7Baggers

Uxin Limited
(NASDAQ:UXIN) 

UXIN stock logo

Uxin Limited, an investment holding company, operates a used car e-commerce platform in China. It provides selection of used cars, evaluation of car condition, various car-related value-added products and services, and supporting services to online used car transactions under the Uxin Used Car brand...

Founded: 2011
Full Time Employees: 6,455
Sector: Communication Services
Industry: Internet Content & Information

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Quarterly
Annual
    Unit: USD2025-12-18 2025-09-29 2025-06-30 2025-06-12 2025-04-30 2024-12-31 2024-11-25 2024-09-23 2024-07-31 2024-04-25 2024-03-31 2023-11-28 2023-08-14 2023-04-11 2023-03-31 2022-12-30 2022-09-30 2022-07-28 2022-03-31 2022-03-29 2021-12-15 2021-09-30 2021-09-24 2021-04-30 2021-03-31 2020-12-31 2020-09-30 2020-07-31 2020-04-30 2020-03-31 2019-12-31 2019-11-30 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-11-30 2018-08-31 
                                          
      revenues
                                          
      retail vehicle sales
    819,132,000 607,611,000 1,073,129,000 465,518,000 553,127,000  444,399,000 324,967,000 269,421,000 319,221,000  186,849,000 263,695,000 328,900,000  371,869,000 348,393,000 319,315,000 319,315,000 233,013,000 136,298,000 228,043,000 91,745,000                
      wholesale vehicle sales
    33,218,000 29,889,000 52,436,000 22,547,000 25,506,000  37,826,000 63,897,000 39,722,000 82,205,000  94,647,000 73,557,000 132,054,000  237,818,000 263,956,000 179,666,000 179,666,000 265,919,000 201,290,000 377,881,000 176,591,000                
      others
    26,947,000 20,771,000 36,935,000 16,164,000 18,169,000  14,995,000 12,320,000 10,008,000 9,063,000  7,526,000 6,534,000 9,549,000  9,095,000 13,821,000 6,763,000 6,763,000 7,709,000 8,325,000 17,807,000 9,482,000 19,756,000  15,065,000 10,515,000 15,367,000 78,561,000  78,561,000 62,243,000 48,343,000 51,476,000 53,683,000 53,683,000 60,255,000 89,210,000 
      total revenues
    879,297,000 658,271,000 1,162,500,000 504,229,000 596,802,000  497,220,000 401,184,000 319,151,000 410,489,000  289,022,000 343,786,000 470,503,000  618,782,000 626,170,000 505,744,000 505,744,000 506,641,000 345,913,000 623,731,000 277,818,000 322,864,000  76,365,000 62,228,000 103,861,000 466,365,000  299,254,000 461,417,000 439,187,000 1,003,884,000 1,136,662,000 1,136,662,000 863,665,000 665,682,000 
      yoy
    47.33%  133.80% 25.69% 87.00%   38.81% -7.17% -12.76%  -53.29% -45.10% -6.97%  22.13% 81.02% -18.92% 82.04% 56.92%  716.78% 346.45% 210.86%   -79.21% -77.49% 6.19%  -73.67% -59.41% -49.15% 50.81%     
      qoq
    33.58% -43.37% 130.55% -15.51%   23.94% 25.70% -22.25%   -15.93% -26.93%   -1.18% 23.81% 0.00% -0.18% 46.46% -44.54% 124.51% -13.95%   22.72% -40.09% -77.73%   -35.14% 5.06% -56.25% -11.68% 0.00% 31.61% 29.74%  
      cost of revenues
    -813,327,000 -624,064,000 -1,092,952,000 -468,888,000 -554,856,000  -462,360,000 -375,599,000 -298,109,000 -390,638,000  -271,381,000 -335,984,000 -467,676,000  -610,726,000 -619,411,000 -504,625,000 -504,625,000 -485,805,000 -331,279,000 -597,968,000 -266,689,000 -313,362,000  -93,484,000 -79,912,000 -110,714,000 -190,336,000          
      gross profit
    65,970,000 34,207,000 69,548,000 35,341,000 41,946,000  34,860,000 25,585,000 21,042,000 19,851,000  17,641,000 7,802,000 2,827,000  8,056,000 6,759,000 1,119,000 1,119,000 20,836,000 14,634,000 25,763,000 11,129,000   -17,119,000 -17,684,000 -6,853,000 276,029,000  205,897,000 254,823,000 234,323,000 707,536,000     
      yoy
    57.27%  99.51% 38.13% 99.34%   45.03% 169.70% 602.19%  118.98% 15.43% 152.64%  -61.34% -53.81% -95.66% -89.95%   -250.49% -162.93%    -108.59% -102.69% 17.80%          
      qoq
    92.86% -50.82% 96.79% -15.75%   36.25% 21.59% 6.00%   126.11% 175.98%   19.19% 504.02% 0.00% -94.63% 42.38% -43.20% 131.49%    -3.19% 158.05% -102.48%   -19.20% 8.75% -66.88%      
      gross margin %
    7.50% 5.20% 5.98% 7.01% 7.03% NaN% 7.01% 6.38% 6.59% 4.84% NaN% 6.10% 2.27% 0.60% NaN% 1.30% 1.08% 0.22% 0.22% 4.11% 4.23% 4.13% 4.01% 0% NaN% -22.42% -28.42% -6.60% 59.19%  68.80% 55.23% 53.35% 70.48% 0% 0% 0% 0% 
      operating expenses
                                          
