020-12-31 2020-12-07 2020-09-30 2020-09-24 2020-06-17 2020-03-16 2019-12-31 2019-11-20 2019-08-30 2019-06-28 2019-03-25 2018-12-31 2018-11-26 2018-08-14 2018-06-27 2018-03-23 2017-12-31 2017-12-07 2017-09-30 2017-09-06 2017-06-30 2017-06-06 2017-02-27 2016-12-31 2016-08-26 2016-05-31 2016-03-01 2015-12-31 2015-11-20 2015-08-21 2015-05-29 2015-03-03 2014-12-31 2014-11-21 2014-08-19 2014-06-26 2014-03-04 2014-01-14 2013-12-31 2013-11-18 2013-08-14 2013-06-10 2013-04-10 2012-12-31 2012-11-20 2012-08-23 2012-06-20 2012-03-08 2011-12-31 2011-11-21 2011-08-16 2011-05-02 2011-02-28 2010-12-31 2010-11-01 2010-08-16 
                                                                                  
      revenues
    17,988,725,000 13,843,640,000 92,256,302,000 17,901,393,000 24,053,049,000 47,097,329,000 23,044,280,000                                                     4,890,772,700                   
      cost of revenues
     -14,196,514,000 -82,241,474,000 -19,861,074,000 -21,376,366,000 -41,685,562,000 -20,309,195,000 -99,630,956,000 -28,739,437,000 -25,902,426,000  -71,182,245,000 -25,793,794,000 -16,069,363,000  -12,538,177,000 -34,168,686,000 -13,743,415,106  -6,582,222,000 -6,582,222,000 -28,957,798,000 -7,917,666,084 -6,937,720,000 -21,040,131,561 -6,827,045,000 -6,827,045,000 -24,314,602,000 -7,799,733,138 -5,769,143,000 -4,857,711,000 -4,857,711,000 -21,528,868,000 -6,587,906,419 -5,333,000,000 -3,910,775,000 -3,910,775,000 -23,481,375,000 -5,617,326,053 -7,089,255,000 -17,864,049,361 -5,127,779,000 -12,217,033,708 -5,127,779,000 -17,531,299,000  -4,300,807,000 -4,300,807,000 -3,187,894,000  -2,536,999,000 -2,190,715,000 -2,190,715,000 -7,738,489,000    -1,530,515,000 -5,641,487,000 -3,994,260,300  -1,453,298,000 -1,016,092,000 -1,016,092,000 -1,251,910,000  -1,251,910,000 -1,053,050,000 -1,053,050,000 -1,715,011,000  -1,689,627,000 -1,579,753,000 -1,579,753,000 -956,425,000  -658,466,000  
      gross profit
    526,461,000 -352,874,000 10,014,828,000 789,656,000 2,676,683,000 5,411,767,000 2,735,085,000 19,047,635,000 4,090,735,000 4,782,673,000  12,346,623,000 4,208,261,000 2,771,779,000  2,226,607,000 6,657,836,000 2,644,293,000 1,359,128,000 1,358,372,000 1,358,372,000 6,171,661,000 1,506,911,532 1,512,942,000 4,664,748,689 1,656,878,000 1,656,878,000 5,431,686,000 1,729,724,621 1,143,883,000 964,337,000 964,337,000 3,513,745,000 1,132,424,922 727,631,000 656,061,000 656,061,000 2,991,568,000 735,313,401 834,833,000 2,256,254,612 649,025,000 1,483,857,938 649,025,000 3,869,339,000  1,165,859,000 1,165,859,000 864,626,000  663,595,000 558,522,000 558,522,000 2,240,040,000  550,257,000 483,136,000 483,136,000 1,437,352,000 896,512,400  311,587,000 147,311,000 147,311,000 77,619,000  137,395,000 7,032,000  66,041,000  576,385,000 559,702,000 559,702,000 481,894,000  242,149,000 129,840,000 
      yoy
    -80.33% -106.52% 266.16% -95.85% -34.57% 13.15%  54.27% -2.79% 72.55%  454.50% -36.79% 4.82%  63.92% 390.13% -57.15% -9.81% -10.22% -70.88% 272.49% -9.05% -72.15% 169.68% 44.85% 71.82% 463.26% -50.77% 1.01% 32.53% 46.99% 435.58% -62.15% -1.04% -21.41% -70.92% 360.93% -50.45% 28.63% -41.69%  27.28% -44.33% 347.52%  75.69% 108.74% 54.81%   1.50% 15.60% 363.65%  -38.62%  55.06% 875.73% 508.58%   7.22% 1994.87%    -98.78%  -88.20%   131.14% 331.07%     
      qoq
    -249.19% -103.52% 1168.25% -70.50% -50.54% 97.86% -85.64% 365.63% -14.47%   193.39% 51.83%   -66.56% 151.78% 94.56% 0.06% 0.00% -77.99% 309.56% -0.40% -67.57% 181.54% 0.00% -69.50% 214.02% 51.22% 18.62% 0.00% -72.56% 210.29% 55.63% 10.91% 0.00% -78.07% 306.84% -11.92% -63.00% 247.64% -56.26% 128.63% -83.23%   0.00% 34.84%   18.81% 0.00% -75.07%   13.89% 0.00% -66.39% 60.33%   111.52% 0.00% 89.79%   1853.85%     2.98% 0.00% 16.15%   86.50%  
      gross margin %
    Infinity% -Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% 16.05% 12.46% 15.59% NaN% 14.78% 14.03% 14.71% NaN% 15.08% 16.31% 16.14% 17.14% 17.11% 17.11% 17.57% 15.99% 17.90% 18.15% 19.53% 19.53% 18.26% 18.15% 16.55% 16.56% 16.56% 14.03% 14.67% 12.01% 14.37% 14.37% 11.30% 11.57% 10.54% 11.21% 11.24% 10.83% 11.24% 18.08% NaN% 21.33% 21.33% Infinity% NaN% 20.73% 20.32% 20.32% 22.45% NaN% 22.62% 23.99% 23.99% 20.30% Infinity% NaN% 17.65% 12.66% 12.66% 5.84% NaN% 9.89% 0.66% 0% 3.71% NaN% 25.44% 26.16% 26.16% 33.50% NaN% 26.89% 23.66% 
      operating expenses:
                                                                                  
      selling and marketing
     -1,145,411,000 -6,658,108,000 -1,205,849,000 -1,797,061,000 -3,263,458,000 -1,466,397,000 -6,819,305,000 -1,857,825,000 -1,665,996,000  -7,278,444,000 -2,254,369,000 -1,622,544,000  -1,384,467,000 -2,856,464,000 -1,117,472,995  -614,856,000 -614,856,000 -2,473,980,000 -652,748,242 -709,189,000 -1,821,231,482 -613,821,000 -613,821,000 -2,250,336,000 -632,870,913 -561,959,000 -459,314,000 -459,314,000 -1,708,270,000 -551,657,457 -366,077,000 -313,897,000 -313,897,000 -1,901,358,000 -446,956,676 -550,823,000 -1,454,402,283 -413,812,000 -964,635,098 -413,812,000 -1,434,039,000  -338,369,000 -338,369,000 -302,547,000  -261,551,000 -214,229,000 -214,229,000 -769,011,000  -182,425,000 -155,438,000 -155,438,000 -492,626,000   -117,490,000 -93,924,000 -93,924,000 -90,420,000  -90,420,000 -77,868,000 -77,868,000 -73,933,000  -97,754,000 -78,408,000 -78,408,000 -64,035,000  -28,019,000  
      general and administrative
     -1,215,065,000 -4,614,001,000 -912,728,000 -1,141,307,000 -2,509,174,000 -1,367,868,000 -4,583,837,000 -1,541,467,000 -800,148,000  -3,508,678,000 -896,602,000 -1,131,984,000  -656,413,000 -1,963,562,000 -776,137,082  -363,872,000 -363,872,000 -1,409,371,000 -531,097,207 -294,452,000 -878,274,457 -238,594,000 -238,594,000 -1,059,025,000 -342,049,633 -248,376,000 -191,902,000 -191,902,000 -779,423,000 -249,222,027 -170,509,000 -130,831,000 -130,831,000 -470,845,000 -113,744,706 -125,029,000 -357,100,408 -115,950,000 -240,979,321 -115,950,000 -779,567,000  -215,412,000 -215,412,000 -138,214,000  -125,239,000 -89,363,000 -89,363,000 -426,573,000  -92,693,000 -101,661,000 -101,661,000 -230,125,000   -25,280,000 -60,064,000 -60,064,000 -81,545,000  -81,545,000 -91,645,000 -91,645,000 -184,136,000  -60,773,000 -55,282,000 -55,282,000 -32,924,000  -49,474,000  
      research and development
     -151,802,000 -924,392,000 -256,054,000 -215,394,000 -455,822,000 -240,428,000 -911,869,000 -279,642,000 -225,574,000  -724,769,000 -228,399,000 -149,703,000  -144,975,000 -461,590,000 -114,548,946  -107,144,000 -107,144,000 -389,192,000 -137,320,056 -74,643,000 -251,872,200 -71,784,000 -71,784,000 -324,435,000 -91,739,526 -73,258,000 -77,378,000 -77,378,000 -366,577,000 -94,182,571 -81,907,000 -86,382,000 -86,382,000 -294,103,000 -83,270,790 -73,694,000 -210,832,081 -62,486,000 -136,179,670 -62,486,000 -181,106,000  -38,394,000 -38,394,000 -39,869,000  -39,838,000 -24,924,000 -24,924,000 -106,627,000  -23,508,000 -22,067,000 -22,067,000 -65,482,000   -13,052,000 -10,133,000 -10,133,000 -16,944,000  -16,944,000 -13,653,000 -13,653,000 -5,238,000  -7,994,000 -6,649,000 -6,649,000 -5,630,000  -13,982,000  
      impairment of long-lived assets
      -1,242,168,000 -357,616,000 -660,964,000 -660,964,000  -640,004,000 -59,342,000 -552,751,000  -373,732,000 -214,473,000 -156,598,000   -273,713,000 -150,307,982  -123,405,000 -123,405,000 -114,168,000      -68,262,000     -14,548,000 -43 -14,548,000          -125,524,000                                  
      total operating expenses
     -2,512,278,000 -13,438,669,000 -2,732,247,000 -3,814,726,000 -6,889,418,000 -3,074,693,000 -12,955,015,000 -3,738,276,000 -3,244,469,000  -11,885,623,000 -3,593,843,000 -3,060,829,000  -2,185,855,000 -5,555,329,000 -2,158,467,005  -1,209,277,000 -1,209,277,000 -4,386,711,000 -1,435,333,170 -1,078,284,000 -2,951,378,139 -924,199,000 -924,199,000 -3,702,058,000 -1,134,922,110 -883,593,000 -728,594,000 -728,594,000 -2,868,818,000 -895,062,098 -633,041,000 -531,110,000 -531,110,000 -2,666,306,000 -643,972,172 -749,546,000 -2,022,334,772 -592,248,000 -1,341,794,089 -592,248,000 -2,520,236,000  -592,175,000 -592,175,000 -480,630,000  -426,628,000 -328,516,000 -328,516,000 -1,308,428,000  -298,626,000 -279,681,000 -279,681,000 -791,806,000 -513,272,200  -155,822,000 -164,121,000 -164,121,000 -188,909,000  -188,909,000 -313,009,000 -313,009,000 -263,307,000  -166,521,000 -140,339,000 -140,339,000 -102,589,000  -91,475,000  
      income from operations
     -2,865,152,000 -3,423,841,000 -1,942,591,000 -1,138,043,000 -1,477,651,000 -339,608,000 6,092,620,000 352,459,000 1,538,204,000  461,000,000    40,752,000 1,102,507,000 485,825,995 356,379,000 149,095,000 149,095,000 1,784,950,000 71,578,362 434,658,000 1,713,370,550 732,679,000 732,679,000 1,729,628,000 594,802,511 260,290,000 235,743,000 235,743,000 644,927,000 237,362,824 94,590,000 124,951,000 124,951,000 325,262,000 91,341,229 85,287,000 233,919,840 56,777,000 142,063,849 56,777,000 1,349,103,000  573,684,000 573,684,000 383,996,000  236,967,000 230,006,000 230,006,000 931,612,000  251,631,000 203,455,000       -16,810,000 -111,290,000  -51,514,000      419,363,000 419,363,000 379,305,000  150,674,000 97,117,000 
      yoy
     93.90% 908.17% -131.88% -422.89% -196.06%  1221.61%    1031.23%    -72.67% 639.47% -72.78% 397.89% -65.70% -91.30% 143.62% -90.23% -74.87% 188.06% 181.49% 210.80% 633.69% -7.77% 9.66% 149.23% 88.67% 416.14% -27.02% 3.56% 46.51% -46.58% 472.88% -35.70% 50.21% -82.66%  -75.24% -90.10% 251.33%  142.09% 149.42% 66.95%   -8.59% 13.05%                    178.32% 331.81%     
      qoq
     -16.32% 76.25% 70.70% -22.98% 335.10% -105.57% 1628.60% -77.09%       -96.30% 126.93% 36.32% 139.03% 0.00% -91.65% 2393.70% -83.53% -74.63% 133.85% 0.00% -57.64% 190.79% 128.52% 10.41% 0.00% -63.45% 171.71% 150.94% -24.30% 0.00% -61.58% 256.10% 7.10% -63.54% 312.00% -60.03% 150.21% -95.79%   0.00% 49.40%   3.03% 0.00% -75.31%   23.68%        -84.90%         0.00% 10.56%   55.15%  
      operating margin %
    NaN% -Infinity% -Infinity% -Infinity% -Infinity% -Infinity% -Infinity% 5.13% 1.07% 5.01% NaN% 0.55% 0% 0% NaN% 0.28% 2.70% 2.96% 4.50% 1.88% 1.88% 5.08% 0.76% 5.14% 6.67% 8.64% 8.64% 5.81% 6.24% 3.77% 4.05% 4.05% 2.58% 3.07% 1.56% 2.74% 2.74% 1.23% 1.44% 1.08% 1.16% 0.98% 1.04% 0.98% 6.30% NaN% 10.49% 10.49% Infinity% NaN% 7.40% 8.37% 8.37% 9.34% NaN% 10.35% 10.10% 0% 0% NaN% NaN% 0% 0% -1.44% -8.37% NaN% -3.71% 0% 0% 0% NaN% 0% 19.60% 19.60% 26.37% NaN% 16.73% 17.69% 
      interest expenses
     -341,604,000 -1,143,079,000 -347,513,000 -212,897,000 -494,630,000 -281,733,000 -617,605,000 -759,121,000 -208,453,000  -490,703,000 -700,422,000 -88,041,000  -162,198,000 -624,029,000 -144,419,438  -156,535,000 -156,535,000 -459,234,000 -115,160,810 -106,239,000  -108,613,000 -108,613,000 -391,582,000 -83,826,064 -116,754,000 -96,110,000 -96,110,000 -295,692,000 -74,047,041 -80,636,000 -85,411,000 -85,411,000 -245,530,000 -55,550,598 -80,572,000 -189,978,971 -57,121,000 -137,692,992 -57,121,000 -359,296,000  -126,440,000 -126,440,000 -146,235,000  -79,506,000 -62,938,000 -62,938,000 -287,668,000  -71,525,000 -60,986,000 -60,986,000 -223,377,000 -170,013,200  -58,462,000 -55,266,000 -55,266,000 -51,757,000  -51,757,000   -49,520,000  -45,732,000 -34,158,000 -34,158,000 -17,266,000  -13,913,000  
      interest income
    145,540,000 104,329,000 414,685,000 113,254,000 107,740,000 202,640,000 94,900,000                                                                        
      subsidy income
    12,033,000 535,957,000 2,448,763,000 900,142,000 885,024,000 1,116,868,000 231,844,000 1,175,498,000 554,619,000 292,376,000  1,089,435,000 94,049,000 464,756,000  305,296,000 465,685,000 109,636,219 162,216,000 130,315,000 130,315,000 191,981,000 109,701,690 14,379,000 82,279,132 5,061,000 5,061,000 63,017,000 14,365,966 10,517,000 4,741,000 4,741,000 52,176,000 8,234,462 2,619,000 36,581,000 36,581,000 147,917,000 29,532,764 49,038,000 118,383,627 55,192,000 104,229,215 55,192,000 168,647,000  35,227,000 35,227,000 43,562,000  3,850,000 1,041,000 1,041,000 49,785,000  831,000 2,557,000 2,557,000 7,583,000 4,059,700  1,838,000 1,854,000 1,854,000    284,000 284,000 17,044,000  1,643,000 1,969,000 1,969,000 2,863,000  3,810,000 1,176,000 
      exchange gain,net
    276,686,000 135,686,000 484,364,000 42,434,250 247,726,000 373,736,000 126,010,000                                                                        
      change in fair value of foreign exchange derivatives
     -14,706,000 116,654,000 5,763,000 57,250,000 70,964,000 13,714,000 -314,859,000 -107,407,000 -442,492,000  -168,519,000 -55,925,250 -163,551,000  70,047,000 307,689,000 47,674,000 105,812,000 44,904,000 44,904,000 187,578,000 3,014,250 18,133,000  -117,787,000 -117,787,000 -78,615,000 -42,625,750 -41,619,000 18,114,000 18,114,000                                               
      change in fair value of long-term investment
    42,301,000 -46,155,000 163,492,000 332,270,000 -144,222,000 -199,550,000 -55,328,000 221,473,000 -90,918,000 2,278,000  101,871,000                                                                   
      change in fair value of convertible senior notes
      323,474,000  12,791,000 323,474,000 310,683,000 -31,188,000 30,978,500 89,747,000                                                                     
      other income
     -218,618,000 880,540,000 -1,246,659,000 157,574,000 1,481,051,000 1,323,478,000 26,134,000              2,292,000 3,761,191 2,127,000 -1,469,467 -2,187,000 -2,187,000 17,873,000 1,431,433 7,302,000 7,398,000 7,398,000 25,817,000 -2,287,941 9,444,000 8,678,000 8,678,000 59,647,000 20,822,911 11,773,000 38,824,426 11,943,000 23,715,877 11,943,000 8,768,000        8,000 -1,692,000     6,872,000 7,366,300                   
      income before income taxes
     -2,710,263,000 265,052,000 -1,294,597,000 -27,057,000 1,396,902,000 1,423,960,000 7,490,165,000 521,041,000 2,689,498,000  2,008,463,000    168,848,000  447,227,804 160,261,000 278,579,000  566,374,000 -405,662,108 363,509,000 972,034,500 507,216,000 507,216,000 1,251,188,000 581,941,211 97,389,000 58,707,000 58,707,000 407,375,000 77,909,000 61,072,000 5,650,000 5,650,000          460,573,000 460,573,000 267,987,000  125,829,000 111,636,000 111,636,000 582,313,000  156,986,000 8,273,000       -129,104,000 -113,238,000       280,269,000 389,659,000 389,659,000 297,678,000  210,575,000 85,456,000 
      income tax benefits/
    288,768,000 699,479,000                                                                             
      equity in income of affiliated companies
     -46,072,000 -177,013,000 -119,161,000 -67,644,000 -54,463,000 13,181,000                          2,610,000 6,924,750 28,024,000 -5,240,000 -5,240,000 -2,056,000         1,109,000  7,021,000  3,882,000 1,075,000 1,075,000                          
      net income
     -2,056,856,000 18,598,000 -833,222,000 -119,500,000 840,921,000 960,423,000 6,452,554,000 322,584,000 2,411,635,000  1,622,929,000    104,273,000  323,826,509 166,893,000 269,817,000  335,257,000 -362,667,726 344,966,000 697,923,426 296,169,000 296,169,000 924,354,000 392,728,495 124,685,000 39,248,000 39,248,000 405,574,000 114,100,533 99,099,000 3,703,000 3,703,000 142,192,000 23,360,365 47,247,000 118,830,685 60,405,000 107,652,319 60,405,000 1,991,799,000  361,241,000 361,241,000 240,783,000  131,556,000 92,821,000 92,821,000 726,196,000  138,443,000 10,566,000       -129,162,000 -114,527,000   -356,254           
      yoy
     -344.60% -98.06% -112.91% -137.04% -65.13%  297.59%    1456.42%    -61.35%  -3.41% -146.02% -21.78%  13.20% -222.45% -62.68% 77.71% 137.53% 654.61% 2255.16% -3.17% 9.28% -60.40% 959.90% 10852.58% -19.76% 324.22% -92.16% -96.88% 135.40% -78.30% -21.78% -94.03%  -70.20% -83.28% 727.22%  174.59% 289.18% 159.41%   -32.95% 778.49%           36155.59%               
      qoq
     -11159.55% -102.23% 597.26% -114.21% -12.44% -85.12% 1900.27% -86.62%         94.03% -38.15%   -192.44% -205.13% -50.57% 135.65% 0.00% -67.96% 135.37% 214.98% 217.68% 0.00% -90.32% 255.45% 15.14% 2576.18% 0.00% -97.40% 508.69% -50.56% -60.24% 96.72% -43.89% 78.22% -96.97%   0.00% 50.03%   41.73% 0.00% -87.22%   1210.27%        12.78%               
      net income margin %
    NaN% -Infinity% Infinity% -Infinity% -Infinity% Infinity% Infinity% 5.44% 0.98% 7.86% NaN% 1.94% 0% 0% NaN% 0.71% 0% 1.98% 2.11% 3.40% 0% 0.95% -3.85% 4.08% 2.72% 3.49% 3.49% 3.11% 4.12% 1.80% 0.67% 0.67% 1.62% 1.48% 1.64% 0.08% 0.08% 0.54% 0.37% 0.60% 0.59% 1.05% 0.79% 1.05% 9.31% NaN% 6.61% 6.61% Infinity% NaN% 4.11% 3.38% 3.38% 7.28% NaN% 5.69% 0.52% 0% 0% NaN% NaN% 0% 0% -11.10% -8.61% NaN% 0% -0.03% 0% 0% NaN% 0% 0% 0% 0% NaN% 0% 0% 
      less: net loss attributable to non-controlling interests
    546,626,000 756,054,000 74,873,000 -73,304,500 18,847,000 -332,178,000                                                                         
      less: accretion to redemption value of redeemable non-controlling interests
     -18,074,000 -35,926,000                                            46,226,000 46,226,000 43,678,000  42,458,000 41,271,000 41,271,000                          
      net income attributable to jinkosolar holding co., ltd.'s ordinary shareholders
     -1,318,876,000    508,743,000   854,532,000 1,306,102,000      28,937,000  120,387,500 66,236,000 221,092,000  230,386,000 151,833,750 318,043,000  282,441,000 282,441,000 898,664,000 132,289,750 125,410,000 40,187,000 40,187,000 406,477,000 72,916,500 98,982,000 3,596,000 3,596,000 141,706,000 29,808,500 47,368,000 119,233,526 60,574,000 107,941,891 60,574,000 1,826,710,000  313,331,000 313,331,000 195,081,000  76,418,000 50,972,000 50,972,000 673,024,000   9,535,000       -128,744,000 -114,529,000              
      net income attributable to jinkosolar holding co., ltd.'s ordinary shareholders per share:
                                                                                  
