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Short-term borrowings (Details) - Schedule of short-term borrowings - USD ($)
$ in Thousands
Dec. 31, 2022
Dec. 31, 2021
Schedule Of Short Term Borrowings [Abstract]    
Bank borrowings [1] $ 2,842 $ 3,177
Other borrowings [2] 34
Total $ 2,876 $ 3,177
[1] The Group’s short-term bank borrowings are primarily used for working capital and business development purposes and bear interest rate of 4.00% ~ 5.55% (2021: 1.60% ~ 5.22%) per annum, with a weighted average interest rate of 4.86% (2021: 3.67%) per annum. Certain bank borrowings are guaranteed by certain of our directors, certain legal representative and certain subsidiary and other company as of December 31, 2021 and 2022.
[2] In March 2022, the Company entered into an eleven-month financing agreement with an independent third-party finance lease company amounting to US$194 thousands with equivalent equipment of the Group pledged. The interest rate is 5.6% per annum.