      sales and marketing
    -91,197,000 -74,213,000 -135,916,000 -61,703,000 -61,779,000  -56,060,000 -59,353,000 -50,815,000 -56,687,000  -46,548,000 -52,392,000 -54,952,000  -64,165,000 -64,798,000 -67,812,000 -67,812,000 -68,023,000 -44,145,000 -86,304,000 -42,159,000 -109,676,000  -75,526,000 -115,750,000 -189,503,000 -255,010,000  -99,863,000 -330,260,000 -346,703,000 -681,167,000 -688,930,000 -688,930,000 -755,436,000 -609,519,000 
      general and administrative
    -29,145,000 -19,443,000 -37,777,000 -18,334,000 -69,341,000  -26,074,000 -28,119,000 -75,336,000 -33,831,000  -33,103,000 -38,308,000 -39,002,000  -41,620,000 -45,575,000 -40,747,000 -40,747,000 -37,047,000 -34,883,000 -73,230,000 -38,347,000 -70,265,000  -55,851,000 -86,898,000 -74,926,000 -124,505,000  28,158,000 -125,848,000 -173,843,000 -187,821,000 -272,077,000 -272,077,000 -266,344,000 -1,024,431,000 
      research and development
    -3,088,000 -3,089,000 -5,988,000 -2,899,000 -2,395,000  -2,361,000 -3,380,000 -6,027,000 -9,713,000  -8,861,000 -9,329,000 -9,433,000  -9,982,000 -8,960,000 -8,438,000 -8,438,000 -11,269,000 -8,155,000 -16,493,000 -8,338,000 -17,917,000  -19,068,000 -22,805,000 -31,176,000 -40,802,000  16,386,000 -53,763,000 -56,094,000 -79,956,000 -96,585,000 -96,585,000 -82,371,000 -82,411,000 
      reversal of credit losses
    39,000 19,000 414,000 395,000   162,000     696,000     377,000                      
      total operating expenses
    -123,391,000 -96,726,000  -82,541,000 -133,392,000  -84,333,000 -90,852,000 -131,819,000 -99,796,000  -87,816,000 -113,113,000 -103,820,000  -116,471,000 -118,956,000 -119,404,000 -119,404,000 -120,027,000 -85,877,000 -169,245,000 -83,368,000 -188,336,000  -318,523,000 -151,431,000 -2,235,175,000 -861,570,000  -521,076,000 -509,871,000 -576,640,000 -968,769,000     
      other operating income
    20,952,000 19,379,000 31,327,000 11,948,000 18,070,000  10,824,000 2,783,000 935,000 6,867,000  6,985,000 47,907,000 4,457,000  2,046,000 15,580,000 8,786,000 8,786,000 26,359,000 25,330,000 46,872,000 21,542,000 14,531,000  173,044,000 40,752,000 56,043,000 10,000  10,000 1,915,000       
      income from operations
    -36,469,000 -43,140,000 -78,392,000 -35,252,000 -73,376,000  -38,649,000 -62,484,000 -109,842,000 -73,078,000  -63,190,000 -57,404,000 -96,536,000  -106,369,000 -96,617,000                 -261,233,000 -266,035,000 -266,035,000 -542,672,000 -1,304,363,000 
      yoy
    -50.30%  102.83% -43.58% -33.20%   -1.12% 91.35% -24.30%  -40.59% -40.59%                     -79.97%     
      qoq
    -15.46% -44.97% 122.38% -51.96%   -38.15% -43.11% 50.31%   10.08% -40.54%   10.09%                  -1.81% 0.00% -50.98% -58.40%  
      operating margin %
    -4.15% -6.55% -6.74% -6.99% -12.29% NaN% -7.77% -15.57% -34.42% -17.80% NaN% -21.86% -16.70% -20.52% NaN% -17.19% -15.43% 0% 0% 0% 0% 0% 0% 0% NaN% 0% 0% 0% 0%  0% 0% 0% -26.02% -23.40% -23.40% -62.83% -195.94% 
      interest income
    6,000 43,000 50,000 7,000 11,000  10,000 16,000 8,000 14,000  102,000 146,000 79,000  108,000 270,000 234,000 234,000 214,000 167,000 3,212,000 3,045,000 637,000  42,704,000 1,136,000 3,081,000 1,803,000  5,373,000 7,177,000 3,988,000      
      interest expenses
    -24,083,000 -23,098,000 -45,640,000 -22,542,000 -22,108,000  -24,095,000 -22,858,000 -23,970,000 -25,798,000  -5,120,000 -5,676,000 -4,968,000  -5,151,000 -5,448,000 -5,441,000 -5,441,000 -7,671,000 -9,721,000 -28,110,000 -18,389,000 -22,107,000  -23,916,000 -28,969,000 -29,029,000 -29,858,000  -29,859,000 -29,796,000 -26,440,000 -32,019,000 -35,357,000    
      other income
    1,200,000 480,000 6,765,000 6,285,000 7,695,000  1,498,000 633,000 622,000 1,446,000  2,367,000 907,000 940,000  992,000 14,249,000 849,000 849,000 869,000 2,395,000 3,509,000 1,114,000 9,549,000  3,102,000 1,897,000 2,420,000 30,389,000  30,389,000 9,760,000 5,853,000      
      other expenses
    -1,679,000 -1,498,000 -2,153,000 -655,000 -1,386,000  -1,331,000 -800,000 -4,086,000 -1,205,000  -272,000 -18,317,000 -2,334,000  -1,775,000 -1,727,000 -1,241,000 -1,241,000 -1,794,000 -5,072,000 -5,890,000 -818,000 -1,622,000  -1,668,000 -4,097,000 -10,118,000 -9,935,000  -9,935,000 -16,458,000 -5,425,000  -10,911,000   -5,059,000 
      net gain from extinguishment of debt
           35,222,000                               
      foreign exchange gains
    328,000 -353,000 423,000 776,000 -1,169,000  969,000 479,000 511,000 475,000   122,000 560,000       -1,499,000 -5,222,000 -3,723,000 -191,000  -200,000   8,000  8,000 4,942,000 76,000 -779,000 -710,000   2,058,000 
      loss before income tax expense
    -60,697,000 -67,566,000 -118,947,000 -51,381,000 -90,333,000  -61,598,000 -49,792,000 -136,757,000 -78,070,000                        -276,961,000 -313,013,000 -313,013,000 -588,981,000  
      income tax expense
     -39,000 -39,000  -1,000   -38,000 -12,000 -26,000  -165,000 -81,000 -76,000  -58,000 -151,000 -223,000 -5,500 -22,000        -326,000   9,697,000  -268,000 -13,978,000  -4,183,000 -5,018,000 -2,363,000 
      equity in income of affiliates, net of tax
          2,429,000               274,000                 
      net loss, net of tax
    -60,697,000 -67,605,000  -51,381,000 -90,334,000  -59,169,000 -49,830,000 -142,720,000 -78,096,000                             
      add: net profit attribute to redeemable non-controlling interests and non-controlling interests shareholders
    -2,472,000 -6,192,000  -1,690,000 -1,669,000                                  
      net loss attributable to uxin limited
    -63,169,000 -73,797,000 -126,868,000 -53,071,000 -92,003,000  -60,837,000 -51,471,000 -144,349,000 -79,333,000              -172,857,000  -258,902,000  -2,484,179,000 -966,399,000  -1,071,631,000 -266,850,000  -284,538,000 -314,013,000 -314,013,000 -592,520,000  
      deemed dividend to preferred shareholders due to triggering of a down round feature
            -1,781,454,000                              
      net loss attributable to ordinary shareholders
    -63,169,000 -73,797,000 -126,868,000 -53,071,000 -92,003,000  -60,837,000 -51,471,000 -1,925,803,000 -79,333,000              -172,857,000  -258,902,000  -2,484,179,000 -966,399,000  -1,071,631,000 -266,850,000  -284,538,000 -314,013,000 -314,013,000 -592,520,000  
      net income
    -60,697,000 -67,605,000 -118,986,000 -51,381,000 -90,334,000  -59,169,000 -49,830,000 -142,720,000 -78,096,000   -79,796,000 -100,840,000  -116,513,000 159,980,000 360,821,000 360,821,000 1,279,742,000 -1,714,594,000 -1,783,786,000 -69,192,000 -172,857,000  -258,904,000 143,344,000 -2,489,562,000 -966,728,000  -1,071,960,000 -267,182,000 -366,003,000 -284,983,000 -314,565,000 -314,565,000 -593,999,000 209,716,000 
      yoy
    -32.81%  101.10% 3.11% -36.71%    78.86% -22.55%   -149.88% -127.95%  -109.10% -109.33% -120.23% -621.48% -840.35%  588.98% -148.27% -93.06%   -113.37% 831.79% 164.13%  240.78% -15.06% -38.38% -235.89%     
      qoq
    -10.22% -43.18% 131.58% -43.12%   18.74% -65.09% 82.75%    -20.87%   -172.83% -55.66% 0.00% -71.81% -174.64% -3.88% 2478.02% -59.97%   -280.62% -105.76% 157.52%   301.21% -27.00% 28.43% -9.40% 0.00% -47.04% -383.24%  
      net income margin %
    -6.90% -10.27% -10.24% -10.19% -15.14% NaN% -11.90% -12.42% -44.72% -19.03% NaN% 0% -23.21% -21.43% NaN% -18.83% 25.55% 71.34% 71.34% 252.59% -495.67% -285.99% -24.91% -53.54% NaN% -339.03% 230.35% -2397.01% -207.29%  -358.21% -57.90% -83.34% -28.39% -27.67% -27.67% -68.78% 31.50% 
      foreign currency translation, net of tax nil
    6,459,000   75,000 10,609,000  -6,763,000 -1,216,000 66,000 1,233,000  3,314,000 12,057,000 9,854,000  -31,527,000 -58,660,000 5,231,000 5,231,000 51,084,000 -10,471,000 14,399,000                 
      total comprehensive loss
    -54,238,000 -67,589,000 -118,895,000 -51,306,000 -79,725,000  -65,932,000 -51,046,000 -142,654,000 -76,863,000      -148,040,000     -1,725,065,000 -1,769,387,000  -116,395,000  -195,809,000  -2,449,534,000 -945,491,000  -1,050,723,000 -299,563,000  -278,956,000 -305,496,000 -305,496,000 -578,662,000  
      total comprehensive loss attributable to uxin limited
    -56,710,000 -73,781,000 -126,777,000 -52,996,000 -81,394,000  -67,600,000 -52,687,000 -144,283,000 -78,100,000              -116,395,000  -195,807,000  -2,445,607,000 -945,056,000  -1,050,288,000 -299,231,000       
      weighted-average shares outstanding - basic
    64,131,342,471,000                                      
      weighted-average shares outstanding -diluted
    64,131,342,471,000                                      
      net income per share
            -0.43 -0.06  -0.06 -0.06    0.09                 -0.32 -0.36 -1.5 -0.68 0.54 
      equity in loss of affiliates , net of tax
                                          