      basic
     -6.4 0.28 -2.28 -0.48 2.4 2.82 16.6 -0.13 6.39  3.36           0.853 1.79 3.41 1.58 1.58 5.31 2.134 0.753 0.256 0.256 2.64 0.73 0.63 0.025 0.025    0.93  0.84    2.5 2.5 1.56  0.61 0.41 0.41 5.47  1.12 0.08       -1.45 -1.29       2.47 3.54 3.54 2.99    
      diluted
     -6.4 -1.25 -2.26 -0.53 0.87 1.34 15.23 0.38 5.55  3.32           0.57 1.64 2.28 0.67 0.67 4.85 1.843 0.315 0.254 0.254 2.63 0.73 0.63 0.024 0.024    0.91  0.84    2.33 2.33 0.78  0.6 0.4 0.4 3.86  1.01 -0.3       -1.45 -1.29       2.23 3.45 3.45 2.93    
      net income attributable to jinkosolar holding co., ltd.'s ordinary shareholders per ads:
                                                                                  
      weighted-average ordinary shares outstanding:
                                                                                  
      basic
    208,496,117  208,607,597 208,607,597 208,076,672 211,662,944 216,001,414 207,705,476 207,705,476 204,566,514  198,004,260 198,004,260 197,894,301  192,314,636 190,672,869 190,672,869 190,716,434 190,427,792 190,427,792 178,938,853 178,938,853 177,718,162 178,150,798 178,743,903 178,743,903 169,363,306 169,363,306  156,888,381 156,888,381 153,806,379 153,806,379 156,457,441 145,540,445 145,540,445 128,944,330 128,944,330  128,442,966  127,556,967 126,820,607 125,870,272 125,870,272 125,477,086 125,477,086 124,771,933 124,618,416 124,453,627 124,300,320 124,300,320 122,980,870 122,980,870 123,516,733 119,512,317 119,512,317 94,018,394 89,317,742 94,018,394 88,810,075 88,758,778 88,758,778 88,740,778 88,752,706 88,740,778 88,786,920 88,786,920 95,115,055 93,966,535 95,335,454 95,106,052 95,106,052 86,927,850 74,896,543 69,426,294 50,731,450 
      diluted
    208,496,117  209,981,840 209,981,840 209,869,918 219,563,068 223,646,269 226,113,084 226,113,084 223,654,851  200,408,494 200,408,494 197,894,301  192,578,950 205,719,772 205,719,772 191,192,954 205,142,801 205,142,801 171,438,853 171,438,853 170,989,776 172,045,324 198,081,276 198,081,276 166,567,757 166,567,757  158,017,104 158,017,104 154,704,166 154,704,166 157,574,069 147,793,780 147,793,780 131,687,230 131,687,230  130,720,283  128,859,633 128,179,515 137,328,725 130,590,441 147,904,878 147,904,878 155,612,355 127,802,961 128,359,626 127,320,264 127,320,264 153,786,531 153,786,531 142,128,705 133,958,649 133,958,649 96,035,985 91,097,669 96,035,985 88,992,247 88,758,778 88,758,778 88,740,778 88,752,706 88,740,778 88,786,920 88,786,920 110,780,910 102,686,971 104,605,911 97,698,949 97,698,949 88,719,210 80,748,080 70,139,814 50,731,450 
      weighted-average ads outstanding:
                                                                                  
      weighted average ordinary shares outstanding:
                                                                                  
      basic
     206,249,285                            166,605,808                                                 
      diluted
     206,249,285                            165,385,410                                                 
      weighted average ads outstanding:
                                                                                  
      income tax (expenses)/benefit
      -69,441,000              -194,140,000 -16,817,000 6,900,000 -52,210,000 -52,210,000                                                          
      net income attributable to jinkosolar holding co., ltd.’s ordinary shareholders
      57,545,000 -476,737,000 -100,653,000       665,157,000             607,335,058                                               235,262,000 336,592,000 336,592,000 259,508,000    
      net income attributable to jinkosolar holding co., ltd.’s ordinary shareholders per share:
                                                                                  
      basic
     -6.4 0.28 -2.28 -0.48 2.4 2.82 16.6 -0.13 6.39  3.36           0.853 1.79 3.41 1.58 1.58 5.31 2.134 0.753 0.256 0.256 2.64 0.73 0.63 0.025 0.025    0.93  0.84    2.5 2.5 1.56  0.61 0.41 0.41 5.47  1.12 0.08       -1.45 -1.29       2.47 3.54 3.54 2.99    
      diluted
     -6.4 -1.25 -2.26 -0.53 0.87 1.34 15.23 0.38 5.55  3.32           0.57 1.64 2.28 0.67 0.67 4.85 1.843 0.315 0.254 0.254 2.63 0.73 0.63 0.024 0.024    0.91  0.84    2.33 2.33 0.78  0.6 0.4 0.4 3.86  1.01 -0.3       -1.45 -1.29       2.23 3.45 3.45 2.93    
      net income attributable to jinkosolar holding co., ltd.’s ordinary shareholders per ads:
                                                                                  
      income tax expenses
       580,536,000 -24,799,000 -501,518,000 -476,718,000 -1,260,285,000 -200,832,000 -341,144,000  -579,242,000 -265,391,000 -118,089,000  -71,021,000         -201,499,393                                                      
      less: accretion to reemption value of redeemable non-controlling interests
       -5,553,500                                                                           
      less: net income attributable to non-controlling interests
          -351,025,000 -3,005,111,000 -677,960,500 -1,105,533,000  -957,772,000 -149,983,000 -276,785,000  -75,336,000 234,554,000 37,548,750 100,657,000 48,725,000 48,725,000 104,871,000 22,647,000 26,923,000  13,728,000 13,728,000 25,690,000 616,250 -725,000 -939,000 -939,000 -903,000 -47,750 117,000 107,000 107,000          1,684,000 1,684,000 2,024,000  751,000 578,000 578,000          -418,000                
      net income attributable to jinkosolar holding co.,ltd.'s ordinary shareholders
          609,398,000                                                                        
      net income attributable to jinkosolar holding co.,ltd.'s ordinary shareholders per share:
                                                                                  
      basic
     -6.4 0.28 -2.28 -0.48 2.4 2.82 16.6 -0.13 6.39  3.36           0.853 1.79 3.41 1.58 1.58 5.31 2.134 0.753 0.256 0.256 2.64 0.73 0.63 0.025 0.025    0.93  0.84    2.5 2.5 1.56  0.61 0.41 0.41 5.47  1.12 0.08       -1.45 -1.29       2.47 3.54 3.54 2.99    
      diluted
     -6.4 -1.25 -2.26 -0.53 0.87 1.34 15.23 0.38 5.55  3.32           0.57 1.64 2.28 0.67 0.67 4.85 1.843 0.315 0.254 0.254 2.63 0.73 0.63 0.024 0.024    0.91  0.84    2.33 2.33 0.78  0.6 0.4 0.4 3.86  1.01 -0.3       -1.45 -1.29       2.23 3.45 3.45 2.93    
      net income attributable to jinkosolar holding co.,ltd.'s ordinary shareholders per ads:
                                                                                  
      revenues from third parties
           118,309,650,000 32,686,296,000 30,635,727,000  83,195,673,000 29,917,922,000 18,730,454,000  14,727,499,000 40,794,759,000 16,361,236,592 7,925,417,000 7,940,050,000 7,940,050,000 35,067,287,000 9,418,979,007 8,448,719,000 25,648,307,573 8,431,213,000 8,431,213,000 29,592,010,000 9,528,920,063 6,912,301,000 5,677,227,000 5,677,227,000 23,586,834,000 7,695,213,523 5,618,862,000 3,671,345,000 3,671,345,000 24,791,272,000 5,171,539,869 7,908,533,000 19,619,733,166 5,753,080,000 13,661,612,476 5,753,080,000 21,262,113,000  5,400,055,000 5,400,055,000 4,052,520,000  3,200,594,000 2,749,237,000 2,749,237,000 9,977,972,000    2,013,651,000 6,286,828,000   1,330,353,000 1,134,459,000 1,134,459,000 1,306,180,000  1,365,956,000 990,450,000 990,450,000          
      revenues from related parties
           368,941,000 143,876,000 49,372,000  333,195,000 84,133,000 110,688,000  37,285,000 31,763,000 26,471,514 2,799,000 544,000 544,000 62,172,000 5,598,609 1,943,000 56,572,677 52,710,000 52,710,000 154,278,000 537,696 725,000 144,821,000 144,821,000 1,455,779,000 25,117,818 441,769,000 895,491,000 895,491,000 1,681,671,000 1,181,099,585 15,555,000 500,570,807 23,724,000 39,279,170 23,724,000 138,525,000  66,611,000 66,611,000      557,000     792,011,000   434,532,000 28,944,000 28,944,000 23,349,000  23,349,000 69,632,000 69,632,000          
      total revenues
           118,678,591,000 32,830,172,000 30,685,099,000  83,528,868,000 30,002,055,000 18,841,142,000  14,764,784,000 40,826,522,000 16,387,708,106 7,928,216,000 7,940,594,000 7,940,594,000 35,129,459,000 9,424,577,616 8,450,662,000 25,704,880,250 8,483,923,000 8,483,923,000 29,746,288,000 9,529,457,759 6,913,026,000 5,822,048,000 5,822,048,000 25,042,613,000 7,720,331,341 6,060,631,000 4,566,836,000 4,566,836,000 26,472,943,000 6,352,639,454 7,924,088,000 20,120,303,973 5,776,804,000 13,700,891,646 5,776,804,000 21,400,638,000  5,466,666,000 5,466,666,000   3,200,594,000 2,749,237,000 2,749,237,000 9,978,529,000  2,432,240,000 2,013,651,000 2,013,651,000 7,078,839,000   1,764,885,000 1,163,403,000 1,163,403,000 1,329,529,000  1,389,305,000 1,060,082,000 1,060,082,000 1,781,052,000  2,266,012,000 2,139,455,000 2,139,455,000 1,438,319,000  900,615,000 548,868,000 
      yoy
           42.08% 9.43% 62.86%  465.73% -26.51% 14.97%  85.94% 414.15% -53.35% -15.88% -6.04% -69.11% 314.07% 11.09% -71.59% 169.74% 22.72% 45.72% 410.92% -61.95% -10.46% -3.94% 27.49% 448.36% -70.84% -4.60% -42.37% -77.30% 358.26% -53.63% 37.17% -5.98%  150.63% 5.67%   70.80% 98.84%    13.03% 36.53% 395.54%    14.10% 508.46%    -16.26% 9.75% 25.42%   -53.22% -50.45% -16.75%   137.55% 289.79%     
      qoq
           261.49% 6.99%   178.41% 59.24%   -63.84% 149.13% 106.70% -0.16% 0.00% -77.40% 272.74% 11.52% -67.12% 202.98% 0.00% -71.48% 212.15% 37.85% 18.74% 0.00% -76.75% 224.37% 27.38% 32.71% 0.00% -82.75% 316.72% -19.83% -60.62% 248.29% -57.84% 137.17% -73.01%   0.00%    16.42% 0.00% -72.45%   20.79% 0.00% -71.55%    51.70% 0.00% -12.50%   31.06% 0.00% -40.48%   5.92% 0.00% 48.75%   64.09%  
      exchange gain
           938,092,000               -28,271,000 51,616,000 -113,084,113 10,951,000 10,951,000 8,809,000 5,702,750 87,487,000 -80,980,000  33,681,000 17,421,750 42,389,000 -91,413,000  -114,345,000 -31,826,622 -29,810,000 -82,517,522 -6,339,000 -36,149,758 -6,339,000 208,811,000  52,045,000                                
      equity in earnings of affiliated companies
           222,674,000 55,074,750 63,281,000  193,708,000    6,446,000                                                               
      net income attributable to jinkosolar holding co., ltd’s ordinary shareholders
           3,447,443,000                                                                       
      net income attributable to jinkosolar holding co., ltd’s ordinary shareholders per share:
                                                                                  
      basic
     -6.4 0.28 -2.28 -0.48 2.4 2.82 16.6 -0.13 6.39  3.36           0.853 1.79 3.41 1.58 1.58 5.31 2.134 0.753 0.256 0.256 2.64 0.73 0.63 0.025 0.025    0.93  0.84    2.5 2.5 1.56  0.61 0.41 0.41 5.47  1.12 0.08       -1.45 -1.29       2.47 3.54 3.54 2.99    
      diluted
     -6.4 -1.25 -2.26 -0.53 0.87 1.34 15.23 0.38 5.55  3.32           0.57 1.64 2.28 0.67 0.67 4.85 1.843 0.315 0.254 0.254 2.63 0.73 0.63 0.024 0.024    0.91  0.84    2.33 2.33 0.78  0.6 0.4 0.4 3.86  1.01 -0.3       -1.45 -1.29       2.23 3.45 3.45 2.93    
      net income attributable to jinkosolar holding co., ltd’s ordinary shareholders per ads:
                                                                                  
      exchange gain/
            244,129,250 1,358,867,000  1,025,891,000          -336,523,000                             12,991,000 -83,517,000 -83,517,000     -23,023,000    -19,042,000       29,730,000    4,655,000  1,682,000  235,000  
      other income/(loss)
            9,226,250 58,971,000  7,408,000 2,886,000 -587,000                                                                 
      unaudited condensed consolidated statement of comprehensive income
                                                                                  
      other comprehensive income/
                                                                                  
      -unrealized loss on available-for-sale securities
            -243.25 58   409.5                                           -887                       
      -foreign currency translation adjustments
            48,068.5 282,017  270,979 93,054.75 217,564      89,001 89,001     45,040   10,286 48,233  -17,459 47,005           -17,563 92,202           -2,285        2,443 -609   720           
      -change in the instrument-specific credit risk
            17,672.5 20,227  100,158 26,605.75 20,571      22,638 22,638     39,202   14.25 5,546                                                 
      comprehensive income
            1,597,990.25 2,713,937          381,456      380,411   143,206.25 178,464  21,789 452,579           42,842 2,084,001           135,272            -355,534           
      less: comprehensive income attributable to non-controlling interests
            -686,893.25 -1,168,875  -1,093,235 -187,970 -337,435      48,725 48,725     13,728   616.25 -725  -939 -903           -169 5,611                                  
      comprehensive income attributable to jinkosolar holding co., ltd.'s ordinary shareholders
            911,097 1,545,062          332,731      366,683   142,590 179,189  22,728 453,482           43,011 2,078,390           135,040            -355,551           
      change in fair value of commodity futures
               -5,837,000 -1,546,750 -4,119,000  486,000                                                               
      change in fair value of convertible senior notes and call option
               -12,083,000 396,794,000 -536,902,000  -104,936,000 191,641,000 9,539,770  179,104,000 179,104,000 -725,792,000 -427,624,523 -51,165,000 -298,167,185 65,990,000 65,990,000 -29,257,000 -67,119,458 -45,070,000                                                 
      -unrealized gain/(loss) on available-for-sale securities
               973                                                                   
      comprehensive income/
               1,995,039 258,924 -108,349       381,456                                           -126,719 -115,136              
      comprehensive income attributable to jinkosolar holding co., ltd.’s ordinary shareholders
               901,804                                                                   
      income/(loss) from operations
                -46,293,000 -289,050,000                                                      -305,977,000 -305,977,000          
      exchange (loss)/gain
                261,516,000 389,216,000      -71,543,000 -71,543,000                           52,045,000 -109,560,000               -33,716,000 49,069,000  49,069,000 29,730,000    -5,815,000       
      income/ (loss) before income taxes
                212,517,500 -228,278,000                                                                 
      equity in earnings/(loss) of affiliated companies
                11,308,250 -117,000   59,809,000 14,084,500  43,448,000 43,448,000                                                          
      net income/
                138,854,000 -346,484,000   955,574,000    269,817,000                                              -54,751,000 -356,254,000 -356,254,000 68,105,000         
      net income/(loss) attributable to jinkosolar holding co., ltd.'s ordinary shareholders
                -11,129,000 -623,269,000   721,020,000    221,092,000                                              -54,753,000 -356,271,000           
      net income/(loss) attributable to jinkosolar holding co., ltd.'s ordinary shareholders per share:
                                                                                  
