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CONCENTRATIONS OF RISK (Tables)
6 Months Ended
Jun. 30, 2025
Risks and Uncertainties [Abstract]  
SCHEDULE OF CONCENTRATION OF RISK

The Company is exposed to the following concentrations of risk:

 

SCHEDULE OF CONCENTRATION OF RISK 

(a) Major customers

 

For the three and six months ended June 30, 2025 and 2024, respectively, the customers who accounted for 10% or more of the Company’s revenues and its outstanding receivable balances at period-end dates, are presented as follows:

 

   For the Three Months Ended     
   June 30, 2025   June 30, 2025 
       Percentage of   Accounts  
Customer  Revenue   revenues   receivable  
Customer A  $247,699    24.94%  $  
Customer B  $300,000    30.21%  $  
Customer C  $250,000    25.18%  $  

 

   For the Six Months Ended     
   June 30, 2025   June 30, 2025 
       Percentage of   Accounts  
Customer  Revenue   revenues   receivable  
Customer A  $423,382    33.18%  $  
Customer B  $300,000    23.51%  $  
Customer C  $250,000    19.59%  $  

 

 

   For the Three Months Ended     
   June 30, 2024   June 30, 2024 
       Percentage of   Accounts  
Customer  Revenue   revenues   receivable  
Customer A  $53,710    9.93%  $  

 

   For the Six Months Ended     
   June 30, 2024   June 30, 2024 
       Percentage of   Accounts  
Customer  Revenue   revenues   receivable  
Customer A  $20,278    11.69%  $