      foreign currency translation,net of tax nil
     16,000                                     
      weighted-average shares outstanding – basic
     63,168,535,224,000 60,735,577,407,000 58,275,586,722,000 57,399,022,224,000 2,185,363,635,000 56,418,967,059,000 56,412,679,304,000 4,465,415,461,000 1,440,893,942,000 2,185,363,635,000 1,423,659,403,000 1,419,079,968,000 1,415,417,989,000 1,344,536,565,000 1,354,134,791,000 1,189,841,431,000 1,189,070,581,000 1,168,419,750,000 1,188,344,202,000  1,177,159,051,000 1,116,946,693,000                
      weighted-average shares outstanding – diluted
     63,168,535,224,000 60,735,577,407,000 58,275,586,722,000 57,399,022,224,000 2,185,363,635,000 56,418,967,059,000 56,412,679,304,000 4,465,415,461,000 1,440,893,942,000 2,185,363,635,000 1,423,659,403,000 1,419,079,968,000 1,415,417,989,000 1,344,536,565,000 1,354,134,791,000 1,193,043,619,000 1,241,725,282,000 1,354,506,021,000 1,497,381,204,000  1,367,056,109,000 1,116,946,693,000                
      revenues:
                                          
      operating expenses:
                                          
      equity in loss of affiliates, net of tax
                                          
      add: net profit attributable to redeemable non-controlling interests and non-controlling interests shareholders
      -7,882,000                                    
      other comprehensive income
                                          
      foreign currency translation, net of nil tax
      91,000                                    
      add: total comprehensive profit attributable to redeemable non-controlling interests and non-controlling interests shareholders
      -7,882,000                                    
      reversal of/(provision for) credit losses
        123,000           -704,000                       
      fair value impact of the issuance of senior convertible preferred shares
             20,076,000  -36,869,000 507,000 1,495,000  -11,459,000 252,190,000 476,832,000 476,832,000 1,364,348,000 -1,654,949,000 -1,654,949,000                 
      dividend from long-term investment
               11,970,000                           
      add: net loss/(profit) attribute to redeemable non-controlling interests and non-controlling interests shareholders
          -1,668,000 -1,641,000 -1,629,000                              
      (provision for)/reversal of credit losses
            359,000 435,000   -13,084,000 -433,000    -2,407,000    6,782,000                 
      losses from extinguishment of debt
                   -2,778,000                       
      equity in loss of affiliates and dividend from affiliate, net of tax
            -5,951,000                              
      add: net (profit)/loss attribute to redeemable non-controlling interests and non-controlling interests shareholders
             -1,237,000                             
      foreign exchange losses
               -425,000    -391,000 -2,748,000 -684,000 -2,163,000 -3,430,000       274,000 -388,000        -1,880,500 -10,805,000  
      income before income tax expense
               -103,407,000 -79,715,000 -100,764,000  -126,823,000 160,169,000                     212,079,000 
      net income, net of tax
               -91,602,000 -79,796,000 -100,840,000  -116,513,000 159,980,000                      
      less: net loss attributable to non-controlling interests shareholders
               -2,000 -9,000    -3,000         -2,000 -5,000 -5,383,000 -329,000  -329,000 -332,000 -346,000 -445,000 -552,000 -552,000 -1,479,000 -6,006,000 
      net income attributable to uxin limited's ordinary shareholders
               -91,600,000  -100,840,000  -116,513,000 159,983,000 360,821,000 -126,011,000 1,279,742,000   -69,192,000                
      total comprehensive income
               -88,288,000 -67,739,000 -90,986,000   101,320,000 366,052,000 -109,640,250 1,330,826,000   -44,322,000    145,031,000      -378,862,000     177,993,000 
      less: total comprehensive loss attributable to non-controlling interests shareholders
               -2,000 -9,000    -3,000         -2,000 -5,000 -3,927,000 -435,000  -435,000 -332,000 -346,000 -445,000 -2,009,000 -2,009,000 -1,479,000 -11,116,000 
      total comprehensive income attributable to uxin limited's ordinary shareholders
               -88,286,000  -90,986,000   101,323,000 366,052,000 -109,640,250 1,330,826,000                   
      equity in income of affiliates and dividend from affiliate, net of tax
                                          
      net income attributable to uxin limited
                -79,787,000              143,349,000      -365,657,000     215,722,000 
      net income attributable to ordinary shareholders
                -79,787,000              143,349,000      -365,657,000     54,310,000 
      total comprehensive income attributable to uxin limited
                -67,730,000              145,036,000            
      equity in losses of affiliates
                                          
      equity in (losses)/income of affiliates
                   10,368,000                       
      total comprehensive loss attributable to uxin limited's ordinary shareholders
                   -148,040,000     -1,725,065,000                  
      equity in income/ (losses) of affiliates
                    -38,000                      
      commission revenue
                                          
      value-added service revenue
                                          
      loss from continuing operations
                     -109,499,000 -109,499,000 -72,832,000 -45,913,000 -96,610,000 -50,697,000 -164,303,000  -162,598,000 -128,363,000 -2,185,985,000 -585,531,000  -315,169,000 -253,133,000 -342,317,000      
      inducement charge
                             -121,056,000             
      income from continuing operations before income tax expense
                     361,050,000 -126,089,000 1,279,704,000             -373,783,000      
      equity in (losses)/ income of affiliates
                     -6,000                     
      net income from continuing operations, net of tax
                     360,821,000 -126,011,000 1,279,742,000             -359,944,000      
      net income from continuing operations, attributable to uxin limited's ordinary shareholders
                     360,821,000 -126,011,000 1,279,742,000                   
      discontinued operations
                              0.33 -0.51 -0.43  -0.86  -0.01      
      net income from discontinued operations before income tax
                              295,744,000            
      net income from discontinued operations
                              295,744,000 -455,177,000 -377,692,000  23,634,500  -6,059,000      
      net income from discontinued operations attributable to uxin limited's ordinary shareholders
                                          
      income per share for ordinary shareholders, basic
                                          
      continuing operations
                     0.3 0.31 1.08 -1.45 -1.52 -0.06 -0.16  -0.26 -0.17 -2.28 -0.66  -0.35 -0.3 -0.41      
      income per share for ordinary shareholders, diluted
                                          
      reversal/ (provision) for credit losses
                      773,500 -3,688,000                   
      equity in income of affiliates
                      83,500 60,000   276,000 5,181,000  4,728,000 5,754,000 6,940,000 6,126,000          
      provision for credit losses
                        1,306,000  5,476,000 9,522,000  -168,078,000 74,022,000 -1,939,570,000 -271,372,000          
      loss from continuing operations before income tax expense
                        -1,714,592,000 -1,784,060,000 -69,468,000 -178,037,000  -263,632,000 -158,122,000 -2,040,999,000 -593,124,000  -319,193,000 -277,508,000       
      equity in income/(losses) of affiliates
                        -2,000                  
      net loss from continuing operations, net of tax
                        -1,714,594,000 -1,783,786,000 -69,192,000 -172,857,000  -258,904,000 -152,400,000 -2,034,385,000 -589,036,000  -314,972,000 -267,182,000       
      net loss from continuing operations, attributable to uxin limited's ordinary shareholders
                        -1,714,594,000  -69,192,000                
      net loss attributable to uxin limited's ordinary shareholders
                        -1,714,594,000 -1,783,786,000                 
      weighted average shares outstanding – basic
                        1,178,559,919,000           882,780,751,000       
      weighted average shares outstanding – diluted
                        1,556,289,937,000           882,780,751,000       
      earnings per share for ordinary shareholders, basic
                                          
      earnings per share for ordinary shareholders, diluted
                                          
      ​
                                          
      net loss from continuing operations, attributable to uxin limited’s ordinary shareholders
                         -1,783,786,000                 
      net income from discontinued operations attributable to uxin limited’s ordinary shareholders
                                          
      total comprehensive loss attributable to uxin limited’s ordinary shareholders
                         -1,769,387,000                 
      net loss from continuing operations, attributable to ordinary shareholders
                         -1,783,786,000                 
      net income from discontinued operations, attributable to ordinary shareholders
                                          
      net loss attributable to uxin limited’s ordinary shareholders
                         -1,783,786,000                 
      income tax benefit
                                          
      foreign currency translation
                          24,870,000 56,462,000  63,095,000 1,687,000 40,028,000 21,237,000  21,237,000 -32,381,000 -12,859,000 6,027,000 9,069,000 9,069,000 15,337,000 -31,723,000 
      total comprehensive income attributable to uxin limited's ordinary shareholders
                          -44,322,000                
      to consumers
                                          