      basic
                3.36 -3.15  0.15 3.78 1.25 0.35 1.16 1.16 1.29                                             -0.62 -4.01 -4.01 0.72         
      diluted
                3.33 -3.15  0.15 2.01 1.04 0.35 -0.9 -0.9 -1.36                                             -0.62 -4.01 -4.01 -2.97         
      net income/(loss) attributable to jinkosolar holding co., ltd.'s ordinary shareholders per ads:
                                                                                  
      comprehensive income/(loss) attributable to jinkosolar holding co., ltd.'s ordinary shareholders
                70,954 -445,784       332,731                                                          
      •
                                                                                  
      exchange loss
                   6,383,000 -355,499,000 -57,004,000              -80,980,000     -91,413,000                 -147,058,000   -23,023,000  -38,468,000 -31,968,200   -33,716,000       -77,039,000         
      other income/(expense)
                   13,018,000 1,911,000 1,194,000 1,366,000 3,239,000 3,239,000                          -1,735,000 -1,735,000 -230,000  32,000 8,000      32,000    -800,000      -2,082,000 -2,082,000          
      change in fair value of interest rate swap
                         -78,878,000 -89  -78,878,089 -78,878,000 -78,878,000 -69,974,000 24,465,488 -46,118,000 -30,199,000 -30,199,000 9,701,000                                              
      income/(loss) before income taxes
                    1,089,905,000    278,579,000                                              -53,462,000 -356,254,000 -356,254,000 69,091,000         
      net income/(loss) attributable to jinkosolar holding co., ltd.’s ordinary shareholders per share:
                                                                                  
      basic
                3.36 -3.15  0.15 3.78 1.25 0.35 1.16 1.16 1.29                                             -0.62 -4.01 -4.01 0.72         
      diluted
                3.33 -3.15  0.15 2.01 1.04 0.35 -0.9 -0.9 -1.36                                             -0.62 -4.01 -4.01 -2.97         
      net income/(loss) attributable to jinkosolar holding co., ltd.’s ordinary shareholders per ads:
                                                                                  
      reconciliation of gaap and non-gaap results
                                                                                  
      1. non-gaap earnings per share and non-gaap earnings per ads
                                                                                  
      gaap net income attributable to ordinary shareholders
                       221,092      282,441   132,289.75 125,410  40,187 406,477                                              
      net interest expenses of convertible senior notes and call option
                       5,423 5,423     6,128   2,275.75 2,914                                                 
      exchange loss/(gain) on convertible senior notes and call option
                       1,785 1,785                                                          
      stock-based compensation expense
                       84 84     249   2,802 11,587  -6,924 29,308           17,402 89,568                                  
      non-gaap net income attributable to ordinary shareholders
                       49,280 49,280     227,492   134,342 202,906  33,263 435,792                                              
      non-gaap earnings per share attributable to ordinary shareholders -
                                                                                  
      basic
                       0.26 0.26     1.27   0.806 1.218  0.212 2.83           0.63 9.9                                  
      diluted
                       0.24 0.24     1.15   0.757 1.218  0.21 2.82           0.62 9.07                                  
      non-gaap earnings per ads attributable to ordinary shareholders -
                                                                                  
      non-gaap weighted-average ordinary shares outstanding
                                                                                  
      basic
                       190,427,792 190,427,792     178,743,903    166,605,808  156,888,381 153,806,379           126,820,607 125,870,272           123,516,733        88,758,778 88,740,778   88,786,920     95,106,052      
      diluted
                       205,142,801 205,142,801     198,081,276    166,605,808  158,017,104 154,704,166           128,179,515 137,328,725           142,128,705        88,758,778 88,740,778   88,786,920     97,698,949      
      non-gaap weighted-average ads outstanding
                                                                                  
      gaap net income/(loss) attributable to ordinary shareholders
                        221,092                                                          
      convertible senior notes issuance costs
                               -18,646,000 -101 -18,646,000                        -26,053,000   -26,053,000 -26,053,000              -30,154,000       
      gain on disposal of subsidiaries
                                    -9,425,000    -9,425,000 257,000       5,018,000                                  
      income tax expense
                         -178,411,000 -50,374,750 -22,754,000    -277,979,000     -4,411,000     -4,627,000       -257,487,000   -100,441,000         -7,952,000 -7,952,000                     
      equity in loss of affiliated companies
                         -52,706,000   -72,611,681       -23,709,000                           -25,615,000                    
      equity in gain of affiliated companies
                          -18,153,000 4,211,000  -101,527,000 -101,527,000 -48,855,000 -20,158,750 -28,621,000 -23,709,000                                                
      ​
                                                                                  
      interest expense
                            -344,072,999                                           -58,814,000 -58,814,000          
      change in fair value of foreign exchange forward contracts
                            12,056,671                                                      
      change in fair value of foreign exchange options
                                    -9,720,000                                              
      less: net income attributable to the non-controlling interests
                            90,588,368                                   823,500                   
      net income attributable to jinkosolar holding co., ltd.’s ordinary shareholders per share -
                                                                                  
      basic
     -6.4 0.28 -2.28 -0.48 2.4 2.82 16.6 -0.13 6.39  3.36           0.853 1.79 3.41 1.58 1.58 5.31 2.134 0.753 0.256 0.256 2.64 0.73 0.63 0.025 0.025    0.93  0.84    2.5 2.5 1.56  0.61 0.41 0.41 5.47  1.12 0.08       -1.45 -1.29       2.47 3.54 3.54 2.99    
      diluted
     -6.4 -1.25 -2.26 -0.53 0.87 1.34 15.23 0.38 5.55  3.32           0.57 1.64 2.28 0.67 0.67 4.85 1.843 0.315 0.254 0.254 2.63 0.73 0.63 0.024 0.024    0.91  0.84    2.33 2.33 0.78  0.6 0.4 0.4 3.86  1.01 -0.3       -1.45 -1.29       2.23 3.45 3.45 2.93    
      net income attributable to jinkosolar holding co., ltd.’s ordinary shareholders per ads-
                                                                                  
      weighted-average ordinary shares outstanding
                                                                                  
      basic
    208,496,117  208,607,597 208,607,597 208,076,672 211,662,944 216,001,414 207,705,476 207,705,476 204,566,514  198,004,260 198,004,260 197,894,301  192,314,636 190,672,869 190,672,869 190,716,434 190,427,792 190,427,792 178,938,853 178,938,853 177,718,162 178,150,798 178,743,903 178,743,903 169,363,306 169,363,306  156,888,381 156,888,381 153,806,379 153,806,379 156,457,441 145,540,445 145,540,445 128,944,330 128,944,330  128,442,966  127,556,967 126,820,607 125,870,272 125,870,272 125,477,086 125,477,086 124,771,933 124,618,416 124,453,627 124,300,320 124,300,320 122,980,870 122,980,870 123,516,733 119,512,317 119,512,317 94,018,394 89,317,742 94,018,394 88,810,075 88,758,778 88,758,778 88,740,778 88,752,706 88,740,778 88,786,920 88,786,920 95,115,055 93,966,535 95,335,454 95,106,052 95,106,052 86,927,850 74,896,543 69,426,294 50,731,450 
      diluted
    208,496,117  209,981,840 209,981,840 209,869,918 219,563,068 223,646,269 226,113,084 226,113,084 223,654,851  200,408,494 200,408,494 197,894,301  192,578,950 205,719,772 205,719,772 191,192,954 205,142,801 205,142,801 171,438,853 171,438,853 170,989,776 172,045,324 198,081,276 198,081,276 166,567,757 166,567,757  158,017,104 158,017,104 154,704,166 154,704,166 157,574,069 147,793,780 147,793,780 131,687,230 131,687,230  130,720,283  128,859,633 128,179,515 137,328,725 130,590,441 147,904,878 147,904,878 155,612,355 127,802,961 128,359,626 127,320,264 127,320,264 153,786,531 153,786,531 142,128,705 133,958,649 133,958,649 96,035,985 91,097,669 96,035,985 88,992,247 88,758,778 88,758,778 88,740,778 88,752,706 88,740,778 88,786,920 88,786,920 110,780,910 102,686,971 104,605,911 97,698,949 97,698,949 88,719,210 80,748,080 70,139,814 50,731,450 
      income tax benefit
                             -109,520,000 -109,520,000  -14,246,500 55,917,000 4,250,000 4,250,000  -11,965,000 10,003,000 3,293,000 3,293,000  6,616,750 32,460,000 26,466,952 -1,528,000 30,932,634 -1,528,000                                   
      other comprehensive income:
                                                                                  
      exchange loss on convertible senior notes and call option
                             4,664   1,778.5 -721                                                 
      gain from disposal of subsidiaries
                               19,935,000                                                   
      loss from disposal of subsidiaries
                                                                                  
      continuing operations
                                         1.1 0.233 0.37  0.48  0.48 7.87                                  
      4% of interest expense of convertible senior notes
                                              1,555 37,177           16,814        7,729 6,192   7,751           
      exchange gain on convertible senior notes and capped call options
                                                                       -398           
      change in fair value of forward contracts
                                    -44,090,000 -11,559,500 -21,618,000 585,000 585,000 -8,211,000 -2,030,404 -4,341,000 -6,180,828 1,105,000 -3,235,358 1,105,000 -52,562,000  -40,328,000 -40,328,000 -12,035,000  2,170,000 56,652,000 56,652,000 -715,000  -1,979,000 -114,395,000 -114,395,000 48,390,000 32,643,300  13,279,000 15,034,000 15,034,000 -4,873,000  -4,873,000 -972,000 -972,000 68,453,000  -30,088,000 -34,260,000 -34,260,000 -73,683,000  74,606,000  
      exchange loss on convertible senior notes and capped call options
                                              844 42,713                                  
      change in fair value of derivatives
                                     9,911,500 14,284,000 21,104,000                                          55,000 
      loss on disposal of subsidiaries
                                     -2,356,250  -9,425,000                                           
      change in fair value of derivative liability
                                        21,104,000 -16,122,000 3,332,687 -16,394,000 -19,455,037 376,000 -16,017,612 376,000 24,573,000  -1,109,000 -1,109,000 -2,532,000                              
      change in fair value of convertible senior notes and capped call options
                                                -110,242,000  -30,771,000 -30,771,000 111,021,000  -50,675,000 -29,616,000 -29,616,000 64,102,000  -17,828,000 26,686,000 26,686,000 -212,907,000 -160,862,500  -25,242,000 -46,984,000 -46,984,000 -6,801,000  -6,801,000 -18,423,000 -18,423,000 311,144,000  -20,059,000       
      investment income
                                                4,902,000   1,109,000                               
      income from continuing operations before income taxes
                                         148,875,000 56,511,037 14,787,000 92,363,733 61,933,000 76,719,685 61,933,000 1,247,722,000                                  
      income from continuing operations, net of tax
                                         142,192,000 23,360,365 47,247,000 118,830,685 60,405,000 107,652,319 60,405,000 990,235,000                                  
      discontinued operations
                                                6.64                                  
      gain on disposal of discontinued operations
                                                1,007,884,000                                  
      income from discontinued operations before income taxes
                                                48,146,000                                  
      income from discontinued operations, net of tax
                                                1,001,564,000                                  
      less: net income attributable to non-controlling interests from continuing operations
                                         486,000      -169,000                                   
      less: net income attributable to non-controlling interests from discontinued operations
                                                6,044,000                                  
      less: accretion to redemption value of redeemable non-controlling interests of discontinued operations
                                                159,478,000                                  
      earnings per share for ordinary shareholders, basic
                                                                                  
      total earnings per share for ordinary shareholders, basic
                                         1.1 0.233 0.37  0.48  0.48 14.51                                  
      earnings per share for ordinary shareholders, diluted
                                                                                  
      total earnings per share for ordinary shareholders, diluted
                                         1.08 0.228 0.37  0.47  0.47 13.35                                  
      earnings per ads for ordinary shareholders, basic
                                                                                  
      total earnings per ads for ordinary shareholders, basic
                                         4.4 0.93 1.48  1.92  1.92 58.04                                  
      earnings per ads for ordinary shareholders, diluted
                                                                                  
      total earnings per ads for ordinary shareholders, diluted
                                         4.32 0.91 1.48  1.88  1.88 53.4                                  
      investment loss
                                          -158,000 -194,000   -193,536                                    
      less: net loss attributable to non-controlling interests from continuing operations
                                          -100,750 -121,000 -402,841 -169,000 -289,572  -433,000                                  
      less: allocation of net income to participating preferred shares issued by discontinued operations
                                                                                  
      change in fair value of call spread options
                                                                                  
      investment gain
                                            -631,802                                  60,000    
      net income attributable to jinkosolar holding co., ltd.’s ordinary shareholders per share from continuing operations -
                                                                                  
      basic
     -6.4 0.28 -2.28 -0.48 2.4 2.82 16.6 -0.13 6.39  3.36           0.853 1.79 3.41 1.58 1.58 5.31 2.134 0.753 0.256 0.256 2.64 0.73 0.63 0.025 0.025    0.93  0.84    2.5 2.5 1.56  0.61 0.41 0.41 5.47  1.12 0.08       -1.45 -1.29       2.47 3.54 3.54 2.99    
      diluted
     -6.4 -1.25 -2.26 -0.53 0.87 1.34 15.23 0.38 5.55  3.32           0.57 1.64 2.28 0.67 0.67 4.85 1.843 0.315 0.254 0.254 2.63 0.73 0.63 0.024 0.024    0.91  0.84    2.33 2.33 0.78  0.6 0.4 0.4 3.86  1.01 -0.3       -1.45 -1.29       2.23 3.45 3.45 2.93    
      net income attributable to jinkosolar holding co., ltd.’s ordinary shareholders per ads from continuing operations -
                                                                                  
      net income attributable to jinkosolar holding co., ltd.’s ordinary shareholders per share from discontinued operations -
                                                                                  
      net income attributable to jinkosolar holding co., ltd.’s ordinary shareholders per ads from discontinued operations -
                                                                                  
      loss from discontinued operations before income taxes
                                                                                  
      gaap net income attributable to ordinary shareholders from continuing operations
                                               60,574 990,668                                  
      non-gaap net income attributable to ordinary shareholders from continuing operations
                                               79,999 1,245,795                                  
      non-gaap earnings per share attributable to ordinary shareholders from continuing operations -
                                                                                  
      basic
                       0.26 0.26     1.27   0.806 1.218  0.212 2.83           0.63 9.9                                  
      diluted
                       0.24 0.24     1.15   0.757 1.218  0.21 2.82           0.62 9.07                                  
      non-gaap earnings per ads attributable to ordinary shareholders from continuing operations -
                                                                                  
      non-gaap earnings per ads attributable to ordinary shareholders from continuing operations-
                                                                                  
      income tax benefit/(expense)
                                                  -100,441,000                                
      less:allocation of net income to participating preferred shares issued by subsidiary
                                                      11,929,000                            
      impairment of long lived assets
                                                         -6,217,000   -515,000 -515,000 -3,573,000                    
      income tax benefit/
                                                    -34,225,000          -18,532,000 -18,185,200   -13,000 -13,000 -1,289,000              
      income tax (expense)/benefit
                                                      1,845,000 -19,890,000 -19,890,000 134,334,000        216,000     -1,289,000            
      equity in (loss)/income of affiliated companies
                                                         9,549,000  2,350,000 10,245,000                      
      net income attributable to non-controlling interests
                                                         -851,000                         
      accretion to redemption value of redeemable non-controlling interests
                                                         -52,321,000                         
      manufacturing revenues from third parties
                                                           2,371,242,000 1,965,273,000                      
      manufacturing revenues from related parties
                                                                                  
      solar project electricity revenues from third parties
                                                           60,998,000 48,378,000                      
      total cost of revenue
                                                           -1,881,983,000 -1,530,515,000                      
      exchange gain /
                                                           -2,823,000                       
      other income / (expense)
                                                           -1,321,000                       
      income tax (expense) / benefit
                                                           -20,893,000                       
      net income / (loss) attributable to non-controlling interests
                                                           -232,000                       
      net income/(loss) attributable to jinkosolar holding co., ltd.’s ordinary shareholders
                                                           138,211,000              68,105,000         
      other comprehensive (loss)/income:
                                                                                  
      comprehensive (gain) / loss attributable to non-controlling interest
                                                           -232                       
      non-gaap reconciliation
                                                                                  
      gaap net income attributable to jinkosolar holding co., ltd.'s ordinary shareholders
                                                           138,211        -128,744 -114,529              
      exchange loss/(gain) on convertible senior notes and capped call options
                                                           128                       
      non-gaap net income attributable to jinkosolar holding co., ltd.'s ordinary shareholders-
                                                           172,981        -75,318 -87,551              
      non-gaap net income attributable to jinkosolar holding co., ltd.'s ordinary shareholders per share -
                                                                                  
      basic
                                                           1.4        -0.85 -0.99   -3.72     3.54      
      diluted
                                                           1.22        -0.85 -0.99   -3.72     3.45      
      non-gaap net income attributable to jinkosolar holding co., ltd. ‘s ordinary shareholders per ads -
                                                                                  
      other (expense)/income
                                                            32,000      6,784,000 6,784,000 12,414,000  12,414,000            
      less: net (loss)/income attributable to non-controlling interests
                                                            1,031,000                      
      net income attributable to jinkosolar holding co., lt.'s ordinary shareholders per share:
                                                                                  
      basic
     -6.4 0.28 -2.28 -0.48 2.4 2.82 16.6 -0.13 6.39  3.36           0.853 1.79 3.41 1.58 1.58 5.31 2.134 0.753 0.256 0.256 2.64 0.73 0.63 0.025 0.025    0.93  0.84    2.5 2.5 1.56  0.61 0.41 0.41 5.47  1.12 0.08       -1.45 -1.29       2.47 3.54 3.54 2.99    
      diluted
     -6.4 -1.25 -2.26 -0.53 0.87 1.34 15.23 0.38 5.55  3.32           0.57 1.64 2.28 0.67 0.67 4.85 1.843 0.315 0.254 0.254 2.63 0.73 0.63 0.024 0.024    0.91  0.84    2.33 2.33 0.78  0.6 0.4 0.4 3.86  1.01 -0.3       -1.45 -1.29       2.23 3.45 3.45 2.93    
      (loss)/income from operations
                                                             203,455,000 645,546,000 383,240,200  155,765,000 -16,810,000         409,864,000       
      (loss)/income before income taxes
                                                             8,273,000 233,639,000 64,465,600                   
      equity in income/(loss) of affiliated companies
                                                             10,245,000                     
      net (loss)/income
                                                             10,566,000 189,492,000 24,549,300  48,271,000 -129,162,000                
      less: net income/(loss) attributable to non-controlling interests
                                                             1,031,000                     
      net (loss)/income attributable to jinkosolar holding co., ltd.’s ordinary shareholders
                                                             9,535,000           -356,271,000        165,197,000 42,789,000 
      net (loss)/income attributable to jinkosolar holding co., ltd.’s ordinary shareholders per share:
                                                                                  
      basic
                                                             0.08 0.27  0.55 -1.45              2.38 0.84 
      diluted
                                                             -0.3 1.96 0.26  0.55 -1.45              2.36 0.84 
      net (loss)/income attributable to jinkosolar holding co., ltd.’s ordinary shareholders per ads:
                                                                                  
      benefit from advance to suppliers
                                                                       -129,843,000 -129,843,000          
      less: net (loss)/gain attributable to non-controlling interests
                                                              1,480,000                    
      net (loss)/income attributable to jinkosolar holding co., ltd.'s ordinary shareholders
                                                              188,012,000   48,963,000 -128,744,000                
      net (loss)/income attributable to jinkosolar holding co., ltd.'s ordinary shareholders per share:
                                                                                  
      basic
                                                             0.08 0.27  0.55 -1.45              2.38 0.84 
      diluted
                                                             -0.3 1.96 0.26  0.55 -1.45              2.36 0.84 
      net (loss)/income attributable to jinkosolar holding co., ltd.'s ordinary shareholders per ads:
                                                                                  
      consolidated statements of operations data:
                                                                                  
      equity in losses of affiliated companies
                                                               -21,731,100  -19,281,000 -45,000 -45,000               
      net (loss)/income attributable to jinkosolar holding co., ltd.
                                                               23,725,800                   
      net (loss)/income attributable to jinkosolar holding co., ltd’s ordinary shareholders per share
                                                                                  
      basic
                                                             0.08 0.27  0.55 -1.45              2.38 0.84 
      diluted
                                                             -0.3 1.96 0.26  0.55 -1.45              2.36 0.84 
      net (loss)/income attributable to jinkosolar holding co., ltd’s ordinary shareholders per ads
                                                                                  
      (loss)/gain before income taxes
                                                                 67,336,000 -129,104,000                
      less: net gain/(loss) attributable to non-controlling interests
                                                                 -692,000                 
      less: net (income)/loss attributable to non-controlling interests
                                                                   -418,000 2,000              
      less: comprehensive income/ (loss) attributable to non-controlling interest
                                                                   -418              
      comprehensive loss attributable to jinkosolar holding co., ltd.'s ordinary shareholders
                                                                   -126,301 -115,138              
      exchange (loss)/gain on convertible senior notes and capped call options
                                                                   -1,287 13,985              
      non-gaap net income attributable to jinkosolar holding co., ltd. 's ordinary shareholders per ads -
                                                                                  
      non-gaap weighted-average ordinary shares outstanding -
                                                                                  
      basic
                       190,427,792 190,427,792     178,743,903    166,605,808  156,888,381 153,806,379           126,820,607 125,870,272           123,516,733        88,758,778 88,740,778   88,786,920     95,106,052      
      diluted
                       205,142,801 205,142,801     198,081,276    166,605,808  158,017,104 154,704,166           128,179,515 137,328,725           142,128,705        88,758,778 88,740,778   88,786,920     97,698,949      
      less: net income/(income) attributable to non-controlling interests
                                                                      2,000 17,000 17,000          
      less: comprehensive income attributable to non-controlling interest
                                                                       17           
      gaap net income/(loss) attributable to jinkosolar holding co., ltd.'s ordinary shareholders
                                                                       -356,271           
      non-gaap net income/(loss) attributable to jinkosolar holding co., ltd.'s ordinary shareholders-
                                                                       -330,495           
      non-gaap net income/(loss) attributable to jinkosolar holding co., ltd.'s ordinary shareholders per share -
                                                                                  
      basic
                                                           1.4        -0.85 -0.99   -3.72     3.54      
      diluted
                                                           1.22        -0.85 -0.99   -3.72     3.45      
      non-gaap net income attributable to jinkosolar holding co., ltd.’s ordinary shareholders per ads -
                                                                                  
      gross profit/
                                                                        7,032,000          
      goodwill impairment
                                                                                  
      income /(loss) from operations
                                                                         -197,266,000         
      other incomes
                                                                         -3,725,000         
      income tax(expense)/benefit
                                                                         -986,000         
      net income/(loss) attributable to jinkosolar holding co., ltd.’s ordinary shareholders per share -
                                                                                  
      basic
                3.36 -3.15  0.15 3.78 1.25 0.35 1.16 1.16 1.29                                             -0.62 -4.01 -4.01 0.72         
      diluted
                3.33 -3.15  0.15 2.01 1.04 0.35 -0.9 -0.9 -1.36                                             -0.62 -4.01 -4.01 -2.97         
      net income/(loss) attributable to jinkosolar holding co., ltd.’s ordinary shareholders per ads -
                                                                                  
      weighted-average ordinary shares outstanding -
                                                                                  
      basic
    208,496,117  208,607,597 208,607,597 208,076,672 211,662,944 216,001,414 207,705,476 207,705,476 204,566,514  198,004,260 198,004,260 197,894,301  192,314,636 190,672,869 190,672,869 190,716,434 190,427,792 190,427,792 178,938,853 178,938,853 177,718,162 178,150,798 178,743,903 178,743,903 169,363,306 169,363,306  156,888,381 156,888,381 153,806,379 153,806,379 156,457,441 145,540,445 145,540,445 128,944,330 128,944,330  128,442,966  127,556,967 126,820,607 125,870,272 125,870,272 125,477,086 125,477,086 124,771,933 124,618,416 124,453,627 124,300,320 124,300,320 122,980,870 122,980,870 123,516,733 119,512,317 119,512,317 94,018,394 89,317,742 94,018,394 88,810,075 88,758,778 88,758,778 88,740,778 88,752,706 88,740,778 88,786,920 88,786,920 95,115,055 93,966,535 95,335,454 95,106,052 95,106,052 86,927,850 74,896,543 69,426,294 50,731,450 
      diluted
    208,496,117  209,981,840 209,981,840 209,869,918 219,563,068 223,646,269 226,113,084 226,113,084 223,654,851  200,408,494 200,408,494 197,894,301  192,578,950 205,719,772 205,719,772 191,192,954 205,142,801 205,142,801 171,438,853 171,438,853 170,989,776 172,045,324 198,081,276 198,081,276 166,567,757 166,567,757  158,017,104 158,017,104 154,704,166 154,704,166 157,574,069 147,793,780 147,793,780 131,687,230 131,687,230  130,720,283  128,859,633 128,179,515 137,328,725 130,590,441 147,904,878 147,904,878 155,612,355 127,802,961 128,359,626 127,320,264 127,320,264 153,786,531 153,786,531 142,128,705 133,958,649 133,958,649 96,035,985 91,097,669 96,035,985 88,992,247 88,758,778 88,758,778 88,740,778 88,752,706 88,740,778 88,786,920 88,786,920 110,780,910 102,686,971 104,605,911 97,698,949 97,698,949 88,719,210 80,748,080 70,139,814 50,731,450 
      other (expenses)/income
                                                                           610,000 32,090,000      
      income taxes expense
                                                                           -45,007,000 -53,067,000      
      net income attributable to jinkosolar holding co., ltd.’s ordinary shareholders per ads -
                                                                                  
      net income attributable to jinkosolar holding co., ltd.
                                                                            336,592,000 336,592,000 259,508,000  180,650,000 73,407,000 
      series a redeemable convertible preferred shares accretion
                                                                                -4,524,000  
      series b redeemable convertible preferred shares accretion
                                                                                -5,875,000  
      allocation to preferred shareholders
                                                                                -5,054,000  
      1. non-gaap net income
                                                                                  
      gaap net income
                                                                            336,592      
      non-gaap net income
                                                                            336,592      
      2. non-gaap earnings per share and non-gaap earnings per ads
                                                                                  
      gaap net income attributable to jinkosolar holding co., ltd.’s ordinary shareholders
                                                                            336,592      
      non-gaap net income attributable to jinkosolar holding co., ltd.’s ordinary shareholders – basic
                                                                            336,592      
      non-gaap net income attributable to jinkosolar holding co., ltd. ‘s ordinary shareholders per share -
                                                                                  
      basic
                                                           1.4        -0.85 -0.99   -3.72     3.54      
      diluted
                                                           1.22        -0.85 -0.99   -3.72     3.45      
      3. non-gaap diluted weighted-average ordinary shares outstanding
                                                                                  
      gaap weighted-average ordinary shares outstanding - diluted
                                                                            97,698,949      
      less: incremental shares for assumed conversions of convertible senior notes
                                                                                  
      non-gaap weighted-average ordinary shares outstanding - diluted
                                                                            97,698,949      
      exchange(loss)/ gain
                                                                             4,655,000     
      other(expenses)/income
                                                                             32,090,000     
      change in fair value of embedded derivatives
                                                                                  
      income taxes
                                                                             -53,067,000 -38,170,000  -29,925,000  
      net income attributable to jinkosolar holding co., ltd. ‘s ordinary shareholders per share -
                                                                                  
      basic
     -6.4 0.28 -2.28 -0.48 2.4 2.82 16.6 -0.13 6.39  3.36           0.853 1.79 3.41 1.58 1.58 5.31 2.134 0.753 0.256 0.256 2.64 0.73 0.63 0.025 0.025    0.93  0.84    2.5 2.5 1.56  0.61 0.41 0.41 5.47  1.12 0.08       -1.45 -1.29       2.47 3.54 3.54 2.99    
      diluted
     -6.4 -1.25 -2.26 -0.53 0.87 1.34 15.23 0.38 5.55  3.32           0.57 1.64 2.28 0.67 0.67 4.85 1.843 0.315 0.254 0.254 2.63 0.73 0.63 0.024 0.024    0.91  0.84    2.33 2.33 0.78  0.6 0.4 0.4 3.86  1.01 -0.3       -1.45 -1.29       2.23 3.45 3.45 2.93    
      net income attributable to jinkosolar holding co., ltd. ‘s ordinary shareholders per ads -
                                                                                  
      other income/(expenses)
                                                                              4,717,000  -4,837,000  
      net (loss)/income attributable to jinkosolar holding co., ltd.’s ordinary shareholders per share -
                                                                                  
      basic
                                                             0.08 0.27  0.55 -1.45              2.38 0.84 
      diluted
                                                             -0.3 1.96 0.26  0.55 -1.45              2.36 0.84 
      net (loss)/income attributable to jinkosolar holding co., ltd.’s ordinary shareholders per ads -
                                                                                  
      deemed dividend to a preferred share holder
                                                                                  
    Balance Sheets:
    Quarterly
    Annual
      Unit: USD2025-11-17 2025-09-30 2025-04-29 2025-03-31 2024-12-31 2024-08-30 2024-04-29 2023-12-31 2023-09-30 2023-03-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-12-07 2020-09-30 2020-06-30 2020-06-17 2020-03-31 2020-03-16 2019-12-31 2019-09-30 2019-08-30 2019-06-30 2019-03-31 2018-12-31 2018-11-26 2018-09-30 2018-08-14 2018-06-27 2018-03-23 2017-12-31 2017-12-07 2017-09-30 2017-09-06 2017-06-30 2017-03-31 2016-12-31 2016-03-31 2015-12-31 2015-06-30 2015-03-31 2014-12-31 2014-09-30 2014-06-30 2014-03-31 2013-12-31 2013-09-30 2013-06-30 2013-03-31 2012-12-31 2012-09-30 2012-06-30 2012-03-31 2011-12-31 2011-09-30 2011-06-30 2011-03-31 2010-12-31 2010-09-30 2010-03-31 2009-12-31 2008-12-31 2007-12-31 
                                                                          
        assets
                                                                          
        current assets:
                                                                          
        cash,cash equivalents, and restricted cash
      23,440,345,000 23,440,345,000 27,382,593,000 27,382,593,000  13,869,567,000 17,626,962,000                                                              
        restricted short-term investments and short-term investments
      5,212,183,000 5,212,183,000 4,299,317,000 4,299,317,000  6,458,580,000 9,657,340,000                                                              
        accounts receivable
      15,034,067,000 15,034,067,000 12,785,912,000 12,785,912,000  18,386,843,000 19,816,330,000                                                              
        notes receivable
      2,970,474,000 2,970,474,000 3,001,864,000 3,001,864,000  4,283,889,000 4,761,900,000                                                1,424,000 267,000 2,489,000  17,280,000 6,450,000 42,200,000    33,632,000    
        advances to suppliers
      1,419,475,000 1,419,475,000 1,908,971,000 1,908,971,000  3,774,159,000 4,556,481,000                                                             151,455,700 
        inventories
      14,939,226,000 14,939,226,000 13,258,752,000 13,258,752,000  19,489,767,000 20,133,914,000  19,153,303,000 21,441,245,000 21,433,366,000 18,495,775,000 15,953,419,000 13,252,352,000 13,473,320,000 9,880,635,000 9,104,790,000 8,376,936,000 7,722,269,000 7,722,268,860 6,889,268,000 7,147,762,000 7,147,762,000 5,818,789,000  6,072,596,000 6,633,699,000 6,633,699,000 6,480,031,000 5,743,328,000 5,560,133,000 5,560,133,000 5,890,591,000 4,705,744,000 4,273,730,000  5,242,139,000 5,242,139,369 5,204,392,000 5,204,392,244 5,370,024,000  3,110,185,000  2,949,752,000 1,951,389,000 1,891,148,000 1,493,740,000 1,000,378,000 1,036,068,000 712,029,000 629,624,000 529,571,000 744,001,000 527,962,000 852,585,000 926,959,000 801,396,000 798,075,000 1,109,854,000 1,057,408,000 1,040,767,000 819,515,000 542,041,000 398,026,000 245,192,400 272,030,500 172,134,900 
        foreign exchange forward contract receivables
      243,622,000 243,622,000 78,316,000 78,316,000  122,268,000 97,729,000             38,962,477                                                 
        prepayments and other current assets
      6,697,546,000 6,697,546,000 4,568,566,000 4,568,566,000  6,031,154,000 5,356,867,000  3,533,424,000 3,421,419,000 2,799,791,000 2,888,713,000 3,118,845,000 2,435,056,000 2,792,086,000 2,808,184,000 2,819,432,000 3,020,592,000 1,933,857,000 1,933,857,025 1,570,550,000 1,816,529,000 1,816,529,000 1,573,482,000  1,797,770,000 2,179,229,000 2,179,229,000 2,206,097,000 1,712,889,000 1,772,780,000 1,772,780,000 1,360,476,000 1,689,163,000 1,706,717,000  1,426,456,000 1,426,455,706 1,377,668,000 1,377,667,854 1,133,643,000  963,302,000  970,889,000 825,909,000 916,656,000 670,478,000 567,820,000 522,893,000 591,853,000 557,338,000 497,313,000 550,461,000 413,331,000 438,748,000 527,439,000 418,702,000 813,910,000 948,619,000 994,484,000 587,700,000 371,487,000 294,683,000 82,792,000    
        held-for-sale assets
        39,677,000 39,677,000  189,077,000 187,052,000  2,231,004,000  101,835,000 101,835,000 701,047,000 684,631,000                                                       
        total current assets
      69,956,938,000 69,956,938,000 67,323,968,000 67,323,968,000 485,084,000 72,605,304,000 82,194,575,000 796,773,000 80,814,111,000 70,355,486,000 72,580,537,000 68,472,576,000 62,227,118,000 45,499,455,000 39,668,151,000 34,505,971,000 34,053,541,000 33,682,130,000 32,318,138,000 32,318,138,182 32,290,820,000 30,791,059,000 30,791,059,000 31,688,248,000 3,489,935,831 28,529,596,000 28,357,541,000 28,357,541,000 26,176,473,000 22,854,262,000 22,739,427,000 22,739,427,000 21,658,559,000 19,525,754,000 19,607,857,000 599,542,709 21,438,203,000 21,438,204,070 20,463,526,000 20,463,525,175 20,018,993,000 909,440,051 14,837,273,000  11,559,938,000 9,993,893,000 10,407,320,000 8,649,200,000 7,109,104,000 6,313,168,000 5,342,721,000 5,474,862,000 5,204,815,000 5,328,431,000 3,985,608,000 5,013,675,000 5,184,018,000 4,849,303,000 4,608,473,000 5,413,863,000 5,896,167,000 4,865,636,000 3,188,534,000 2,673,676,000 1,195,257,000 970,650,400 528,980,400 398,470,100 
        non-current assets:
                                                                          