      - vehicle sales revenue
                           302,826,000  36,108,000             
      - commission revenue
                           136,000  13,221,000 28,582,000 48,038,000 207,452,000  207,452,000 176,169,000 178,901,000      
      - value-added service revenue
                           146,000  11,971,000 23,131,000 40,456,000 180,352,000  222,812,000 151,350,000 143,583,000      
      gross profit™
                           9,502,000               
      loss from guarantee liabilities
                                          
      gain from disposal of investment
                                  7,064,250        
      impairment of long-term investment
                                          
      income tax (expense)/credit
                           -1,000       -1,905,000 384,000       
      net loss from continuing operations, attributable to uxin limited
                           -172,857,000  -258,902,000 -152,395,000 -2,029,002,000 -588,707,000  -314,643,000 -266,850,000       
      net income from discontinued operations attributable to uxin limited
                              295,744,000 -455,177,000 -377,692,000  23,634,500  -6,059,000      
      weighted-average shares outstanding — basic
                           1,109,844,781,000  997,548,971,000 891,184,665,000 888,460,868,000 888,454,361,000    882,761,118,000 881,704,014,000     
      weighted-average shares outstanding — diluted
                           1,109,844,781,000  997,548,971,000 1,179,129,118,000 888,460,868,000 888,454,361,000    882,761,118,000 881,704,014,000     
      income tax credit/
                              -32,000  -2,038,000    5,632,000  -4,183,000    
      gain from guarantee liabilities
                                -169,881,000          
      gain from disposal of investments
                                          
      gain from disposal of subsidiaries
                               179,020,000           
      income from discontinued operations before income tax
                               -455,177,000 -387,522,000  26,806,750  -5,791,000      
      fair value change of derivative liabilities
                                         1,544,205,000 
      income tax (expense) /credit
                                9,830,000          
      accretion on redeemable preferred shares
                                         -161,412,000 
      deemed dividend to preferred shareholders
                                          
      to businesses
                                     69,556,000     
      - transaction facilitation revenue
                                  52,392,750 71,655,000 68,360,000 140,011,000     
      cost of revenue
                                  -148,983,750 -206,594,000 -204,864,000 -296,348,000 -353,335,000 -196,415,000 -304,600,000 -258,774,000 
      equity in gains of affiliates
                                  6,026,250 9,942,000 8,207,000 5,956,000 2,631,000    
      gain from disposal of investment*
                                    28,257,000      
      impairment of long-term investment**
                                    -37,775,000      
      net income from continuing operations, attributable to uxin limited
                                    -359,598,000      
      total comprehensive income attributable to uxin’s shareholders
                                    -378,516,000     189,109,000 
      to consumers (“2c”) — cross-regional
                                     284,315,000     
      - loan facilitation revenue
                                     144,304,000     
      to consumers (“2c”) — intra-regional
                                     598,537,000     
      losses from guarantee liability
                                     -19,825,000     
      other (expenses)/income
                                     17,070,000  -1,475,500 3,107,000  
      total comprehensive loss attributable to uxin’s shareholders
                                     -278,511,000 -303,487,000 -301,905,250 -577,183,000  
      2c transaction facilitation revenue
                                      317,493,000 81,960,500 138,595,000 94,112,000 
      2c loan facilitation revenue
                                      619,827,000 288,559,500 473,623,000 321,657,000 
      2b transaction facilitation revenue
                                      145,659,000 115,235,000 191,192,000 160,703,000 
      operating cost and expenses:
                                          
      gains from guarantee liability
                                      8,230,000 8,230,000 2,414,000 5,090,000 
      total operating cost and expenses
                                      -1,402,697,000 -1,119,668,750 -1,406,337,000 -1,970,045,000 
      deemed dividend from preferred shareholders
                                          
      weighted-average shares outstanding-basic
                                      877,898,987,000  877,180,394,000 100,856,242,000 
      weighted-average shares outstanding-diluted
                                      877,898,987,000  877,180,394,000 840,459,078,000 
      interest income/
                                       -21,274,000 -38,611,000  
      interest expense
                                         -24,762,000 
    Balance Sheets:
    Quarterly
    Annual
      Unit: USD2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-04-25 2024-03-31 2023-11-28 2023-08-14 2023-04-11 2023-03-31 2022-12-30 2022-09-30 2022-07-28 2022-03-31 2021-09-30 2021-09-08 2021-04-30 2021-03-31 2020-12-31 2020-09-30 2020-07-31 2020-07-15 2020-04-30 2020-03-31 2019-12-31 2019-11-30 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-11-30 2018-09-30 2018-08-31 2018-06-30 2018-03-31 2017-12-31 2017-03-31 
                                           
        assets
                                           
        current assets
                                           
        cash and cash equivalents
      76,164,000 68,267,000 103,366,000 23,339,000 92,713,000 23,339,000 92,713,000 92,713,000 128,021,000 92,713,000 128,021,000 128,021,000 128,021,000 128,021,000 192,605,000  342,504,000 192,605,000 342,504,000 342,504,000 342,504,000  478,200,000 342,504,000 478,200,000 627,062,000 782,916,000 454,890,000 454,890,000 10,288,000 677,098,000 677,098,000 829,444,000 829,444,000 800,997,000 291,973,000 291,973,000 
        restricted cash
      71,000 37,000 668,000 594,000 618,000 594,000 618,000 618,000 8,276,000 618,000 8,276,000 8,276,000 8,276,000 8,276,000 41,114,000  454,931,000 41,114,000 454,931,000 454,931,000 454,931,000  706,988,000 454,931,000 706,988,000 2,000 14,852,000 2,025,382,000 2,025,382,000  1,838,356,000 1,838,356,000 1,805,552,000 1,805,552,000 1,011,705,000 1,617,230,000 1,617,230,000 
        accounts receivable
      4,211,000 3,597,000 2,750,000 2,089,000 790,000 2,089,000 790,000 790,000 832,000 790,000 832,000 832,000 832,000 832,000 2,446,000  6,397,000  6,397,000 6,397,000 6,397,000  44,605,000  44,605,000 46,142,000 55,032,000 54,441,000 54,441,000  47,217,000 47,217,000 63,320,000 63,320,000    
        loans recognized as a result of payments under guarantees, net of benefit from credit losses of rmb7,710 and rmb7,706 as of december 31, 2024 and september 30, 2025, respectively
                                           