        restricted long-term investments
      1,431,612,000 1,431,612,000 1,199,030,000 1,199,030,000  1,918,126,000 1,862,693,000             966,780,081                                                 
        long-term investments
      1,778,488,000 1,778,488,000 1,753,561,000 1,753,561,000  1,738,566,000 2,089,615,000  2,302,860,000 2,540,679,000 862,218,000 727,655,000 555,772,000 538,866,000 355,295,000 217,678,000 218,439,000 194,258,000 173,382,000  163,442,000 159,710,000 159,710,000 278,021,000  247,757,000 276,116,000 276,116,000 21,779,000 25,531,000 61,760,000 61,760,000 52,972,000 22,406,000 22,322,000  23,521,000 23,520,549 8,886,000 8,886,053 9,080,000  118,377,000  108,075,000 104,193,000 103,118,000 100,977,000 106,164,000 103,813,000 93,569,000 97,453,000                 
        property, plant and equipment
      39,726,082,000 39,726,082,000 43,869,500,000 43,869,500,000  45,615,154,000 43,383,008,000  36,025,775,000 33,599,041,000 30,203,362,000 26,243,745,000 23,415,061,000 19,969,894,000 17,542,382,000 15,941,047,000 13,601,945,000 12,455,444,000 11,718,902,000 11,718,901,678 11,336,560,000 10,657,193,000 10,657,193,000 10,208,205,000  8,704,097,000 7,858,876,000 7,858,876,000 7,504,897,000 8,275,900,000 7,670,817,000 7,670,817,000 7,132,508,000 6,815,857,000 6,680,187,000  6,028,169,000 6,028,168,623 5,885,094,000 5,885,094,089 5,278,158,000  3,926,447,000  3,411,948,000 3,189,862,000 3,101,795,000 3,171,841,000 3,199,098,000 3,147,138,000 3,186,998,000 3,331,930,000 3,339,581,000 3,275,959,000 3,329,873,000 3,458,769,000 3,513,074,000 3,541,090,000 3,840,799,000 3,560,990,000 3,180,025,000 2,641,825,000 1,938,978,000 1,558,384,000 814,866,000 741,481,400 352,929,500 57,479,400 
        land use rights
      1,797,410,000 1,797,410,000 1,827,696,000 1,827,696,000  1,852,866,000 1,861,500,000  1,613,337,000 1,472,048,000 1,308,233,000 1,196,542,000 1,125,327,000 1,090,057,000 838,903,000 776,760,000 776,107,000 760,962,000 717,477,000 717,477,403 721,113,000 668,205,000 668,205,000 597,922,000  600,989,000 604,113,000 604,113,000 572,054,000 574,945,000 577,835,000 577,835,000 580,725,000 529,303,000 443,269,000  447,616,000 447,615,874 449,034,000 449,034,005 449,434,000  348,995,000 349,914,100 368,435,000 370,199,000 371,932,000 364,023,000 365,739,000 367,456,000 359,085,000 360,695,000 362,417,000 364,083,000 365,749,000 367,416,000 364,851,000 366,360,000 368,043,000 369,733,000 259,595,000 260,727,000 261,859,000 263,006,000 227,434,000 228,377,500 165,509,600 6,962,000 
        intangible assets
      483,768,000 483,768,000 463,060,000 463,060,000  361,480,000 319,268,000  186,794,000 82,407,000 508,888,000 70,142,000 64,820,000 55,484,000 38,462,000 36,717,000 35,594,000 35,838,000 36,746,000 36,746,443 38,234,000 37,167,000 37,167,000 36,395,000  34,850,000 36,285,000 36,285,000 36,690,000 35,361,000 25,235,000 25,235,000 26,179,000 25,125,000 25,743,000  26,466,000 26,465,636 23,411,000 23,410,798 20,853,000  20,782,000  15,201,000 12,064,000 9,964,000 8,174,000 7,413,000 7,689,000 6,464,000 6,327,000 6,508,000 6,548,000 6,374,000 6,415,000 6,115,000 5,617,000 3,656,000 1,702,000 1,147,000 1,024,000 951,000 893,000 413,000    
        right-of-use assets
      279,302,000 279,302,000 419,872,000 419,872,000  567,137,000 696,918,000                                                              
        deferred tax assets
      2,757,101,000 2,757,101,000 2,876,008,000 2,876,008,000  1,613,419,000 1,293,193,000  703,856,000 704,244,000 371,767,000 371,767,000 371,781,000 371,767,000 255,107,000 255,107,000 255,107,000 255,107,000 271,286,000 271,286,263 271,286,000 271,286,000 271,286,000 271,286,000  331,508,000 331,508,000 331,508,000 331,508,000 338,069,000 300,899,000 300,899,000 300,989,000 264,102,000 275,372,000  265,467,000 265,467,017 265,467,000 265,467,017                             
        advances to suppliers to be utilised beyond one year
      274,502,000 274,502,000 514,388,000 514,388,000  671,645,000 622,369,000  669,897,000 292,032,000 346,659,000 409,232,000 455,471,000 296,709,000 177,825,000                                                      
        other assets
      2,182,216,000 2,182,216,000 1,853,411,000 1,853,411,000  1,571,391,000 2,654,153,000                                    1,057,482,000  687,624,000 663,853,000 474,478,000 478,909,000 300,530,000 267,677,000 144,928,000 128,725,000 100,797,000 96,627,000 82,210,000 145,573,000 192,227,000 128,849,000 129,388,000 170,280,000 335,381,000 228,157,000 203,533,000 98,989,000 76,829,000    
        available-for-sale securities-non-current
      174,889,000 174,889,000 150,922,000 150,922,000  131,134,000 104,134,000                                                              
        total non-current assets
      50,885,370,000 50,885,370,000 54,927,448,000 54,927,448,000  56,040,918,000 54,886,851,000  46,534,328,000 43,175,925,000 38,478,539,000 34,770,873,000 30,199,632,000 27,484,029,000 24,328,659,000 22,852,016,000 20,747,291,000 19,550,244,000 17,694,753,000 17,694,753,917 17,310,876,000 16,442,940,000 16,442,940,000 16,156,470,000  16,497,172,000 15,386,750,000 15,386,750,000 13,513,811,000 12,998,921,000 12,586,357,000 12,586,357,000 11,224,522,000 9,837,320,000 9,028,548,000  8,206,438,000 8,206,436,522 7,608,336,000 7,608,336,538 6,984,059,000                            
        total assets
      120,842,308,000 120,842,308,000 122,251,416,000 122,251,416,000 20,093,786,000 128,646,222,000 137,081,426,000 21,151,170,000 127,348,439,000 113,531,411,000 111,059,076,000 103,243,449,000 92,426,750,000 72,983,484,000 63,996,810,000 57,357,987,000 54,800,832,000 53,232,374,000 50,012,891,000 50,012,892,099 49,601,696,000 47,233,999,000 47,233,999,000 47,844,718,000 11,620,235,096 45,026,768,000 43,744,291,000 43,744,291,000 39,690,284,000 35,853,183,000 35,325,784,000 35,325,784,000 32,883,081,000 29,363,074,000 28,636,405,000 7,052,565,158 29,644,641,000 29,644,640,592 28,071,862,000 28,071,861,713 27,003,052,000 7,313,354,998 28,155,605,000 27,144,548,500 21,910,906,000 19,332,079,000 19,087,636,000 15,638,109,000 13,401,897,000 11,727,088,000 10,611,225,000 10,404,717,000 9,899,445,000 9,751,062,000 8,372,320,000 9,057,440,000 9,324,827,000 8,962,695,000 9,176,398,000 9,788,544,000 10,039,034,000 8,274,126,000 5,874,406,000 4,870,147,000 2,587,514,000 2,242,649,300 1,278,020,400 559,279,800 
        liabilities
                                                                          
        current liabilities:
                                                                          
        accounts payable
      14,076,092,000 14,076,092,000 11,406,669,000 11,406,669,000  13,952,517,000 15,027,303,000                                                             8,721,300 
        notes payable
      7,725,290,000 7,725,290,000 6,050,240,000 6,050,240,000  19,528,035,000 27,008,610,000                                              1,689,035,000 1,561,946,000 1,149,137,000 904,268,000 943,197,000 1,186,068,000   1,216,393,000 938,105,000 571,522,000 422,277,000 108,763,000 81,643,200   
        accrued payroll and welfare expenses
      2,319,132,000 2,319,132,000 2,609,321,000 2,609,321,000  2,592,942,000 2,477,585,000  2,382,141,000 1,876,421,000 1,649,770,000 1,350,463,000 1,207,533,000 1,240,791,000 1,086,629,000 955,342,000 900,995,000 995,054,000 839,161,000 839,161,480 793,927,000 780,786,000 780,786,000 879,465,000  792,067,000 760,972,000 760,972,000 736,710,000 810,921,000 734,556,000 734,556,000 694,786,000 673,652,000 721,380,000  669,024,000 669,023,785 596,698,000 596,698,234 541,267,000  478,682,000 454,210,900 322,631,000 314,236,000 312,431,000 285,552,000 254,910,000 235,160,000 238,655,000 228,541,000 217,630,000 203,173,000 206,425,000 187,880,000 176,044,000 170,101,000 176,648,000 166,608,000 135,119,000 107,125,000 96,854,000 64,833,000 36,306,000 34,989,300 9,535,900  
        advances from customers
      4,681,284,000 4,681,284,000 5,460,934,000 5,460,934,000  7,551,735,000 8,046,296,000                                    684,672,000  478,569,000 276,222,000 423,089,000 241,018,000 184,308,000 147,274,000 147,583,000 313,815,000 157,101,000 101,321,000 121,031,000 77,672,000             
        income tax payables
      673,303,000 673,303,000 75,543,000 75,543,000  491,952,000 1,139,408,000                                                3,000 2,000 884,000 30,546,000 32,884,000 61,194,000 77,929,000        
        other payables and accruals
      13,463,080,000 13,463,080,000 15,956,089,000 15,956,089,000  16,387,720,000 17,090,442,000  10,902,493,000 9,555,170,000 7,295,358,000 7,173,372,000 6,359,974,000 4,844,077,000 4,347,184,000 3,721,074,000 2,994,841,000 3,408,391,000 3,201,154,000  3,296,258,000 3,195,399,000 3,195,399,000 3,055,928,000  2,873,540,000 2,302,461,000 2,302,461,000 2,192,538,000 2,281,025,000 2,278,601,000 2,278,601,000 2,056,294,000 1,914,566,000 1,804,799,000  1,579,261,000 1,579,259,001 1,451,915,000 1,451,913,943 993,597,000  1,901,983,000  1,398,972,000 1,331,833,000 1,392,144,000 842,918,000 990,719,000 771,352,000 830,374,000 880,569,000 841,990,000 850,638,000 815,893,000 959,283,000 969,432,000 749,436,000 814,527,000 658,470,000 662,201,000 616,133,000 456,416,000 394,290,000 87,529,000    
        foreign exchange forward derivatives payables
      109,864,000 109,864,000 64,938,000 64,938,000  16,038,000 22,270,000                                                              
        lease liabilities - current
      83,694,000 83,694,000 102,948,000 102,948,000  118,382,000 142,124,000                                                              
        short-term borrowings, including current portion of long-term borrowings, and failed sale-leaseback financing
      10,797,984,000 10,797,984,000 9,004,600,000 9,004,600,000  6,830,467,000 9,069,717,000                                                              
        total current liabilities
      53,929,723,000 53,929,723,000 50,731,282,000 50,731,282,000 194,877,000 67,469,788,000 80,155,348,000 994,736,000 73,325,829,000 66,256,921,000 66,724,156,000 62,927,649,000 53,504,738,000 45,459,462,000 36,890,430,000 31,853,598,000 31,928,757,000 31,216,791,000 31,079,538,000 31,079,541,148 31,084,137,000 30,673,689,000 30,673,689,000 31,277,228,000 1,573,774,698 30,032,924,000 29,809,959,000 29,809,959,000 27,805,301,000 24,141,188,000 24,232,438,000 24,232,438,000 22,748,359,000 19,777,539,000 19,962,417,000 362,799,598 20,919,984,000 20,919,982,941 20,077,141,000 20,077,140,615 19,215,899,000 852,646,112 17,110,194,000 18,622,441,900 13,329,608,000 11,208,391,000 10,523,365,000 7,633,746,000 6,851,668,000 6,709,372,000 7,237,115,000 7,242,408,000 7,275,736,000 6,714,138,000 6,238,444,000 6,053,283,000 6,293,861,000 5,742,353,000 5,642,586,000 5,715,072,000 5,584,043,000 4,993,620,000 2,935,973,000 2,739,573,000 1,238,112,000 946,782,300 481,330,600 310,922,200 
        non-current liabilities:
                                                                          
        long-term borrowings
      19,985,166,000 19,985,166,000 22,643,412,000 22,643,412,000  13,434,364,000 10,108,230,000  13,047,106,000 14,563,261,000 14,661,740,000 11,602,602,000 11,081,221,000 9,896,455,000 9,661,276,000 8,198,059,000 7,303,187,000 7,301,536,000 4,906,232,000 4,906,231,888 2,831,051,000 1,521,730,000 1,521,730,000 1,586,187,000  2,023,159,000 2,408,501,000 2,408,501,000 2,197,494,000 1,954,831,000 1,433,485,000 1,433,485,000 855,562,000 707,130,000 379,789,000  462,049,000 462,049,194 467,518,000 467,517,623 445,734,000  4,167,091,000 1,308,679,800 2,133,043,000 1,119,500,000 956,500,000 938,640,000 893,400,000 352,500,000 362,000,000 383,000,000 383,000,000 344,000,000 167,000,000 275,000,000 275,000,000 172,500,000 155,500,000 304,750,000 330,750,000 269,375,000 269,250,000 269,125,000 328,875,000 348,750,000   
        convertible notes
      10,534,627,000 10,534,627,000 10,459,913,000 10,459,913,000  7,203,086,000 6,480,846,000                                                              
        accrued warranty costs - non current
      1,687,141,000 1,687,141,000 1,962,385,000 1,962,385,000  2,205,949,000 2,155,012,000  1,988,279,000 1,549,144,000 1,148,417,000 1,021,123,000 889,067,000 858,641,000 791,109,000 768,099,000 765,499,000 769,332,000 762,779,000  703,747,000 671,556,000 671,556,000 651,968,000  605,940,000 560,258,000 560,258,000 565,297,000 573,641,000 546,090,000 546,090,000 543,971,000 557,204,000 571,718,000  577,257,000 577,257,090 562,863,000 562,862,915 531,498,000                            
        lease liabilities-noncurrent
      243,922,000 243,922,000 356,848,000 356,848,000  475,932,000 526,412,000                                                              
        deferred tax liability
      57,563,000 57,563,000 56,718,000 56,718,000  138,971,000 139,017,000  202,391,000 221,270,000 183,003,000 183,003,000 183,003,000 183,003,000 328,713,000 328,713,000 328,713,000 328,713,000 250,734,000 250,733,941 250,734,000 250,734,000 250,734,000 250,734,000  25,893,000 25,893,000 25,893,000 25,893,000 25,893,000 63,783,000 63,783,000 63,783,000 63,783,000 70,122,000  67,725,000 67,724,594 67,725,000 67,724,594                      2,481,000 2,481,000 2,818,000 2,791,000    
        long-term payables
      4,287,388,000 4,287,388,000 4,423,068,000 4,423,068,000  4,257,201,000 2,813,272,000  844,819,000 608,955,000 594,956,000 587,803,000 575,455,000 568,495,000 422,899,000 338,153,000 176,813,000 97,000            338,412,000 400,266,000 400,266,000 471,215,000 506,359,000 538,410,000  567,777,000 567,776,913 125,693,000 125,693,308 35,022,000  53,567,000  78,415,000 75,871,000 66,906,000 33,569,000 32,983,000 32,396,000 32,396,000  9,133,000 9,134,000 146,000 164,000             
        total non-current liabilities
      36,795,807,000 36,795,807,000 39,902,344,000 39,902,344,000  27,715,503,000 22,222,789,000  20,932,198,000 18,397,254,000 18,482,755,000 15,607,010,000 14,478,830,000 13,236,765,000 13,025,190,000 11,651,393,000 9,145,188,000 9,024,817,000 6,623,983,000 6,623,982,741 4,534,345,000 3,769,308,000 3,769,308,000 4,126,462,000  3,782,762,000 4,204,477,000 4,204,477,000 3,372,109,000 3,258,017,000 2,849,990,000 2,849,990,000 2,345,642,000 2,251,220,000 1,984,724,000  2,101,132,000 2,101,132,150 1,371,793,000 1,371,792,142 1,249,915,000  4,713,211,000  3,326,327,000 3,029,993,000 3,595,867,000 3,669,771,000 3,600,514,000 2,207,692,000 1,353,497,000 1,324,890,000                 
        total liabilities
      90,725,530,000 90,725,530,000 90,633,626,000 90,633,626,000  95,185,291,000 102,378,137,000 994,736,000 94,258,027,000 84,654,175,000 85,206,911,000 78,534,659,000 67,983,568,000 58,696,227,000 49,915,620,000 43,504,991,000 41,073,945,000 40,241,608,000 37,703,521,000 37,703,523,889 35,618,482,000 34,442,997,000 34,442,997,000 35,403,690,000 2,316,917,081 33,815,686,000 34,014,436,000 34,014,436,000 31,177,410,000 27,399,205,000 27,082,428,000 27,082,428,000 25,094,001,000 22,028,759,000 21,947,141,000 363,291,903 23,021,116,000 23,021,115,091 21,448,934,000 21,448,932,757 20,465,814,000 852,646,112 21,823,405,000 21,184,825,500 16,655,935,000 14,238,384,000 14,119,232,000 11,303,517,000 10,452,182,000 8,917,064,000 8,590,612,000 8,567,298,000 8,592,668,000 8,500,606,000 6,998,510,000 6,856,030,000 7,081,127,000 6,412,362,000 6,271,225,000 6,505,985,000 6,795,368,000 5,266,976,000 3,209,204,000 3,024,402,000 1,571,278,000 1,299,811,800 485,043,700 372,585,900 
        mezzanine equity
                                                                          
        redeemable non-controlling interests
      1,522,373,000 1,522,373,000 1,554,000,000 1,554,000,000                                       1,654,151,000 1,607,925,700 1,519,314,000 1,476,856,000 1,435,585,000 1,076,033,000                     
        shareholders' equity
      17,095,703,000 17,095,703,000                                                                   
        total jinkosolar holding co., ltd. shareholders' equity
        18,403,180,000 18,403,180,000  20,620,188,000   20,029,751,000 17,604,978,000 15,527,212,000 14,620,532,000 14,750,306,000 11,049,786,000 10,928,077,000 10,700,696,000 10,675,244,000 9,987,848,000 9,871,337,000  9,947,854,000 9,647,565,000 9,647,565,000 9,303,319,000  8,948,750,000 8,546,652,000 8,546,652,000 7,866,726,000 7,839,891,000 7,726,557,000 7,726,557,000 7,488,866,000 7,334,218,000 6,689,274,000  6,624,424,000 6,624,424,231 6,623,714,000 6,623,714,417 6,537,903,000  4,646,436,000  3,708,607,000 3,590,540,000 3,507,097,000 3,232,852,000 2,937,581,000  2,009,742,000 1,827,107,000 1,299,197,000 1,241,984,000 1,365,121,000 2,182,810,000 2,233,602,000 2,540,233,000         390,349,600  
        non-controlling interests
      11,498,702,000 11,498,702,000 11,660,610,000 11,660,610,000  12,840,743,000 13,750,011,000  13,060,661,000 11,272,258,000 10,324,953,000 10,088,258,000 9,692,876,000 3,237,471,000 3,153,113,000 3,152,300,000 3,051,643,000 3,002,918,000 2,438,033,000 2,438,032,836 4,035,360,000 3,143,437,000 3,143,437,000 3,137,709,000  2,262,332,000 1,183,203,000 1,183,203,000 646,148,000 614,087,000 516,799,000 516,799,000 300,214,000 97,000 -10,000  -899,000 -898,730 -786,000 -785,461 -665,000  31,613,000 29,929,000 27,050,000 26,299,000 25,722,000 25,707,000 12,134,000 11,902,000 10,871,000 10,312,000 7,580,000 8,472,000 8,689,000 18,600,000 10,098,000 10,100,000          10,940,100 
        total shareholders' equity
      28,594,405,000 28,594,405,000 30,063,790,000 30,063,790,000  33,460,931,000 34,703,289,000  33,090,412,000 28,877,236,000 25,852,165,000 24,708,790,000 24,443,182,000       12,309,368,210                6,689,273,255  6,623,525,501  6,622,928,956  6,460,708,886                           
        total liabilities, non-controlling interest and shareholders' equity
      120,842,308,000 120,842,308,000 122,251,416,000 122,251,416,000   137,081,426,000                                                              
        ​
                                                                          
        cash and cash equivalent
          124,313,000   414,689,000                 4,556,832           15,706,763      4,815,606               466,186,000   559,631,000 575,776,000    159,600,000   27,242,200 
        due from subsidiaries
          358,722,000   380,447,000                 3,427,985,887           534,172,422      892,393,364                           
        other current assets
          2,049,000   1,637,000                 40,601,328           40,037,711      12,231,081                           
        investments in subsidiaries
          19,608,702,000   20,354,397,000                 7,775,688,241           6,452,545,486      6,403,914,947                           
        liabilities and shareholders’ equity
                                                                          
        due to subsidiaries
          26,214,000   25,829,000                 1,564,636,609           358,580,283      415,199,410                           
        short-term borrowings
          162,140,000   179,425,000                                    2,589,864,100                         
        convertible senior notes
            131,593,000 782,969,000 4,533,415,000 1,028,682,000 1,460,228,000 1,714,045,000 1,172,143,000 1,098,736,000 1,121,151,000 1,358,363,000      532,111,000 532,111,000 728,216,000 728,215,869 557,182,000 697,418,000 697,418,000     66,000 63,000 65,000 65,342 66,000 66,369 68,000 67,744 69,000   856,064,400 865,576,000 1,607,442,000 1,540,399,000 1,681,262,000 1,668,018,000 810,264,000 770,486,000 673,228,000 559,057,000 523,553,000 483,582,000 413,151,000 404,301,000 412,237,000 387,777,000 401,144,000 806,275,000        
        other current liabilities
          6,523,000   6,513,000                 6,076,910           3,920,963      13,706,994                           
        shareholders’ equity:
                                                                          
        ordinary shares
          29,000   29,000 29,000 28,000 28,000  27,000 26,000 26,000 26,000 26,000 26,000 25,000 25,220 25,000 25,000 25,000 25,000 24,767 25,000 24,000 24,000 22,000 22,000 22,000 22,000 22,000 22,000 19,000 18,604 18,000 18,352 18,000 18,352 18,000 17,881 18,000  18,000 18,000 18,000 18,000 17,000 17,000 16,000 16,000 13,000 13,000 13,000 13,000 13,000 13,000  14,000 14,000 14,000 14,000 13,000 8,000    
        additional paid-in capital
          11,245,665,000   10,738,376,000 10,569,527,000 10,439,981,000 9,811,531,000 9,598,481,000 9,282,472,000 5,617,923,000 5,612,082,000 5,606,692,000 5,605,911,000 5,251,245,000 4,641,661,000 4,641,660,555 4,587,584,000 4,583,099,000 4,583,099,000 4,582,850,000 4,582,849,862 4,549,236,000 4,515,582,000 4,515,582,000 4,014,847,000 4,010,740,000 4,015,887,000 4,015,887,000 3,996,004,000 3,988,304,000 3,313,608,000 3,313,608,385 3,254,923,000 3,254,923,442 3,240,279,000 3,240,278,966 3,179,445,000 3,145,262,253 2,937,153,000  2,853,398,000 2,821,727,000 2,794,025,000 2,766,567,000 2,753,952,000 2,749,533,000 1,968,702,000 1,957,729,000 1,531,620,000 1,527,893,000 1,524,729,000 1,522,012,000 1,517,442,000 1,513,339,000  1,520,290,000 1,548,819,000 1,547,650,000 1,542,089,000 1,090,941,000 193,929,000    
        accumulated other comprehensive loss
          225,141,000   359,584,000                                             7,202,000                
        treasury stock
          -216,507,000   -79,282,000 -43,170,000  -43,170,000   -43,170,000 -43,170,000 -43,170,000 -43,170,000 -43,170,000 -43,170,000 -43,169,878 -43,170,000 -43,170,000 -43,170,000 -13,876,000 -13,875,553 -13,876,000 -13,876,000 -13,876,000 -13,876,000 -13,876,000 -13,876,000 -13,876,000 -13,876,000 -13,876,000 -13,876,000 -13,875,553 -13,876,000 -13,875,553 -13,876,000 -13,875,553 -13,876,000 -13,875,553 -13,876,000  -13,876,000 -13,876,000 -13,876,000 -13,876,000 -13,876,000 -13,876,000 -13,876,000 -13,876,000 -13,876,000 -13,876,000 -13,876,000 -13,876,000 -13,875,000 -13,875,000           
        retained earnings
          8,644,581,000   9,137,727,000            4,595,602,579     4,671,366,741           3,366,225,821      3,224,520,132           -404,803,000 -453,766,000 -325,022,000 495,947,000 550,700,000 861,187,000  1,598,470,000 1,530,365,000 1,295,104,000 958,512,000 716,356,000 286,596,000    
        total shareholders’ equity
          19,898,909,000   20,156,434,000                 9,303,318,015                                            
        total liabilities and shareholders’ equity
          20,093,786,000   21,151,170,000                 11,620,235,096                         11,727,088,000                2,242,649,300  559,279,800 
        held-for-sale liabilities
              1,459,435,000    563,966,000 553,234,000                                                       
        total jinkosolar holding co.,ltd. shareholders' equity
            20,953,278,000                                                              
        due from related parties
                              16,791,784           9,625,813                                 
        cash and cash equivalents
              13,563,594,000 8,718,953,000 14,305,664,000 13,284,511,000 15,397,981,000 8,321,415,000 6,622,930,000 5,704,725,000 6,131,281,000 7,481,678,000 5,774,669,000 5,774,669,007 6,256,894,000 3,947,853,000 3,947,853,000 5,653,854,000  3,705,424,000 3,727,162,000 3,727,162,000 3,259,573,000 3,104,917,000 2,689,359,000 2,689,359,000 2,299,826,000 2,577,559,000 1,928,303,000  2,117,949,000 2,117,949,435 1,531,000,000 1,531,000,188 1,468,630,000  2,907,936,000  1,752,478,000 1,169,787,000 1,777,021,000 1,778,890,000 991,778,000 936,781,000 456,076,000 950,002,000 453,255,000 577,521,000 279,130,000 228,449,000  256,362,000 433,851,000   638,563,000    152,479,600 27,323,600  
        restricted cash
              547,369,000 1,447,336,000 639,125,000 1,109,368,000 1,476,451,000 598,068,000 698,052,000 816,449,000 910,790,000 593,094,000 630,173,000 630,173,155 593,580,000 793,056,000 793,056,000 576,546,000  439,052,000 1,085,831,000 1,085,831,000 1,101,581,000 377,111,000 343,374,000 343,374,000 257,955,000 286,608,000 833,072,000  350,893,000 350,893,071 368,125,000 368,124,908 245,141,000  463,838,000  526,262,000 578,199,000 517,055,000 312,105,000 575,672,000 747,796,000 398,500,000 388,424,000 241,391,000 213,226,000 140,761,000 116,582,000 151,406,000 166,041,000 146,175,000 402,387,000 769,474,000 567,444,000 416,790,000 286,356,000 94,567,000 72,827,200 9,622,000  
        restricted short-term investments
              7,799,555,000 7,041,941,000 11,858,001,000 15,080,635,000 11,834,741,000 9,241,276,000 7,377,498,000 6,648,041,000 6,861,314,000 6,400,637,000 6,378,336,000 6,378,335,977 6,351,495,000 7,264,341,000 7,264,341,000 6,930,502,000  6,457,776,000 5,797,915,000 5,797,915,000 5,134,906,000 4,058,419,000 3,887,484,000 3,887,484,000 4,037,172,000 2,845,129,000 3,237,773,000  4,042,325,000 4,042,325,180 3,168,027,000 3,168,026,708 3,362,971,000  2,830,027,000  1,152,214,000 1,608,444,000 1,599,302,000 1,155,835,000 766,682,000 634,106,000 734,093,000                  
        short-term investments
              51,922,000 51,395,000    150,000,000 420,000,000 873,007,000 720,000,000 570,000,000             601,636,000 601,636,000 4,642,000 27,778,000 2,685,000  67,888,000 67,888,089 93,282,000 93,282,181 174,557,000  22,333,000  2,447,000 8,316,000  4,000,000 60,000,000 72,500,000  846,303,000 1,021,495,000 1,009,715,000 722,461,000 618,087,000 627,951,000 598,220,000        50,462,300   
        accounts receivable, net - related parties
              148,826,000 53,578,000 211,406,000 206,823,000 69,944,000 29,417,000 3,027,000 1,684,000 306,197,000 410,358,000 444,109,000  457,227,000 554,836,000 554,836,000 520,504,000  518,402,000 617,944,000 617,944,000 655,208,000 675,768,000 1,281,666,000 1,281,666,000 2,163,388,000 2,415,119,000 2,113,042,000  1,025,297,000 1,025,296,986 786,644,000 786,644,369 906,636,000  55,396,000  156,534,000 164,528,000 174,534,000 182,645,000 194,751,000 195,530,000 284,142,000 284,336,000 453,962,000 120,976,000 105,531,000 140,588,000 146,331,000 154,215,000           
        accounts receivable, net - third parties
              25,779,992,000 18,035,243,000 11,320,928,000 11,134,427,000 8,557,801,000 7,471,103,000 4,268,519,000 3,913,262,000 4,588,124,000 4,534,758,000 5,147,038,000  5,896,205,000 5,312,745,000 5,312,745,000 5,266,351,000  4,440,765,000 4,938,439,000 4,938,439,000 5,195,710,000 5,436,371,000 5,277,058,000 5,277,058,000 4,768,733,000 4,183,543,000 4,497,635,000  5,822,194,000 5,822,194,384 6,470,520,000 6,470,519,768 5,925,716,000  3,881,261,000  3,577,283,000 3,261,478,000 3,118,303,000 2,720,232,000 2,722,522,000 1,885,636,000 1,648,748,000 1,409,423,000 1,836,099,000 1,892,718,000 1,712,685,000 2,061,730,000 1,804,734,000 1,864,357,000           
        notes receivable, net - related parties
              1,850,000 82,122,000 81,250,000 3,055,000   10,425,000 42,399,000 524,000 33,001,000 38,629,000  38,629,000 18,629,000 18,629,000 18,629,000             240,000,000 240,000,000 600,000,000 600,000,000 610,000,000                            
        notes receivable, net - third parties
              3,960,907,000 5,654,656,000 2,970,630,000 2,695,333,000 1,936,368,000 1,689,102,000 1,611,857,000 1,261,661,000 1,089,179,000 1,051,561,000 2,132,749,000  2,069,340,000 1,602,390,000 1,602,390,000 1,529,801,000  1,926,626,000 1,349,771,000 1,349,771,000 892,087,000 1,010,469,000 595,364,000 595,364,000 350,504,000 240,637,000 571,232,000  396,056,000 396,055,889 310,284,000 310,283,823 430,258,000  113,650,000  205,606,000 133,642,000 72,881,000 79,134,000 67,062,000 61,443,000 254,774,000 192,151,000                 
        advances to suppliers, net - related parties
              78,208,000 8,525,000 493,108,000                                137,000  1,084,000 200,000 1,184,000 884,000 232,000 103,000    721,000  1,662,000 454,000            
        advances to suppliers, net - third parties
              3,903,922,000 4,208,372,000 6,181,540,000 3,273,035,000 3,091,968,000 1,536,155,000 2,330,402,000 1,926,269,000 1,403,042,000 1,002,613,000 2,025,944,000  2,131,005,000 2,280,476,000 2,280,476,000 2,522,373,000  1,877,763,000 1,966,289,000 1,966,289,000 1,177,212,000 665,221,000 612,678,000 612,678,000 441,902,000 496,504,000 397,076,000  607,694,000 607,694,011 431,100,000 431,099,619 312,962,000  390,641,000  102,171,000 157,447,000 80,922,000 117,296,000 158,132,000 94,301,000 70,017,000 92,774,000 99,661,000 181,405,000 63,553,000 191,897,000 184,286,000            
        forward contract receivables
              30,717,000 68,157,000 22,858,000 41,656,000 70,849,000 73,532,000 41,781,000 55,131,000 92,629,000 183,146,000 38,962,000  997,000   52,281,000  741,000 8,692,000 8,692,000 14,759,000 1,192,000       349,000 349,021   1,029,000  5,711,000  7,890,000 37,037,000 47,713,000 49,507,000 3,880,000 3,053,000 42,149,000 26,752,000 26,302,000 23,264,000 12,930,000 10,751,000 16,188,000 40,139,000 64,955,000 74,521,000 75,408,000        
        prepayments and other current assets, net - related parties
              29,518,000 17,720,000 57,257,000 56,657,000 17,704,000 17,348,000 18,254,000 20,373,000 26,239,000 23,756,000 51,403,000  35,630,000 52,442,000 52,442,000                                              
        available-for-sale securities
               104,824,000 103,778,000 100,753,000                                                         
        financing lease right-of-use assets
              336,096,000 518,319,000 574,981,000 595,101,000 611,846,000 628,592,000 647,722,000 745,504,000 774,781,000 829,122,000 941,833,000 941,833,495 975,047,000 1,219,385,000 1,219,385,000 1,259,713,000  971,484,000                                           
        operating lease right-of-use assets
              377,985,000 430,266,000 402,914,000 413,945,000 422,487,000 438,270,000 441,587,000 457,026,000 299,910,000 316,512,000 261,660,000 261,659,530 276,781,000 284,722,000 284,722,000 317,904,000  259,763,000                                           
        other assets, net - related parties
              55,451,000 52,099,000 55,786,000 42,024,000 22,020,000 3,292,000 3,937,000 16,013,000 88,934,000 107,319,000 100,369,000  99,296,000 98,048,000 98,048,000                                              
        other assets, net - third parties
              2,636,924,000 1,719,382,000 2,479,267,000 3,123,018,000 1,808,754,000 2,739,159,000 2,176,279,000 2,317,235,000 2,369,571,000 1,777,799,000 1,198,296,000  1,437,186,000 1,359,510,000 1,359,510,000                                              
        available-for-sale securities non current
              50,000,000                                                            
        accounts payable - third parties
              14,158,209,000 12,650,206,000 7,546,330,000 7,583,579,000 6,705,535,000 6,799,854,000 4,988,698,000 4,091,329,000 4,583,676,000 4,436,495,000 4,855,246,000  4,619,921,000 5,465,796,000 5,465,796,000 4,952,630,000  4,791,342,000 5,519,258,000 5,519,258,000 5,727,409,000 5,327,094,000 5,481,140,000 5,481,140,000 4,991,274,000 4,182,402,000 4,658,202,000  4,593,518,000 4,593,518,444 5,986,366,000 5,986,366,209 5,737,776,000  3,927,121,000  3,553,460,000 2,852,290,000 3,147,732,000 2,354,239,000 1,847,184,000 1,445,785,000 1,765,268,000 1,444,786,000 1,378,864,000 1,170,018,000 1,347,327,000 1,289,783,000 958,970,000 553,700,000           
        notes payable - related parties
              401,500,000 547,237,000                   38,300,000 35,000,000 12,000,000 12,000,000 14,000,000                                    
        notes payable - third parties
              22,579,090,000 18,070,852,000 27,962,965,000 27,148,818,000 19,253,549,000 12,072,223,000 9,509,365,000 9,344,402,000 10,674,734,000 9,334,876,000 8,043,194,000  6,857,544,000 7,489,024,000 7,489,024,000 7,518,570,000  8,076,603,000 7,902,821,000 7,902,821,000 6,562,990,000 6,036,577,000 5,454,678,000 5,454,678,000 4,976,512,000 4,635,148,000 5,672,497,000  6,072,200,000 6,072,199,751 4,199,871,000 4,199,871,479 4,608,253,000  3,667,304,000                          
        advances from related parties
              884,000             752,000 752,000 749,000  915,000   910,000 910,000 35,158,000 35,158,000 35,158,000 37,345,000 37,400,000  54,593,000 54,592,880 76,089,000 76,089,360 62,900,000                            
        advances from third parties
              7,936,887,000 9,015,951,000 8,623,982,000 7,443,869,000 5,009,661,000 5,914,354,000 4,523,737,000 3,670,770,000 2,979,143,000 2,451,495,000 2,349,284,000 2,349,283,535 2,380,763,000 3,507,328,000 3,507,328,000 4,350,380,000  3,987,764,000 3,353,719,000 3,353,719,000 3,059,976,000 2,395,229,000 2,745,556,000 2,745,556,000 2,169,672,000 1,360,347,000 748,959,000  877,068,000 877,067,711 988,464,000 988,464,362 1,388,464,000                            
        income tax payable
              395,570,000 503,815,000 252,482,000 209,148,000 183,476,000 214,856,000 118,292,000 97,811,000 98,737,000 73,720,000 87,394,000 87,393,655 78,598,000 123,957,000 123,957,000 117,422,000  111,382,000 8,180,000 8,180,000 61,223,000 70,240,000 70,690,000 70,690,000 41,126,000 16,808,000 27,780,000  62,419,000 62,419,025 63,129,000 63,129,364 131,247,000  200,293,000  80,885,000 128,267,000 75,789,000 65,022,000 46,256,000 35,023,000 15,625,000 35,195,000          51,959,000 92,200,000 68,773,000 12,315,000    
        other payables due to related parties
              16,069,000 10,637,000 4,267,000 3,640,000 1,774,000 2,230,000 2,400,000 1,216,000 3,716,000 71,515,000 12,909,000  14,633,000 13,381,000 13,381,000 13,127,000  15,582,000 23,968,000 23,968,000 22,057,000 20,819,000 12,048,000 12,048,000 13,214,000 13,088,000 12,333,000  11,555,000 11,555,001 12,935,000 12,934,589 77,349,000  5,703,000                          
        forward contract payables
              96,138,000 23,638,000 129,960,000 122,446,000 1,390,000 2,659,000 3,118,000 6,395,000 22,345,000 17,895,000 597,000  37,716,000 90,564,000 90,564,000 3,857,000  112,133,000 38,316,000 38,316,000 2,854,000 9,464,000 43,304,000 43,304,000 21,618,000  4,521,000  6,410,000 6,410,302 3,116,000 3,115,811   43,537,000  30,994,000 31,574,000 30,901,000 30,165,000 47,533,000 51,626,000 10,080,000 9,046,000 236,000  5,491,000 33,927,000 32,808,000 5,118,000 5,524,000 6,667,000 67,856,000        
        convertible senior notes - current
              635,956,000        1,042,943,000 1,831,612,000 1,241,768,000  634,256,000         69,000 69,000 69,000                                     
        financing lease liabilities - current
              78,277,000 135,830,000 205,509,000 200,848,000 199,420,000 194,939,000 196,332,000 192,372,000 231,888,000 272,330,000 209,447,000 209,446,925 219,428,000 243,253,000 243,253,000 227,613,000  252,899,000                                           
        operating lease liabilities - current
              72,177,000 73,173,000 66,225,000 67,907,000 66,045,000 62,515,000 61,430,000 60,355,000 47,925,000 48,244,000 37,858,000 37,858,162 40,532,000 38,636,000 38,636,000 40,043,000  31,076,000                                           
        short-term borrowings from third parties, including current portion of long-term bank borrowings
              12,151,300,000 13,793,991,000 12,785,018,000 11,621,199,000 13,949,985,000 13,339,367,000 12,032,305,000 9,690,428,000 8,314,861,000 8,238,531,000 10,145,388,000  12,066,725,000 9,701,037,000 9,701,037,000 9,047,250,000  7,880,570,000 9,160,787,000 9,160,787,000 8,706,748,000 7,103,399,000 7,325,142,000 7,325,142,000 7,639,625,000 6,847,607,000 6,204,440,000  6,923,327,000 6,923,327,431 6,633,893,000 6,633,893,323 5,617,682,000  5,019,602,000  4,078,004,000 2,993,833,000 2,606,866,000 2,130,633,000 2,014,453,000 1,653,225,000 1,974,594,000 2,020,911,000 2,370,191,000 2,465,493,000 2,245,631,000 2,145,521,000 2,328,485,000 2,394,119,000           
        financing lease liabilities
               56,717,000 87,693,000 140,516,000 203,162,000 236,373,000 299,497,000 237,594,000 271,093,000 313,088,000 441,949,000  471,138,000 502,334,000 502,334,000                                              
        operating lease liabilities
              316,188,000 369,225,000 338,782,000 349,417,000 365,713,000 385,420,000 392,859,000 411,294,000 268,066,000 277,239,000 224,398,000  236,566,000 246,434,000 246,434,000                                              
        guarantee liabilities to related parties - non current
                7,936,000 8,501,000   7,686,000 11,118,000 31,817,000 34,812,000 37,891,000  41,109,000 44,409,000 44,409,000 46,332,000  46,492,000 46,931,000 46,931,000 53,629,000 65,765,000 90,124,000 90,124,000 98,517,000 106,931,000 120,154,000  128,183,000 128,182,990 147,926,000 147,925,958 169,867,000                            
        accumulated other comprehensive income
              390,766,000 169,606,000 173,957,000 30,143,000 -147,342,000 -154,375,000 -30,773,000 -58,542,000 -16,977,000 -128,615,000 -12,490,000 -12,489,839 124,955,000 147,194,000 147,194,000 62,952,000 62,952,198 111,502,000 106,621,000 106,621,000 52,842,000 70,301,000 66,631,000 66,631,000 37,911,000 -10,055,000 23,296,000 23,295,998 39,604,000 39,604,332 64,830,000 64,830,629 87,221,000 104,784,173 11,003,000  14,693,000 16,643,000 11,874,000 9,801,000 7,711,000 10,882,000 12,869,000 5,493,000      585,000           
        modification of non-controlling interests
                                                                          