        other receivables, net of benefit from credit losses of rmb21,113 and rmb15,369 as of december 31, 2024 and september 30, 2025, respectively
      15,656,000                                     
        inventory
      405,733,000 279,446,000 189,905,000 110,494,000 110,893,000 110,494,000 110,893,000 110,893,000 426,257,000 110,893,000 426,257,000 426,257,000 426,257,000 426,257,000 69,587,000  10,314,000 69,587,000 10,314,000 10,314,000 10,314,000  13,792,000 10,314,000 13,792,000 13,350,000 16,151,000 15,773,000 15,773,000  18,208,000 18,208,000 18,311,000 18,311,000 19,380,000   
        prepaid expenses and other current assets
      97,712,000 83,087,000 81,259,000 71,787,000 61,390,000 71,787,000 61,390,000 61,390,000 90,012,000 61,390,000 90,012,000 90,012,000 90,012,000 90,012,000 107,836,000  137,148,000 107,836,000 137,148,000 137,148,000 137,148,000  158,908,000 137,148,000 158,908,000 255,198,000 329,442,000 316,268,000 316,268,000  479,722,000 479,722,000 507,433,000 507,433,000    
        total current assets
      599,547,000 447,511,000 390,416,000 226,383,000 281,749,000 226,383,000 281,749,000 281,749,000 874,328,000 281,749,000 874,328,000 874,328,000 874,328,000 874,328,000 832,943,000  2,238,865,000 832,943,000 2,238,865,000 2,238,865,000 2,238,865,000  4,944,869,000 2,238,865,000 4,944,869,000 6,244,092,000 6,122,256,000 6,165,837,000 6,165,837,000  6,690,708,000 6,690,708,000 6,901,996,000 6,901,996,000    
        non-current assets
                                           
        property, equipment and software
      85,477,000 75,499,000 73,931,000 74,243,000 63,725,000 74,243,000 63,725,000 63,725,000 34,531,000 63,725,000 34,531,000 34,531,000 34,531,000 34,531,000 29,306,000  87,558,000 29,306,000 87,558,000 87,558,000 87,558,000  110,114,000 87,558,000 110,114,000 129,306,000 158,402,000 181,769,000 181,769,000  202,620,000 202,620,000 192,855,000 192,855,000    
        finance lease right-of-use assets
      1,325,997,000 1,332,908,000 1,339,818,000 1,339,537,000  1,339,537,000                                
        operating lease right-of-use assets
      238,491,000 187,781,000 193,232,000 168,418,000 84,461,000 168,418,000                    198,694,000  267,709,000 267,709,000         
        total non-current assets
      1,649,965,000 1,596,188,000 1,606,981,000 1,861,766,000 436,898,000 1,861,766,000 436,898,000 436,898,000 376,871,000 436,898,000 376,871,000 376,871,000 376,871,000 376,871,000 400,590,000  408,466,000 400,590,000 408,466,000 408,466,000 408,466,000  438,227,000 408,466,000 438,227,000 719,403,000 768,192,000 933,456,000 933,456,000  687,191,000 687,191,000 499,897,000 499,897,000    
        total assets
      2,249,512,000 2,043,699,000 1,997,397,000 2,088,149,000 718,647,000 2,088,149,000 718,647,000 718,647,000 1,251,199,000 718,647,000 1,251,199,000 1,251,199,000 1,251,199,000 1,251,199,000 1,233,533,000  2,647,331,000 1,233,533,000 2,647,331,000 2,647,331,000 2,647,331,000  5,383,096,000 2,647,331,000 5,383,096,000 6,963,495,000 6,890,448,000 7,099,293,000 7,099,293,000 9,923,159,000 7,377,899,000 7,377,899,000 7,401,893,000 7,401,893,000 7,349,390,000 5,298,913,000 5,298,913,000 
        liabilities, mezzanine equity and shareholders’ deficit
                                           
        current liabilities
                                           
        accounts payable
      60,061,000 75,485,000 83,892,000 80,745,000 80,668,000 80,745,000 80,668,000 80,668,000 92,534,000 80,668,000 92,534,000 92,534,000 92,534,000 92,534,000 101,205,000  132,357,000 101,205,000 132,357,000 132,357,000 132,357,000  127,836,000 132,357,000 18,325,000 159,716,000 161,776,000 157,474,000 157,474,000  107,402,000 107,402,000 65,910,000 65,910,000    
        other payables and other current liabilities
      295,609,000 278,826,000 275,278,000 370,802,000 344,502,000 370,802,000 344,502,000 344,502,000 674,333,000 344,502,000 674,333,000 674,333,000 674,333,000 674,333,000 788,303,000   788,303,000                    
        current portion of operating lease liabilities
      16,217,000 15,943,000 13,345,000 12,310,000  12,310,000                                
        current portion of finance lease liabilities
      186,596,000 57,921,000 184,752,000 51,160,000  51,160,000                                
        short-term borrowings from third parties
      270,717,000 221,582,000                                    
        short-term borrowings from related party
                                           
        total current liabilities
      829,200,000 649,757,000 763,935,000 885,148,000 603,914,000 885,148,000 603,914,000 603,914,000 1,298,642,000 603,914,000 1,298,642,000 1,298,642,000 1,298,642,000 1,298,642,000 1,147,205,000  3,076,398,000 1,147,205,000 3,076,398,000 3,076,398,000 3,076,398,000  2,993,814,000 3,076,398,000 429,148,000 3,350,226,000 4,736,359,000 4,290,619,000 4,290,619,000  4,053,743,000 4,053,743,000 3,391,563,000 3,391,563,000    
        non-current liabilities
                                           
        long-term borrowings from related party
                                           
        long-term borrowings from third parties
      14,211,000                                     
        consideration payable to webank
       6,485,000 19,838,000  58,559,000  58,559,000 58,559,000 107,642,000 58,559,000 107,642,000 107,642,000 107,642,000 107,642,000                        
        finance lease liabilities
      1,064,241,000 1,178,042,000 1,159,433,000 1,191,246,000  1,191,246,000                                
        operating lease liabilities
      226,846,000 175,552,000 180,207,000 154,846,000 77,462,000 154,846,000 77,462,000 77,462,000 10,866,000 77,462,000 10,866,000 10,866,000 10,866,000 10,866,000                        
        total non-current liabilities
      1,305,298,000 1,374,396,000 1,373,834,000 1,346,092,000 692,531,000 1,346,092,000 692,531,000 692,531,000 936,156,000 692,531,000 936,156,000 936,156,000 936,156,000 936,156,000 2,082,183,000  1,915,580,000 2,082,183,000 1,915,580,000 1,915,580,000 1,915,580,000  1,924,162,000 1,915,580,000 275,818,000 2,116,683,000 357,107,000 662,252,000 662,252,000  726,879,000 726,879,000 910,406,000 910,406,000    
        total liabilities
      2,134,498,000 2,024,153,000 2,137,769,000 2,231,240,000 1,296,445,000 2,231,240,000 1,296,445,000 1,296,445,000 2,234,798,000 1,296,445,000 2,234,798,000 2,234,798,000 2,234,798,000 2,234,798,000 3,229,388,000  4,991,978,000 3,229,388,000 4,991,978,000 4,991,978,000 4,991,978,000  4,917,976,000 4,991,978,000 704,966,000 5,466,909,000 5,093,466,000 4,952,871,000 4,952,871,000 7,549,026,000 4,780,622,000 4,780,622,000 4,301,969,000 4,301,969,000 4,977,747,000 5,059,894,000 5,059,894,000 
        mezzanine equity
                                           
        redeemable non-controlling interests
      320,038,000  170,666,000                                   
        total mezzanine equity
      320,038,000  170,666,000  695,647,000  695,647,000 695,647,000 526,484,000 695,647,000 526,484,000 526,484,000 526,484,000 526,484,000                      8,420,644,000 8,420,644,000 
        shareholders’ deficit
                                           