        accumulated retained earnings
              9,112,599,000 7,038,533,000 4,884,622,000 4,334,806,000 4,958,075,000 4,929,138,000 4,697,903,000 4,503,681,000 4,437,445,000 4,216,353,000 4,595,604,000  4,588,753,000 4,270,710,000 4,270,710,000 3,981,661,000  3,731,687,000 3,368,125,000 3,368,125,000 3,242,715,000 3,202,528,000 3,141,007,000 3,141,007,000 2,951,919,000 2,852,937,000 2,849,341,000  2,877,502,000 2,877,500,801 2,866,210,000 2,866,209,166 2,818,842,000  1,360,375,000  602,551,000 514,205,000                       
        total liabilities and shareholders' equity
              127,348,439,000 113,531,411,000 111,059,076,000 103,243,449,000 92,426,750,000 72,983,484,000 63,996,810,000 57,357,987,000 54,800,832,000 53,232,374,000 50,012,891,000  49,601,696,000 47,233,999,000 47,233,999,000 47,844,718,000  45,026,768,000 43,744,291,000 43,744,291,000 39,690,284,000 35,853,183,000 35,325,784,000 35,325,784,000 32,883,081,000 29,363,074,000 28,636,405,000 7,052,565,158 29,644,641,000 29,644,640,592 28,071,862,000 28,071,861,713 27,003,052,000 7,313,354,998 28,155,605,000  21,910,906,000 19,332,079,000 19,087,636,000 15,638,109,000 13,401,897,000  10,611,225,000 10,404,717,000 9,899,445,000 9,751,062,000 8,372,320,000 9,057,440,000 9,324,827,000 8,962,695,000         1,278,020,400  
        december 31, 2022 and march 31, 2023
               -43,170,000                                                           
        accounts payable - related parties
                   15,863,000 15,816,000 14,410,000 10,861,000 14,114,000 33,192,000  20,473,000   36,310,000  7,018,000    698,000 1,935,000 1,935,000 40,546,000 41,987,000 5,329,000  2,256,000 2,255,968 689,000 688,907   10,000  1,479,000 595,000 1,479,000 5,236,000   2,468,000 28,611,000 28,611,000 28,611,000 30,045,000 142,765,000 104,824,000            
        guarantee liabilities to related parties
                2,290,000 2,360,000 2,430,000 2,500,000 5,124,000 7,694,000 22,092,000 22,519,000 22,946,000  23,363,000 23,776,000 23,776,000 25,688,000  24,867,000 26,891,000 26,891,000 27,079,000 26,639,000 32,893,000 32,893,000 33,161,000 33,422,000 28,034,000  33,928,000 33,928,280 37,594,000 37,593,347 47,376,000                            
        deferred revenue
                200,000,000   200,000,000                                                       
        subscription receivable
                                                                          
        contribution from shareholders
                                                                          
        statutory reserves
                700,244,000 700,244,000 700,244,000 700,244,000 692,009,000 692,009,000 692,009,000 692,009,000 689,707,000 689,706,737 689,707,000 689,707,000 689,707,000 689,707,000  570,176,000 570,176,000 570,176,000 570,176,000 570,176,000 516,886,000 516,886,000 516,886,000 516,886,000 516,886,000  466,253,000 466,252,857 466,253,000 466,252,857 466,253,000  351,763,000  251,823,000 251,823,000 251,905,000 185,333,000 185,333,000 184,370,000 184,929,000 179,041,000 179,041,000 179,041,000 179,041,000 178,984,000 178,984,000 178,984,000  164,587,000 164,587,000 164,587,000 164,587,000 38,435,000 38,435,000    
        ordinary shares (us0.00002 par value, 500,000,000 shares
                                                                          
        authorized, 193,770,753 and 202,709,317 shares issued as of
                                                                          
        december 31, 2021 and june 30, 2022, respectively)
                 28,000                                                         
        december 31, 2021 and june 30, 2022
                 -43,170,000                                                         
        investments in equity securities
                  95,000,000 95,000,000                                                       
        guarantee liabilities to related parties- non current
                  9,066,000 9,642,000                                                       
        december 31, 2021 and march 31, 2022
                  -43,170,000                                                        
        project assets
                    509,328,000 511,080,000 529,903,000 645,355,000 773,051,000 773,051,037 806,474,000 818,041,000 818,041,000 798,243,000  1,572,070,000 1,904,362,000 1,904,362,000 1,895,122,000 1,770,621,000 1,776,494,000 1,776,494,000 1,314,267,000 770,922,000 473,731,000  219,181,000 219,180,620 140,256,000 140,256,178 89,484,000  7,430,060,000  5,420,975,000 4,651,011,000 4,353,070,000 2,531,592,000 2,065,694,000 1,370,649,000 1,358,944,000 962,521,000 770,587,000 619,041,000 536,391,000 351,557,000 327,078,000 286,440,000           
        call option - concurrent with issuance of convertible senior notes
                     554,151,000 419,497,000 756,929,000 507,693,000                                                  
        accounts receivable, net - related parties
                         444,109,311                                                 
        accounts receivable, net - third parties
                         5,147,037,819                                                 
        notes receivable - related party
                         38,628,574                                      2,983,000           
        notes receivable, net - third parties
                         2,132,748,933                                                 
        advances to suppliers - third parties
                         2,025,943,616                                                 
        other receivables - related parties
                         51,403,428                                                 
        investments in affiliates
                         173,381,915                                                 
        call option related to convertible senior notes
                         507,692,955                                                 
        accounts receivable- third parties - non-current
                         27,277,803                                                 
        other assets – related parties
                         100,368,996                                                 
        other assets – third parties
                         1,198,296,318                                                 
        accounts payable - related parties
                         33,192,027                                                 
        accounts payable - third parties
                         4,855,246,188                                                 
        notes payable - third parties
                         8,043,194,149                                                 
        foreign exchange forward contract payables
                         596,988                                                 
        convertible senior notes - current
                         1,241,767,766                                                 
        short-term borrowings, including current portion of long-term bank borrowings, and failed sale-leaseback financing
                         10,145,388,468                                                 
        other payables and accruals - third parties
                         3,201,157,150                                                 
        other payables - related parties
                         12,909,139                                                 
        guarantee liabilities - related parties
                         22,945,516                                                 
        accrued warranty costs - non-current
                         762,778,838                                                 
        financing lease liabilities - non-current
                         441,948,958                                                 
        operating lease liabilities - non-current
                         224,397,739                                                 
        guarantee liabilities - related parties - non current
                         37,891,377                                                 
        total jinkosolar holding co., ltd. shareholders' equity
                         9,871,335,374                                                 
        total liabilities, redeemable non-controlling interest and shareholders' equity
                         50,012,892,099                                                 
        call option-concurrent with issuance of convertible senior notes
                          235,084,000 197,276,000 197,276,000 294,178,000  211,524,000 279,585,000 279,585,000                                         
        prepayments and other current assets - related parties
                             54,318,000  57,407,000                                           
        derviatvie assets
                                  861,000 847,000                                       
        held-for-sale assets*
                             1,170,818,000  1,235,274,000                                           
        other assets - related parties
                             96,753,000  113,705,000 123,153,000 123,153,000 111,600,000 144,984,000 213,322,000 213,322,000 112,360,000 127,890,000 146,026,000  135,382,000 135,381,660 336,906,000 158,062,271 175,255,000                            
        other assets - third parties
                             1,466,692,000  2,808,288,000 1,732,532,000 1,732,532,000 1,157,980,000 912,210,000 1,297,870,000 1,297,870,000 1,197,993,000 888,203,000 713,226,000  884,292,000 884,292,440 341,816,000 520,660,145 534,468,000                            
        derivative liability -current
                                                                          
        bond payable and accrued interests
                                321,434,000 321,434,000 315,846,000 10,318,000 4,668,000 4,668,000 21,373,000 15,784,000 10,257,000  4,606,000 4,606,250                               
        held-for-sale liabilities*
                             1,008,196,000  1,075,166,000                                           
        bond payables
                                   299,475,000 299,213,000 299,213,000 298,950,000 298,688,000 298,425,000  298,075,000 298,075,000     120,000,000    800,000,000 800,000,000 800,000,000 800,000,000 800,000,000 800,000,000 800,000,000 800,000,000               
        financing lease liabilities*
                             583,491,000  294,194,000 212,606,000 212,606,000 275,072,000                                        
        operating lease liabilities*
                             279,534,000  229,902,000 232,480,000 232,480,000 234,261,000                                        
        due from related parties - non current
                              48,471,930           476,963                                 
        call option
                              294,177,634                                            
        other non-current assets
                              11,961,460                                            
        due to related parties
                              3,061,179           298,352                                 
        convertible senior notes-current
                                               423,739,708   790,286,000                        
        due to related parties – non-current
                              14,926,514           426,963                                 
        derivative liability - current
                                89,096,000 89,096,000 42,978,000 12,786,000     26,486,000  29,819,000 29,819,112 26,382,000 26,381,687 9,988,000  69,135,000                          
        other receivables - related parties
                                52,570,000 52,570,000 58,448,000 67,730,000 91,428,000 91,428,000 73,237,000 57,970,000 46,592,000  98,963,000 98,962,929 122,484,000 122,483,513 77,426,000  103,000   325,000 163,000                      
        financing lease right-of-use assets, net*
                                693,830,000 693,830,000 721,563,000                                        
        operating lease right-of-use assets, net*
                                261,680,000 261,680,000 261,416,000                                        
        financing lease liabilities - current*
                                272,095,000 272,095,000 280,004,000                                        
        operating lease liabilities - current*
                                29,961,000 29,961,000 27,679,000                                        
        other non-current liabilities
                                20,390,000 20,390,000                                         
        long-term liabilities of equtiy investment
                                  20,463,000  10,988,000 10,988,000 7,537,000 5,021,000                                   
        accrued income tax - non current
                                    6,041,000 6,041,000 6,041,000 6,041,000 6,041,000                                  
        net income
                                    99,099,000                                      
        other comprehensive income:
                                                                          
        -foreign currency translation adjustments
                                    47,966,000                                      
        comprehensive income
                                    147,065,000                                      
        less: comprehensive income attributable to non-controlling interests
                                    117,000                                      
        comprehensive income attributable to jinkosolar holding co., ltd.'s ordinary shareholders
                                    146,948,000                                      
        reconciliation of gaap and non-gaap results
                                                                          
        1. non-gaap earnings per share and non-gaap earnings per ads
                                                                          
        gaap net income attributable to ordinary shareholders
                                    98,982,000                                      
        4% of interest expense of convertible senior notes
                                    1,000                                      
        exchange loss on convertible senior notes
                                    3,000                                      
        stock-based compensation expense
                                    7,700,000                                      
        non-gaap net income attributable to ordinary shareholders
                                    106,686,000                                      
        non-gaap earnings per share attributable to ordinary shareholders -
                                                                          
        basic
                                    680                                      
        diluted
                                    680                                      
        non-gaap earnings per ads attributable to ordinary shareholders -
                                                                          
        non-gaap weighted average ordinary shares outstanding
                                                                          
        non-gaap weighted average ads outstanding
                                                                          
        derivative assets
                                    26,467,000 26,467,000 10,133,000                                    
        derivative liability
                                       5,383,000                                   
        deferred tax liabilities
                                                                          
        deferred tax assets - current
                                                92,696,000  77,562,000 77,562,000  84,242,000              2,717,000 10,927,000 11,881,000     
        deferred tax assets - non current
                                              265,467,000                            
        deferred tax liabilities - current
                                                9,266,000  6,187,000 6,187,000 6,187,000                4,173,000      
        deferred tax liability - non current
                                              67,725,000                            
        capped call option
                                                               22,834,000           
        due from subsidiaries-non current
                                                                          
        capped call options
                                                57,000  57,865,000 52,809,000 21,098,000 73,261,000 84,813,000 76,719,000 107,224,000 56,593,000  10,434,000 16,131,000 10,792,000 9,742,000  16,408,000 12,616,000 93,755,000        
        deferred tax assets - no current
                                                125,844,000  108,941,000 102,124,000 102,124,000                      
        total non-current assets:
                                                13,318,332,000  10,350,968,000 9,338,186,000 8,680,316,000 6,988,909,000 6,292,793,000 5,413,920,000 5,268,504,000 4,929,855,000                 
        convertible senior notes- current
                                                1,101,188,000                          
        bonds payable and accrued interests
                                                1,698,000 866,725,800 830,766,000 812,786,000 66,726,000 48,746,000 30,766,000 12,786,000 66,726,000 48,746,000 30,566,000 330,502,000 313,690,000 308,460,000             
        accrued warranty costs -non-current
                                                348,705,000                          
        deferred tax liability - non-current
                                                23,848,000                          
        accounts payable – related parties
                                                 1,478,500                         
        accounts payable – third parties
                                                 3,783,304,900               340,999,000 522,183,000 490,708,000 466,895,000 355,011,000 307,748,000 224,016,000 99,932,800 23,985,300  
        notes payable – third parties
                                                 1,924,495,800               909,393,000 1,070,782,000         
        advance from related parties
                                                                          
        advance from third parties
                                                 1,299,491,400                         
        total jinkosolar holding co., ltd. shareholders’ equity
                                                 4,321,868,200      2,798,122,000          3,282,559,000 3,243,666,000 3,007,150,000 2,665,202,000 1,845,745,000 518,959,000 466,075,800  175,753,900 
        total liabilities, redeemable non-controlling interests and shareholders’ equity
                                                 27,144,548,500                         
        outstanding shares as of the year end
                                                 125,473,930,000                         
        period
                                                                          
        2014
                                                 6,170.4                         
        2015
                                                 6,286.9                         
        2016
                                                 6,654.9                         
        2017
                                                 6,735                         
        2018
                                                 6,609                         
        october
                                                 6,919.1                      6,262.7   
        november
                                                 6,936.7                      6,233.8   
        december
                                                 6,883.7                      6,232.8   
        2019
                                                                          
        january
                                                 6,786.3                      6,221.5   
        february
                                                 6,736.7                      6,232.3   
        available-for-sale investment
                                                  19,901,000 19,630,000 20,876,000 22,832,000 31,092,000 32,216,000 30,118,000 23,730,000                 
        notes payable - third party
                                                  1,752,463,000 2,455,956,000 2,452,444,000 1,626,130,000 1,431,819,000 1,543,340,000 1,411,994,000 1,555,973,000                 
        other payables due to a related party
                                                  4,912,000 4,612,000 7,577,000 4,087,000 3,720,000 3,537,000 3,262,000 2,987,000 2,455,000 2,436,000 2,271,000 2,222,000 1,628,000 1,369,000    2,360,000  275,000 275,000    
        accrued warranty costs – non-current
                                                  246,720,000 224,607,000 229,489,000 204,699,000 182,313,000 162,339,000 159,101,000 141,827,000 124,799,000 109,781,000 109,338,000 99,917,000 90,220,000 85,016,000 85,362,000 78,952,000 64,239,000        
        deferred tax liability non-current
                                                  2,573,000 2,573,000                       
        short-term investment
                                                    112,000,000                      
        notes receivable - related parties
                                                       46,075,000 42,900,000 41,000,000  1,251,000               
        deferred tax asset - current
                                                    77,562,000                      
        restricted time deposit
                                                    142,737,000                      
        forward contract receivables-long term
                                                        1,011,000 2,849,000 82,000     1,042,000           
        deferred tax liability—non-current
                                                    2,573,000                      
        accumulated (losses)/retained earnings
                                                    463,151,000                      
        other receivables—related parties
                                                     212,000 195,000  216,000 142,000 704,000 5,896,000 5,840,000 772,000 2,517,000 2,485,000           
        deposits under long-term pledge
                                                     184,623,000 132,250,000 117,282,000                   
        deferred tax -non current
                                                     52,677,000                     
        forward contract payables-long term
                                                     11,601,000 23,800,000 28,751,000  63,000    14,515,000 17,745,000 256,000           
        accumulated (losses) / retained earnings
                                                     285,009,000 4,444,000                    
        other receivables-related parties
                                                       164,000                   
        shareholders’ equity
                                                                          
        accumulated losses
                                                       -132,804,000 -142,898,000 -301,296,000                 
        notes receivable - third parties
                                                          16,960,000 7,276,000    6,029,000           
        capped called
                                                          28,102,000                
        long term investment
                                                          99,858,000 35,139,000 35,184,000 7,200,000 7,200,000            
        total long term liabilities
                                                          1,316,932,000 1,786,468,000 760,066,000 802,747,000 787,266,000 670,009,000 628,639,000 790,913,000 1,211,325,000 273,356,000 273,231,000 284,829,000 333,166,000    
        guarantee liabilities
                                                            1,500,000 1,500,000 1,500,000 1,375,000           
        accumulated other comprehensive (loss)/income
                                                           2,679,000 236,000 -270,000 338,000            
        note 1: the condensed consolidated balance sheet as of december 31, 2012 was derived from the audited consolidated financial statements.
                                                                          
        advances to suppliers to be utilized beyond one year
                                                             47,600,000 47,600,000 47,600,000 209,631,000 213,386,000 226,990,000 230,783,000 234,577,000 226,077,000 227,069,000 230,899,500 187,270,600  
        advances from third party customers
                                                              51,214,000 119,629,000 85,524,000 148,884,000 123,099,000 132,384,000 164,957,000 102,971,000 62,924,000    
        bonds payable and accrued interest
                                                              724,875,000 418,867,000           
        advances to suppliers - related parties
                                                               2,301,000           
        advances to suppliers - third parties
                                                               249,633,000           
        accounts payable - related party
                                                               112,025,000           
        short term investments
                                                                494,215,000 407,205,000 294,895,000 161,458,000 34,705,000 48,776,000 26,253,000    
        accounts receivable, net – a related party
                                                                31,010,000   100,000 100,000 100,000 100,000    
        accounts receivable, net – third parties
                                                                1,600,207,000 1,670,567,000 1,700,356,000 1,317,670,000 576,796,000 620,733,000 238,861,000 236,796,600 8,039,500  
        advances to suppliers – third party
                                                                208,104,000 231,048,000 382,872,000 456,246,000 339,738,000 390,649,000 159,765,000    
        deferred tax assets – current
                                                                 2,718,000 2,718,000    1,619,000    
        other receivables from related parties
                                                                691,000 625,000 576,000 278,000 399,000 53,000 42,000    
        deferred tax assets – non current
                                                                 328,000 328,000 328,000       
        goodwill
                                                                 45,646,000 45,646,000 45,646,000 45,646,000 45,646,000 45,646,000    
        accounts payable – a related party
                                                                35,888,000 40,000 2,471,000        
        notes payable – a related party
                                                                438,000 1,638,000         
        other payables – a related party
                                                                1,094,000 819,000 550,000        
        deferred tax liabilities – current
                                                                 10,112,000 10,112,000 10,112,000       
        bonds payable
                                                                1,039,635,000 1,023,970,000 610,555,000 601,790,000       
        contingent liabilities
                                                                   10,000,000 10,000,000      
        short-term borrowings from third parties including current portion of long-term bank borrowings
                                                                2,200,032,000 2,043,705,000 2,187,050,000 1,993,650,000 1,171,776,000 1,350,660,000     
        guarantee liability
                                                                   1,500,000 1,500,000 1,500,000 1,500,000    
        deferred tax liability – non-current
                                                                 2,481,000 2,481,000        
        14
                                                                          