        ordinary shares
      45,071,000  42,621,000    806,000 806,000 782,000 806,000 782,000 782,000  782,000   581,000 733,000 581,000 581,000 581,000  581,000 581,000 581,000 577,000 577,000 577,000 577,000 575,000 573,000 573,000 573,000 573,000    
        additional paid-in capital
      19,289,890,000  19,151,216,000    15,451,803,000  14,254,109,000 15,451,803,000 14,254,109,000 14,254,109,000  14,254,109,000   13,036,989,000 13,695,877,000 13,036,989,000 13,036,989,000 13,036,989,000  13,069,560,000 13,036,989,000 13,069,560,000 13,050,308,000 13,051,138,000 13,021,718,000 13,021,718,000 12,967,986,000 12,883,307,000 12,883,307,000 12,807,294,000 12,807,294,000    
        subscription receivable from shareholders
        -96,343,000  -550,074,000  -550,074,000 -550,074,000  -550,074,000                            
        accumulated other comprehensive income
      234,268,000  227,793,000    220,185,000  288,461,000 220,185,000 288,461,000 288,461,000  288,461,000   106,764,000 217,747,000 106,764,000 106,764,000 106,764,000  68,192,000 106,764,000 68,192,000 46,848,000 79,229,000 92,088,000 92,088,000 86,061,000 75,535,000 75,535,000 60,197,000 60,197,000    
        accumulated deficit
      -19,773,054,000  -19,636,088,000    -16,946,064,000   -16,946,064,000 -16,053,272,000 -16,053,272,000  -16,053,272,000    -15,910,049,000   -15,488,827,000  -12,669,165,000 -15,488,827,000 -12,669,165,000 -11,597,534,000 -11,330,682,000    -10,366,476,000 -10,366,476,000 -9,773,957,000 -9,773,957,000    
        total uxin’s shareholders’ deficit
      -203,825,000  -310,801,000    -1,273,270,000    -1,509,920,000                    2,592,939,000 2,592,939,000 3,094,107,000 3,094,107,000    
        non-controlling interests
      -1,199,000  -237,000    -175,000   -175,000    -163,000    -163,000   -154,000  -4,048,000 -154,000 -4,048,000 -3,613,000 -3,280,000 -2,934,000 -2,934,000  4,338,000 4,338,000 5,817,000 5,817,000    
        total shareholders’ deficit
      -205,024,000  -311,038,000    -1,273,445,000   -1,273,445,000    -1,510,083,000    -1,995,855,000             2,597,277,000 2,597,277,000 3,099,924,000 3,099,924,000    
        total liabilities, mezzanine equity and shareholders’ deficit
      2,249,512,000  1,997,397,000       718,647,000    1,251,199,000                        
        current assets:
                                           
        loans recognized as a result of payments under guarantees, net of provision for credit losses of rmb7,710 and rmb7,706 as of december 31, 2024 and june 30, 2025, respectively
                                           
        other receivables, net of provision for credit losses of rmb21,113 and rmb15,149 as of december 31, 2024 and june 30, 2025, respectively
       13,077,000                                    
        non-current assets:
                                           
        short-term borrowing from related party
         7,000,000  7,000,000                                
        long-term borrowing from related party
                                           
        long-term borrowing from third party
       14,317,000                                    
        loans recognized as a result of payments under guarantees, net of benefit from credit losses of rmb7,710 and rmb7,707 as of december 31, 2024 and march 31, 2025, respectively
                                           
        other receivables, net of benefit from credit losses of rmb21,113 and rmb15,149 as of december 31, 2024 and march 31, 2025, respectively
        12,468,000                                   
        short-term borrowing from third parties
        167,285,000 71,181,000  71,181,000                                
        short-term borrowings from related parties
        39,383,000                                   
        long-term borrowings from third party
        14,356,000                                   
        8
                                           
        loans recognized as a result of payments under guarantees, net of provision for credit losses of rmb7,995 and rmb7,710 as of march 31, 2024 and december 31, 2024, respectively
                                           
        other receivables, net of provision for credit losses of rmb22,739 and rmb21,113 as of march 31, 2024 and december 31, 2024, respectively
         18,080,000                                  
        long-term investments
         279,300,000 288,712,000 279,300,000 288,712,000 288,712,000  288,712,000    288,756,000 288,428,000   288,428,000      276,762,000 272,936,000             
        other non-current assets
         268,000  268,000   24,000,000  24,000,000 24,000,000 24,000,000 24,000,000 36,000,000   36,000,000               112,902,000 112,902,000    
        current portion of long-term debt and borrowing
         291,950,000  291,950,000                                
        loans recognized as a result of payments under guarantees, net of provision for credit losses of rmb10,337 and rmb8,000 as of march 31, 2023 and december 31, 2023, respectively
                                           
        other receivables, net of provision for credit losses of rmb26,541 and rmb23,282 as of march 31, 2023 and december 31, 2023, respectively
          15,345,000                                 
        warrant liabilities
          8,000  8,000 8,000 196,390,000 8,000 196,390,000 196,390,000 196,390,000 196,390,000                        
        short-term borrowing
          20,000,000 7,000,000 20,000,000 20,000,000  20,000,000                            
        current portion of long-term debt
          158,736,000  158,736,000 158,736,000 102,206,000 158,736,000 102,206,000 102,206,000 102,206,000 102,206,000                        
        long-term borrowings
          291,950,000  291,950,000        233,000,000  234,585,000 233,000,000 234,585,000 234,585,000 234,585,000  241,026,000 234,585,000 34,550,000 233,000,000 293,000,000 452,542,000 452,542,000  620,044,000 620,044,000 680,062,000 680,062,000    
        long-term debt
          264,560,000  264,560,000 264,560,000 817,648,000 264,560,000 817,648,000 817,648,000 817,648,000 817,648,000                        
        senior convertible preferred shares
          1,245,721,000  1,245,721,000 1,245,721,000 526,484,000 1,245,721,000 526,484,000 526,484,000 526,484,000 526,484,000                        
        loans recognized as a result of payments under guarantees, net of provision for credit losses of rmb10,337 and rmb7,995 as of march 31, 2023 and 2024, respectively
                                           
        other receivables, net of provision for credit losses of rmb26,541 and rmb22,739 as of march 31, 2023 and 2024, respectively
           18,080,000                                
        long-term borrowing
             291,950,000  291,950,000                            
        loans recognized as a result of payments under guarantees, net of provision for credit losses of rmb10,337 and rmb8,686 as of march 31, 2023 and june 30, 2023, respectively
                                           
        other receivables, net of provision for credit losses of rmb26,541 and rmb26,559 as of march 31, 2023 and june 30, 2023, respectively
            15,345,000                               
        right-of-use assets
            84,461,000 84,461,000 29,584,000 84,461,000 29,584,000 29,584,000 29,584,000 29,584,000 46,829,000  34,466,000 46,829,000 34,466,000 34,466,000 34,466,000  45,446,000 34,466,000 45,446,000             
        loans recognized as a result of payments under guarantees, net of provision for credit losses of rmb324,371 and rmb10,337 as of march 31, 2022 and 2023, respectively
                                           
        other receivables, net of provision for credit losses of rmb30,251 and rmb26,541 as of march 31, 2022 and 2023, respectively
             15,345,000  15,345,000                            
        forward contract assets
              36,000  36,000 36,000 36,000 36,000                        
        guarantee liabilities
              179,000  179,000 179,000 179,000 179,000 2,441,000  910,949,000 2,441,000 910,949,000  910,949,000  388,307,000 910,949,000 55,662,000   426,432,000 426,432,000  249,019,000 249,019,000 201,085,000 201,085,000  173,907,000  
        current portion of long-term borrowing
                                           
        loans recognized as a result of payments under guarantees, net of provision for credit losses of rmb324,371 and rmb253,822 as of march 31, 2022 and december 31, 2022, respectively
              54,888,000                             
        other receivables, net of provision for credit losses of rmb30,251 and rmb22,450 as of march 31, 2022 and december 31, 2022, respectively
              166,006,000                             
        long term investments
              288,756,000  288,756,000 288,756,000 288,756,000    276,762,000  276,762,000 276,762,000 276,762,000  272,936,000   266,854,000 261,303,000 354,596,000 354,596,000  347,506,000 347,506,000 55,347,000 55,347,000    
        current portion of long-term borrowings
              233,000,000  233,000,000 233,000,000 233,000,000 233,000,000 79,560,000                       
        commitments
                                           
        total uxin limited shareholders’ deficit
               -1,273,270,000    -1,509,920,000    -1,995,692,000                    
        financing proceeds in transit receivable
                                           
        loans recognized as a result of payments under guarantees, net of provision for credit losses of rmb324,371 and rmb253,866 as of march 31, 2022 and september 30, 2022, respectively
                54,888,000                           
        other receivables, net of provision for credit losses of rmb30,251 and rmb23,263 as of march 31, 2022 and september 30, 2022, respectively
                166,006,000                           
        loans recognized as a result of payments under guarantees, net of provision for credit losses of rmb324,371 and rmb323,190 as of march 31, 2022 and june 30, 2022, respectively
                 54,888,000                          
        other receivables, net of provision for credit losses of rmb30,251 and rmb29,581 as of march 31, 2022 and june 30, 2022, respectively
                 166,006,000                          
        amounts due from related parties, net of provision for credit losses of rmb6,456 as of march 31, 2021
                    129,383,000                       
        loans recognized as a result of payments under guarantees, net of provision for credit losses of rmb1,182,609 and rmb324,371 as of march 31, 2021 and 2022, respectively
                  54,888,000 54,888,000                        
        other receivables, net of provision for credit losses of rmb20,980 and rmb30,251 as of march 31, 2021 and 2022, respectively
                  166,006,000 166,006,000                        
        intangible assets
                    27,000  139,000 27,000 139,000 139,000 139,000  190,000 139,000 190,000 14,125,000 17,065,000 18,958,000 18,958,000  22,971,000 22,971,000 24,699,000 24,699,000    
        amounts due to related parties
                    69,434,000   69,434,000            90,251,000        
        convertible notes
                                   1,188,192,000   493,764,000 493,764,000    
        contingencies and commitments
                                           
        ​
                                          2,017,000 
        loan recognized as a result of payment under the guarantee, net of provision for credit losses of rmb1,182,609 and rmb733,169 as of march 31, 2021 and september 30, 2021, respectively
                    179,947,000                       
        other receivables, net of provision for credit losses of rmb20,980 and rmb25,037 as of march 31, 2021 and september 30, 2021, respectively
                    110,025,000                       
        deferred revenue
                    23,296,000  50,348,000 23,296,000 50,348,000 50,348,000 50,348,000  54,267,000 50,348,000 7,779,000 77,101,000 65,413,000 64,632,000 64,632,000  51,241,000 51,241,000 23,011,000 23,011,000    
        operating lease liabilities, current
                    11,657,000  32,842,000 11,657,000 32,842,000 32,842,000 32,842,000  32,892,000 32,842,000 4,715,000             
        consideration payment to webank, current
                    71,309,000   71,309,000                    
        forward contract liabilities
                                           
        convertible notes, non-current
                    1,614,040,000   1,614,040,000      1,679,130,000 239,786,000             
        operating lease liabilities, non-current
                    34,365,000  1,865,000 34,365,000 1,865,000 1,865,000 1,865,000  10,075,000 1,865,000 1,444,000             
        consideration payment to webank, non-current
                    200,778,000   200,778,000                    
        other non-current liabilities
                                           
        youfang (beijing) information technology co., ltd.
                                           
        youtang (shaanxi) information technology co., ltd.
                                           
        f-16
                                           
        ●
                                           
        f-17
                                           
        amounts due from related parties, net of provision for credit losses of nil and rmb259 as of march 31, 2020, and december 31, 2020, respectively
                      28,070,000                     
        loan recognized as a result of payment under the guarantee, net of provision for credit losses of rmb2,190,575 and rmb1,796,432 as of march 31, 2020, and december 31, 2020, respectively
                      404,174,000                     
        advance to sellers
                      132,526,000  132,526,000 132,526,000 132,526,000  288,550,000 132,526,000 288,550,000 655,912,000 651,655,000 665,915,000 665,915,000  906,624,000 906,624,000 401,682,000 401,682,000 692,714,000 246,287,000 246,287,000 
        other receivables, net of provision for credit losses of rmb51,666 and rmb21,049 as of march 31, 2020 and december 31, 2020, respectively
                      287,753,000                     
        financial lease receivables, net of provision for credit losses of rmb27,250 and rmb27,117 as of march 31, 2020, and december 31, 2020, respectively
                      15,048,000                     
        net assets transferred
                      420,000,000  420,000,000 420,000,000 420,000,000   420,000,000 827,710,000             
        goodwill
                      9,541,000  9,541,000 9,541,000 9,541,000  9,541,000 9,541,000 9,541,000 110,424,000 110,424,000 110,424,000 110,424,000  114,094,000 114,094,000      
        liabilities and shareholders’ deficit
                                           
        short-term borrowings and current portion of long-term borrowings
                      119,069,000 79,560,000 119,069,000 119,069,000 119,069,000  263,425,000 119,069,000 37,761,000          624,588,000   
        deposit of interests from consumers and payable to financing partners
                      25,968,000  25,968,000 25,968,000                  
        advance from buyers collected on behalf of sellers
                      110,493,000  110,493,000 110,493,000 110,493,000  147,923,000 110,493,000 21,204,000 391,161,000 248,126,000 204,141,000 204,141,000  146,499,000 146,499,000 177,777,000 177,777,000    
        other payables and accruals
                      1,175,914,000  1,175,914,000 1,175,914,000 1,175,914,000   1,175,914,000 186,676,000  1,330,591,000 1,395,648,000 1,395,648,000 10,584,000 1,092,729,000 1,092,729,000 1,027,739,000 1,027,739,000    
        convertible notes, current
                      375,449,000  375,449,000 375,449,000 375,449,000  324,644,000 375,449,000 46,536,000          1,188,192,000   
        liabilities held for sale
                      143,009,000  143,009,000 143,009,000 143,009,000  310,029,000 143,009,000 44,441,000 1,086,860,000 941,415,000           
        convertible bonds, non-current
                      1,679,130,000  1,679,130,000 1,679,130,000 1,679,130,000  1,672,796,000   1,804,950,000            
        total liabilities and shareholders’ deficit
                      2,647,331,000 1,233,533,000 2,647,331,000 2,647,331,000                  
        accounts receivables
                       2,446,000      6,397,000              
        amounts due from related parties
                       129,383,000  28,070,000 28,070,000  51,590,000 28,070,000 51,590,000 243,126,000    9,318,188,000        
        loan recognized as a result of payment under the guarantee, net of provision for credit losses of rmb2,190,575 and rmb1,182,609 as of march 31, 2020 and 2021, respectively
                       179,947,000                    
        other receivables, net of provision for credit losses of rmb51,666 and rmb20,980 as of march 31, 2020 and 2021, respectively
                       110,025,000                    
        financial lease receivables, net of provision for credit losses of rmb27,250 and rmb27,021 as of march 31, 2020 and 2021, respectively
                                           
        liabilities and equity
                                           
        deposit of interests from consumers and payable to financing partners, current
                             25,968,000 6,049,000             
        contingencies
                                           
        amounts due from related parties, net of provision for credit losses of nil and rmb259 as of march 31, 2020, and september 30, 2020, respectively
                        28,070,000                   
        advance to consumers on behalf of financing partners
                            2,135,000  2,135,000   357,731,000 357,731,000  482,349,000 482,349,000 413,400,000 413,400,000    
        loan recognized as a result of payment under the guarantee, net of provision for credit losses of rmb2,190,575 and rmb2,045,898 as of march 31, 2020, and september 30, 2020, respectively
                        404,174,000                   
        other receivables, net of provision for credit losses of rmb51,666 and rmb45,412 as of march 31, 2020 and september 30, 2020, respectively
                        287,753,000                   
        financial lease receivables, net of provision for credit losses of rmb27,250 and rmb27,197 as of march 31, 2020, and september 30, 2020, respectively
                        15,048,000                   
        loan recognized as a result of payment under the guarantee, net of provision for credit losses of rmb2,190,575 and rmb2,137,249 as of march 31, 2020, and june 30, 2020, respectively
                         404,174,000                  
        other receivables, net of provision for credit losses of rmb51,666 and rmb50,901 as of f march 31, 2020, and june 30, 2020, respectively
                         287,753,000                  
        financial lease receivables, net of provision for credit losses of rmb27,250 and rmb19,859 as of march 31, 2020, and june 30, 2020, respectively
                         15,048,000                  
        guarantee liabilities, current
                         910,949,000                  
        guarantee liabilities, non-current
                                           