        advances to suppliers – a related party
                                                                 238,000  457,000       
        forward contract payables – non-current
                                                                 3,586,000 7,580,000        
        other comprehensive loss
                                                                 -802,000 -119,000 -205,000       
        total liabilities and equity
                                                                 9,788,544,000 10,039,034,000 8,274,126,000 5,874,406,000 4,870,147,000 2,587,514,000    
        forward contract derivative assets
                                                                   92,236,000 96,872,000 26,610,000     
        forward contract derivative liabilities
                                                                   63,107,000 13,064,000 27,746,000     
        equity
                                                                          
        cash
                                                                    521,205,000 451,794,000     
        deferred tax assets –non current
                                                                    328,000 211,000     
        embedded derivative liabilities
                                                                          
        commitments and contingencies
                                                                          
        series a redeemable convertible preferred shares
                                                                      197,968,000 189,057,900 157,224,900  
        series b redeemable convertible preferred shares
                                                                      299,309,000 287,703,800 245,402,200  
        forward contract derivative assets –non current
                                                                     3,265,000     
        forward contract derivative liabilities–non current
                                                                     11,386,000     
        advances to supplier – a related party
                                                                          
        derivative liabilities
                                                                          
        current portion of long-term borrowings
                                                                      90,000,000    
        short-term borrowings from third parties
                                                                      615,984,000 576,084,000 150,000,000 22,990,000 
        consolidated balance sheet data:
                                                                          
        account receivable, net – related parties
                                                                       100,400 69,062,100  
        advances to suppliers, net – third parties
                                                                       93,324,100   
        advance from third party customers
                                                                       36,777,800 184,749,000 162,001,800 
        2008
                                                                       6,919.3   
        2009
                                                                       6,829.5   
        2010
                                                                       6,760.3   
        2011
                                                                       6,447.5   
        2012
                                                                       6,304.3   
        2013
                                                                          
        march
                                                                       6,215.4   
        april
                                                                       6,188.3   
        advances to suppliers, net– third parties
                                                                        110,638,300  
        account receivable – a related party
                                                                          
        accounts receivable – third parties
                                                                         228,400 
        advance from a related party
                                                                         92,433,300 
      Cashflow Statements:
      Quarterly
      Annual
        Unit: USD2020-12-31 2017-12-31 2017-09-30 
           
          ​
           
          net cash (used)/ provided by operating activities
           
          net cash from investing activities
        -2,755,729,760 120,251,847 -1,563,972,290 
          net cash from financing activities
        2,284,596,625 -1,006,503,621 2,995,604,284 
          net increase in cash, cash equivalents, and restricted cash
        1,669,929,623   
          cash, cash equivalents and restricted cash, beginning of the year
           
          cash and cash equivalents, restricted cash, end of the year
           
          cash flows from operating activities:
           
          net income
        -362,668,152 23,360,680 11,178,366 
          adjustments to reconcile net income to net cash from operating activities:
           
          share-based compensation charge
         18,999,911 14,644,477 
          change in fair value of foreign exchange forward contracts
        -139,865,350   
          change in fair value of foreign exchange options
           
          change in fair value of convertible senior notes
        685,416,564   
          change in fair value of call option
        -257,792,226   
          change in fair value of short term investments
           
          change in fair value of financial liability
           
          deferred income taxes
           
          change in fair value of long-term investment
           
          income from licensed patents whose consideration net off licensed patents
           
          depreciation of property, plant and equipment
        331,826,480 181,207,754 144,212,156 
          amortization of right-of-use assets
        27,885,787   
          depreciation of project assets
        28,340,551 218,516 508,436 
          amortization of land use rights
        1,635,777 2,671,626 3,222,493 
          amortization of intangible assets
        2,247,570 979,882 -622,512 
          amortization of guarantee liability
        -3,505,219   
          inventory write-down
           
          benefit from expected credit loss
           
          loss on disposal of property, plant and equipment
        230,012,815 -92,187,564 6,512,709 
          loss on disposal of intangible assets
         -1,350,580 2,624,117 
          amortization of deferred losses related to sale-leaseback transactions
        7,134,703   
          impairment of long-lived assets
           
          equity in loss/(income) of affiliated companies
           
          gain on disposal of investment in subsidiaries
           
          exchange (gain)/loss
           
          changes in operating assets and liabilities
           
          increase in accounts receivable – third parties
           
          (increase)/decrease in accounts receivable - related parties
           
          (increase)/decrease in notes receivable – third parties
           
          (increase)/decrease in notes receivable – a related party
           
          increase in advances to suppliers – third parties
           
          increase in advances to suppliers - a related party
           
          increase in inventories
        -761,521,585 904,010,414 -94,465,382 
          increase in long term payable
           
          (increase)/decrease in lease liabilities
           
          (increase)/decrease in other receivables – related parties
           
          increase in prepayments and other current assets
         -179,581,573  
          decrease in other assets - related parties
           
          (increase)/decrease in other assets – third parties
           
          increase in land use right
           
          increase in accounts payable – third parties
           
          increase/(decrease) in accounts payable – related parties
           
          increase in accrued payroll and welfare expenses
        155,840,402 52,356,311 72,325,551 
          increase in deferred revenue
           
          increase/(decrease) in advances from – third parties
           
          increase/(decrease) in advances from – a related party
           
          increase in income tax payables
         -34,639,180 -710,339 
          increase in warranty cost - non current
           
          increase in other payables and accruals – third parties
        444,261,556   
          increase/(decrease) in other payables and accruals – a related party
           
          net cash from / (used in) operating activities
           
          cash flows from investing activities:
           
          maturity of restricted short-term investments
        2,738,102,778 1,839,101,225 600,730,227 
          maturity of short-term investments
         65,203,559 108,697,775 
          maturity of restricted long-term investments
        34,610,574   
          proceeds from disposal of property, plant and equipment and land use right
           
          proceeds from pro rata decrease in an equity investment
           
          proceeds from disposal of an equity investment
           
          net of cash disposed of, cash payment from, disposal of subsidiaries
           
          purchase of property, plant and equipment
        -1,864,580,652 -457,002,004 -658,054,737 
          cash paid for investment in affiliates
           
          purchase of intangible assets
        -6,223,594 -51,461 -4,981,341 
          purchase of restricted short-term investments
        -2,767,904,049 -1,034,548,968 -1,475,028,699 
          purchase of restricted long-term investments
        -457,024,950   
          purchase of short-term investments
         -83,303,683 
          proceeds from dividends from associates
           
          purchase of land-use right
           
          acquisition of a subsidiary, net of cash acquired
           
          cash paid for investment in equity securities
           
          redemption of avaialble-for-sales securities
           
          loan to third party
           
          deposits provided for an equity investment
           
          purchase of available-for-sale securities
           
          cash flows from financing activities:
           
          proceeds from exercise of call option
           
          proceeds from issuance of ordinary shares
           
          subsidiary’s offering of its equity interests
           
          cash payment for transaction costs of jiangxi jinko’s offering
           
          settlement of non-controlling interests
           
          cash payment for finance lease as lessee
           
          proceeds from exercise of share options
        70,632,798 47,011,926 
          payment of deposit for finance lease as lessee
           
          capital contributions from non-controlling interest holder
           
          proceeds from bank borrowings
           
          repayment of borrowings
        -11,715,334,557   
          increase/(decrease) in notes payable - related party
           
          increase in notes payable - third party
        1,291,682,158   
          payment of jiangxi jinko’s dividend to non-controlling interest holders
           
          proceeds from issuance of jiangxi jinko’s convertible notes
           
          issuance cost paid for issuance of jiangxi jinko’s convertible notes
           
          proceeds from exercise of share options issued by jiangxi jinko
           
          cash payment for dividend
           
          proceeds from financial liabilities measured at fvpl
           
          borrowings from government background funds
           
          repurchase of shares
          
          repurchase of ordinary shares of jiangxi jinko
           
          effect of foreign exchange rate changes on cash, cash equivalents, and restricted cash
        -135,222,864   
          cash, cash equivalents, and restricted cash, beginning of the year
           
          cash, cash equivalents, and restricted cash, end of the year
           
          supplemental disclosure of cash flow information
           
          cash paid for income tax
        67,759,367 368,971,299 -31,284,662 
          cash paid for interest expenses
        317,449,582 506,564,263 -21,828,618 
          supplemental disclosure of non-cash investing and financing cash flow information
           
          purchases of property, plant and equipment included in payables
           
          proceeds from exercise of share options received in subsequent period
        -61,490,490   
          receivables related to at-the-market offering
           
          receivables related to disposal of property, plant and equipment and land use right
           
          offset of receivables with payables for mutual patent licensing
           
          conversion of convertible senior notes to ordinary shares
           
          change in fair value of interest rate swap
          
          loss on disposal of property, plant and equipment and land use right
           
          (increase)/decrease in accounts receivable – third parties
           
          (increase)/decrease in advances to suppliers – third parties
           
          decrease in project assets constructed for sale, net of incremental revenue
           
          decrease in lease liabilities
        -21,891,514   
          decrease in other assets – third parties
           
          increase/(decrease) in accounts payable – third parties
           
          increase/(decrease) in income tax payables
           
          decrease in derivative liability - interest rate swap
           
          decrease of long-term borrowings related to sale of project assets constructed for sale
          
          cash paid for project assets constructed to operate
        -20,494,175   
          purchase of a subsidiary
           
          cash received from dividend
          
          cash payment for transaction costs of subsidiary’s offering
           
          increase in notes payable - related party
           
          payment of a subsidiary’s dividend to non-controlling interest holders
           
          equity financing in a subsidiary
           
          repurchase of non-controlling interest
           
          disposal of equity securities with consideration offset against payable balance due to third party
           
          share-based compensation charge:
           
          convertible senior notes issuance expense
           
          decrease/(increase) in accounts receivable – third parties
           
          decrease in accounts receivable - related parties
        30,007,688 -1,087,745,074 -238,652,617 
          (increase)/decrease in notes receivable – related parties
           
          decrease in other receivables – related parties
           
          decrease/(increase) in prepayments and other current assets
           
          decrease in advances from – related parties
           
          decrease in derivative assets - foreign exchange option
           
          increase/(decrease) in other payables and accruals – related parties
           
          net cash from operating activities
        2,276,285,622   
          capital expenditures
        -1,864,580,652   
          free cash flows
        411,704,970   
          proceeds from disposal of property, plant and equipment
        34,799,212 44,778,002 2,409,286 
          cash received from, net of cash disposed of, disposal of subsidiaries
           
          purchase of land use right
           
          cash received from issuance of convertible senior notes
           
          cash payment for call option
           
          cash payment for deposit of call option
           
          cash payment for finance lease and related deposit as lessee
        -55,051,540   
          capital contributions by non-controlling interest holder
           
          issuance cost paid for issuance of convertible senior notes
           
          decrease in notes payable - related party
           
          repurchase of convertible senior notes
         
          repayment of bonds payable
           
          purchases of project assets included in held-for-sale liabilities
           
          receivables related to disposal of property, plant and equipment
           
          adjustments to reconcile net income to net cash provided by/(used in) operating activities:
           
          provision/(reversal of provision) for allowance of doubtful accounts
        -29,503,792 25,517,515 -54,317,159 
          gain on disposal of land use right
           
          equity in (income)/loss of affiliated companies
           
          loss/(gain) on disposal of investment in subsidiaries
           
          increase in notes receivable - related parties
        5,627,172   
          (increase)/decrease in other receivables - related parties
           
          (increase)/decrease in prepayments and other current assets
           
          decrease/(increase) in other assets - third parties
           
          (decrease)/increase in accounts payable - related parties
           
          decrease in accrued income tax – non - current
           
          decrease in derivative assets_foreign exchange option
           
          decrease in derivative liability_interest rate swap
           
          increase in other payables and accruals – related parties
        58,606,266   
          cash received from borrowings from sale-leaseback
           
          proceeds from common stock offering
           
          inventory provision
           
          equity in loss of affiliated companies
           
          exchange loss
         31,827,100 46,367,764 
          decrease in accounts receivable – third parties
           
          increase in notes receivable – third parties
           
          decrease in advances to suppliers – third parties
           
          decrease in other receivables - related parties
           
          decrease in other assets – related parties
           
          increase in accounts payable - related parties
         3,072,928 1,567,061 
          increase in advances from – third parties
           
          increase in advances from – related parties
           
          decrease in derivative assets – foreign exchange option
           
          decrease in derivative liability – interest rate swap
           
          proceeds from disposal of land use right
         
          cash received from, net of cash, disposal of a subsidiary
           
          cash payment for call option and related deposit
           
          proceeds from common stock offering, net of issuance cost
           
          capital contributions by non-controlling interests holder
           
          proceeds from borrowings
          4,713,109,753 
          decrease in notes payable – related party
           
          cash, cash equivalents, and restricted cash, beginning of the period
           
          cash, cash equivalents, and restricted cash, end of the period
           
          purchases of property, plant and equipment included in other payables
         178,040,503 -26,986,507 
          disposal of equity securities
           
          change in fair value of convertible senior notes and capped call options
           
          change in fair value of warrant liability
           
          amortization for guarantee liability
           
          inventories provision
         64,101,023 56,718,256 
          reversal of benefit from other receivables
           
          benefit from advance to suppliers
           
          loss/(gain) on disposal of property, plant and equipment
           
          amortization of deferred losses related to sales leaseback transactions
           
          gain on disposal of investment in jinko power
           
          loss/(gain) on disposal of investment in subsidiaries-others
           
          investment income
           
          decrease/(increase) in accounts receivable - related parties
           
          decrease in notes receivable - related parties
          360,000,000 
          decrease in advances to suppliers - related party
         
          increase in project assets, net of incremental revenue
           
          decrease/(increase) in other assets-third parties
           
          increase in other assets-related parties
           
          (decrease)/increase in advances from – related parties
           
          (decrease)/increase in accrued income tax – non - current
           
          increase/(decrease) in other payables and accruals – third parties
           
          net cash provided by/(used in) operating activities
           
          cash received from call spread
           
          cash disposed of, net of cash received from related party, for disposal of jinko power
           
          cash received from, net of cash disposed of, for disposal of subsidiaries
           
          cash paid for project assets
         -265,842,931 -72,357,908 
          cash paid for deposits related to construction of solar projects
           
          cash paid for land use rights
         -23,179,540 -1,879,465 
          cash paid for call spread
           
          cash disposed of, net of cash received from third parties, for disposal of investment in subsidiaries
           
          cash acquired, net of cash paid to third parties, for the acquisition of subsidiaries
           
          cash received from borrowings from sales lease back
           
          repayment of borrowings from sales lease back
           
          proceeds from issuance of bonds
          
          payment of deposit for lease
           
          repayment of bank borrowings
         -3,567,470,360 -4,402,998,501 
          increase in notes payable
         -399,703,114 1,872,328,272 
          repayment of borrowings with embedded warrants
           
          repurchase of warrant
           
          net increase/(decrease) in cash, cash equivalents, and restricted cash
           
          cash balance recorded in held-for-sale assets
           
          purchases of project assets included in other payables
         31,273,148 7,074,970 
          other receivables related to disposition of subsidiaries – related parties
           
          other receivables related to disposition of subsidiaries – third party
           
          other receivables related to disposal of property, plant and equipment – third party
           
          change in fair value of derivative forward contracts
         -1,540,662 2,945,470 
          change in fair value of call spread options
           
          change in fair value of capped call options
           
          change in fair value of derivative liability _ rate cap
           
          change in fair value of derivative liability _ warrant liability
           
          provision/(reversal of provision) for other receivables
           
          provision for advance to suppliers
           
          equity in income of affiliated companies
           
          gain on disposal of investment in jiangxi jinko engineering
           
          gain on disposal of investment in subsidiaries-others
           
          decrease in notes receivable – third parties
           
          increase in other assets-third parties
         22,799,667  
          increase in accrued income tax – non - current
           
          cash disposed of, net of cash received from related party, for disposal of jiangxi jinko engineering
           
          cash received from disposal of jinkosolar thailand
         
          decrease in restricted cash
         -71,300,566 60,751,255 
          refund of deposit for acquisition of subsidiaries
           
          cash collected for disposal of zhejiang leasing
         -2,860,469 
          cash received from borrowings with embedded warrants
           
          change in restricted cash for notes payable
         -483,206,218 -62,397,539 
          effect of foreign exchange rate changes on cash and cash equivalents
         -23,740,074 -12,697,139 
          net increase in cash and cash equivalents
           
          cash and cash equivalents, beginning of year
           
          cash and cash equivalents, end of year
           
          utilization of prior year’s prepayment for the repurchase of convertible senior notes
           
          change in fair value of derivative liability -warrant liability
           
          change in fair value of derivative liability -rate cap
          3,437,425 
          guarantee service income
          -17,941,777 
          equity loss of affiliated companies
          438,266 
          increase in accounts receivable - third parties
          280,172,301 
          decrease in notes receivable - third parties
          -85,772,066 
          increase in advances to suppliers - third parties
          -181,767,078 
          increase in other receivables - related party
           
          increase in accounts payable - third parties
          -1,033,257,375 
          decrease in advances from - third parties
           
          increase in other payables and accruals - third parties
          43,214,357 
          increase in other payables and accruals - related parties
          -1,379,588 
          net cash used by operating activities
           
          cash paid for investments in affiliates
          -15,000,000 
          cash paid for deposits related to land use rights
           
          proceeds from sale of equipment under sales-leaseback agreement
           
          repayment of capital lease obligation
          -21,349,627 
          payment of deposit for capital lease
          -48,000,000 
          net decrease in cash and cash equivalents
          586,949,247 
          cash and cash equivalents, beginning of period
           
          cash and cash equivalents, end of period
           
          investment loss
           
          (increase) in other receivables - related party
           
          decrease in prepayments and other current assets
           
          (increase) in other assets-third parties
           
          (decrease) in advances from - third parties
           
          net cash provided/(used) by operating activities
           
          convertible senior notes issuance cost
           
          decrease in accounts payable - related parties
           
          deferred government grants related to assets
           
          (payment)/collection of deposit for acquisition of subsidiaries
           
          proceeds from redeemable preferred shares issuance by subsidiary
           
          proceeds from issuance of convertible senior notes
           
          capital contributions by non-controlling interests holders
           
          payment of issuance cost for follow-on offering in subsequent period
           
          non cash contribution from non-controlling shareholders