        loan recognized as a result of payment under the guarantee, net of provision for credit losses of rmb763,122 and rmb2,190,575 as of december 31, 2019, and march 31, 2020, respectively
                          404,174,000                 
        other receivables, net of provision for credit losses of rmb6,119 and rmb51,666 as of december 31, 2019, and march 31, 2020, respectively
                          287,753,000                 
        financial lease receivables, net of provision for credit losses of rmb23,157 and rmb27,250 as of december 31, 2019, and march 31, 2020, respectively
                          15,048,000                 
        assets held for sale
                            1,057,761,000  230,051,000             
        liabilities and shareholders’ equity/
                                           
        deposit of interests from consumers and payable to financing partners — current
                          25,968,000  42,199,000     299,168,000 299,168,000         
        deposit of interests from consumers and payable to financing partners, non-current
                            265,000  38,000             
        shareholders’ equity/
                                           
        total uxin’s shareholders’ equity/
                          -2,344,493,000                 
        total shareholders’ equity/
                          -2,344,647,000   -2,344,647,000              
        total liabilities and shareholders’ equity/
                          2,647,331,000   2,647,331,000              
        youxin (hefei) automobile intelligent remanufacturing co., ltd.
                                           
        youche (hainan) information technology co., ltd.
                                           
        hefei youquan information technology co., ltd.
                                           
        electronic equipment
                                           
        furniture
                                           
        vehicles and motors
                                           
        short-term investments
                               123,586,000  597,474,000 597,474,000  580,936,000 580,936,000 30,600,000 30,600,000    
        loan recognized as a result of payment under the guarantee
                            1,580,464,000  1,580,464,000   769,127,000 769,127,000  458,220,000 458,220,000 481,804,000 481,804,000    
        other receivables
                            440,056,000  440,056,000 192,446,000 202,978,000 741,974,000 741,974,000 18,015,000 729,959,000 729,959,000 609,173,000 609,173,000    
        financial lease receivables
                            121,820,000  121,820,000 15,746,000 190,322,000 166,862,000 166,862,000  472,019,000 472,019,000 358,604,000 358,604,000 294,511,000 438,693,000 438,693,000 
        liabilities and shareholders’ equity
                                           
        other payables and accruals, current
                            1,302,292,000   1,376,596,000            
        deferred tax liabilities
                               3,480,000 3,879,000 4,278,000 4,278,000  5,124,000 5,124,000 5,490,000 5,490,000    
        shareholders’ equity
                                           
        total uxin’s shareholders’ equity
                            469,168,000   1,500,199,000 1,800,262,000 2,149,356,000 2,149,356,000         
        total shareholders’ equity
                            465,120,000  465,120,000 1,496,586,000 1,796,982,000 2,146,422,000 2,146,422,000         
        total liabilities and shareholders’ equity
                            5,383,096,000  5,383,096,000  6,890,448,000           
        loan recognized as a result of payment under the guarantee, net of provision for credit losses of rmb256,639, rmb763,122 and rmb2,190,575 as of december 31, 2018 and 2019, and march 31, 2020, respectively
                             404,174,000              
        other receivables, net of provision for credit losses of rmb6,457, rmb6,119 and rmb51,666 as of december 31, 2018 and 2019, and march 31, 2020, respectively
                             287,753,000              
        financial lease receivables, net of provision for credit losses of rmb6,890, rmb23,157 and rmb27,250 as of december 31, 2018 and 2019, and march 31, 2020, respectively
                             15,048,000              
        total uxin limited shareholders’ equity/
                             -2,344,493,000              
        commitments and contingencies
                                           
        total uxin limited shareholders’ equity
                              469,168,000             
        assets held for sale, current
                               4,071,522,000 3,878,908,000           
        short-term borrowings
                               20,000,000 253,541,000 515,106,000 515,106,000  604,691,000 604,691,000 652,093,000 652,093,000  426,783,000 426,783,000 
        convertible bonds, current
                               101,432,000            
        operating lease liability, current
                               137,360,000  62,281,000 62,281,000         
        other payables and accruals, non-current
                               20,892,000            
        operating lease liability, non-current
                               54,361,000  183,529,000 183,529,000         
        total liabilities and shareholders’equity
                               6,963,495,000  7,099,293,000 7,099,293,000         
        operating lease right-of-use assets, net*
                                220,998,000           
        convertible bonds**
                                1,581,181,000           
        operating lease liability, current*
                                154,316,000           
        operating lease liability, non-current*
                                60,228,000           
        convertible bonds
                                 1,165,737,000 1,165,737,000  1,190,962,000 1,190,962,000      
        deposit of interests from consumers and payable to financing partners — non-current
                                 21,903,000 21,903,000         
        accumulated equity
                                 -10,965,027,000 -10,965,027,000         
        short-term investment
                                   553,568,000        
        prepaid expenses
                                   23,100,000        
        investment deficit in subsidiaries
                                   6,195,553,000        
        derivative liabilities
                                         1,596,424,000  
        other current liabilities
                                   64,446,000        
        series a redeemable convertible preference shares
                                           
        series a-1 redeemable convertible preference shares
                                           
        series b convertible redeemable preferred shares
                                           
        series c convertible redeemable preferred shares
                                           
        series d convertible redeemable preferred shares
                                           
        series e convertible redeemable preferred shares
                                           
        series f convertible redeemable preferred shares
                                           
        series g convertible redeemable preferred shares
                                           
        shareholders’ (deficit)/equity
                                           
        total shareholders’ (deficit)/equity
                                   2,374,133,000     2,371,643,000  -8,181,625,000 
        total liabilities, mezzanine equity and shareholders’ equity
                                   9,923,159,000        
        assets:
                                           
        liabilities, mezzanine equity, and shareholders’ deficit
                                           
        current liabilities:
                                           
        deposit of interests from consumers and payable to financing partners—current
                                    611,200,000 611,200,000 750,184,000 750,184,000    
        non-current liabilities:
                                           
        deposit of interests from consumers and payable to financing partners—non-current
                                    101,711,000 101,711,000 224,854,000 224,854,000    
        series a
                                           
        series a-1
                                           
        series b
                                           
        series c
                                           
        series d
                                           
        series e
                                           
        series f
                                           
        series g
                                           
        shareholders’ deficit:
                                           
        total liabilities, mezzanine equity, and shareholders’ deficit
                                    7,377,899,000 7,377,899,000 7,401,893,000 7,401,893,000    
        ipo proceeds receivable
                                      1,382,673,000 1,382,673,000    
        goodwill**
                                      114,094,000 114,094,000    
        selected consolidated balance sheets data:
                                           
        capital stock
                                        575,000 30,000 30,000 
        number of outstanding ordinary shares
                                        880,659,899,000 49,318,860,000 49,318,860,000 
        selected consolidated statements of cash flow data
                                           
        net cash from operating activities
                                        -2,281,333,000  -1,834,243,000 
        net cash (used in)/ generated from investing activities
                                        -1,078,617,000   
        net cash generated from / (used in) financing activities
                                        4,274,052,000   
        effect of exchange rate changes on cash, cash equivalents and restricted cash
                                        -9,278,000  3,334,000 
        net increase/(decrease) in cash, cash equivalents and restricted cash
                                        904,824,000   
        cash, cash equivalents and restricted cash recorded in held for sale assets at beginning of the period
                                        179,202,000   
        cash, cash equivalents and restricted cash at beginning of the year/
                                        1,730,001,000  1,038,113,000 
        cash, cash equivalents and restricted cash recorded in held for sale assets at end of the period
                                        1,001,325,000   
        cash, cash equivalents and restricted cash at end of the year/
                                        1,812,702,000  1,730,001,000 
        selected consolidated statements of cash flow data:
                                           
        net cash generated from / (used in) investing activities
                                          -586,843,000 
        net cash (used in) / generated from financing activities
                                         3,288,842,000 3,288,842,000 
        effect of exchange rate changes on cash and cash equivalents
                                         3,334,000  
        net (decrease)/increase in cash and cash equivalents
                                           
        cash and cash equivalents at beginning of the year
                                         332,259,000  
        cash and cash equivalents at end of the year
                                         291,973,000  
        net (decrease)/increase in cash, cash equivalents and restricted cash
                                          871,090,000 
      Cashflow Statements:
      Quarterly
      Annual
        Unit: USD