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Borrowings - Schedule of Borrowings (Details) - USD ($)
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Schedule of Borrowings [Line Items]    
Short-term $ 15,265,739 $ 14,236,270
Long-term (Non- current portions) $ 9,446,467 8,597,848
Bank SinoPac [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate [1] 2.61%  
Maturity [1] November 2027  
Principal [1] $ 951,765  
Short-term [1] 326,321
Long-term (Non- current portions) [1] $ 625,444 1,368,659
Bank SinoPac One [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate [1] 2.61%  
Maturity [1] December 2028  
Principal [1] $ 777,066  
Short-term [1] 194,267 557,479
Long-term (Non- current portions) [1] $ 582,799 482,691
Bank SinoPac Two [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate [1] 2.19%  
Maturity [1] January 2025  
Principal [1] $ 457,457  
Short-term [1] 457,457
Long-term (Non- current portions) [1]
Bank SinoPac Three [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate [1] 2.19%  
Maturity [1] February 2025  
Principal [1] $ 2,192,112  
Short-term [1] 2,192,112
Long-term (Non- current portions) [1]
Bank SinoPac Four [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate [1] 2.19%  
Maturity [1] June 2025  
Principal [1] $ 245,593  
Short-term [1] 245,593
Long-term (Non- current portions) [1]
Bank SinoPac Five [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate [1] 2.06%  
Maturity [1] May 2024  
Principal [1] $ 1,304,681  
Short-term [1] 1,304,681
Long-term (Non- current portions) [1]
Bank SinoPac Six [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate [1] 2.06%  
Maturity [1] February 2024  
Principal [1] $ 489,876  
Short-term [1] 489,876
Long-term (Non- current portions) [1]
Bank SinoPac Seven [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate [1] 2.06%  
Maturity [1] March 2024  
Principal [1] $ 1,143,044  
Short-term [1] 1,143,044
Long-term (Non- current portions) [1]
Bank SinoPac Eight [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate [1] 2.06%  
Maturity [1] April 2024  
Principal [1] $ 294,399  
Short-term [1] 294,399
Long-term (Non- current portions) [1]
Bank SinoPac Nine [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate [1] 2.06%  
Maturity [1] June 2024  
Principal [1] $ 285,825  
Short-term [1] 285,825
Long-term (Non- current portions) [1]
Bank of Taiwan [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate [2] 1.91%  
Maturity [2] October 2038  
Principal [2] $ 6,300,024  
Short-term [2] 455,424 487,696
Long-term (Non- current portions) [2] $ 5,844,600 6,746,498
Bank of Taiwan One [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate [2] 2.41%  
Maturity [2] March 2025  
Principal [2] $ 609,942  
Short-term [2] 609,942
Long-term (Non- current portions) [2]
Bank of Taiwan Two [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate [3] 2.28%  
Maturity [3] April 2024  
Principal [3] $ 326,584  
Short-term [3] 326,584
Long-term (Non- current portions) [3]
Bank of Taiwan Three [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate [2] 2.28%  
Maturity [2] May 2024  
Principal [2] $ 326,584  
Short-term [2] 326,584
Long-term (Non- current portions) [2]
Chang Hwa Bank [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.43%  
Maturity March 2025  
Principal $ 501,170  
Short-term 501,170
Long-term (Non- current portions)
Chang Hwa Bank One [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.43%  
Maturity June 2025  
Principal $ 1,219,884  
Short-term 1,219,884
Long-term (Non- current portions)
Chang Hwa Bank Two [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.43%  
Maturity April 2025  
Principal $ 302,232  
Short-term 302,232
Long-term (Non- current portions)
Chang Hwa Bank Three [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.43%  
Maturity May 2025  
Principal $ 336,862  
Short-term 336,862
Long-term (Non- current portions)
Chang Hwa Bank Four [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate [4] 2.30%  
Maturity [4] January 2024  
Principal [4] $ 326,584  
Short-term [4] 326,584
Long-term (Non- current portions) [4]
Chang Hwa Bank Five [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate [4] 2.30%  
Maturity [4] February 2024  
Principal [4] $ 211,964  
Short-term [4] 211,964
Long-term (Non- current portions) [4]
Chang Hwa Bank Six [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate [4] 2.30%  
Maturity [4] March 2024  
Principal [4] $ 1,306,336  
Short-term [4] 1,306,336
Long-term (Non- current portions) [4]
CTBC BANK [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.60%  
Maturity December 2026  
Principal $ 914,913  
Short-term
Long-term (Non- current portions) $ 914,913
E.SUN BANK [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.62%  
Maturity March 2025  
Principal $ 1,372,370  
Short-term 1,372,370
Long-term (Non- current portions)
E.SUN BANK One [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.50%  
Maturity June 2024  
Principal $ 489,876  
Short-term 489,876
Long-term (Non- current portions)
E.SUN BANK Two [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.50%  
Maturity May 2024  
Principal $ 326,584  
Short-term 326,584
Long-term (Non- current portions)
First Bank [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate [3] 2.60%  
Maturity [3] January 2029  
Principal [3] $ 713,638  
Short-term [3] 167,835
Long-term (Non- current portions) [3] $ 545,803
First Bank One [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate [3] 2.60%  
Maturity [3] April 2029  
Principal [3] $ 377,849  
Short-term [3] 83,460
Long-term (Non- current portions) [3] $ 294,389
First Bank Two [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate [3] 2.60%  
Maturity [3] September 2029  
Principal [3] $ 798,546  
Short-term [3] 160,027
Long-term (Non- current portions) [3] $ 638,519
First Bank Three [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate [3] 2.20%  
Maturity [3] November 2025  
Principal [3] $ 914,913  
Short-term [3] 914,913
Long-term (Non- current portions) [3]
First Bank Four [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.08%  
Maturity November 2024  
Principal $ 979,752  
Short-term 979,752
Long-term (Non- current portions)
Hua Nan Bank [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.38%  
Maturity January 2025  
Principal $ 1,067,399  
Short-term 1,067,399
Long-term (Non- current portions)
Hua Nan Bank One [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.38%  
Maturity April 2025  
Principal $ 283,773  
Short-term 283,773
Long-term (Non- current portions)
Hua Nan Bank Two [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.20%  
Maturity April 2024  
Principal $ 326,584  
Short-term 326,584
Long-term (Non- current portions)
Hua Nan Bank Three [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.20%  
Maturity January 2024  
Principal $ 653,168  
Short-term 653,168
Long-term (Non- current portions)
Shin Kong Bank [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.21%  
Maturity June 2025  
Principal $ 97,150  
Short-term 97,150
Long-term (Non- current portions)
Taipei Fubon Bank [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.34%  
Maturity February 2025  
Principal $ 914,913  
Short-term 914,913
Long-term (Non- current portions)
Taipei Fubon Bank One [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.34%  
Maturity April 2025  
Principal $ 609,942  
Short-term 609,942
Long-term (Non- current portions)
Taipei Fubon Bank Two [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.34%  
Maturity March 2025  
Principal $ 76,097  
Short-term 76,097
Long-term (Non- current portions)
Taipei Fubon Bank Three [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.34%  
Maturity May 2025  
Principal $ 77,841  
Short-term 77,841
Long-term (Non- current portions)
Taipei Fubon Bank Four [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.34%  
Maturity June 2025  
Principal $ 158,987  
Short-term 158,987
Long-term (Non- current portions)
Taipei Fubon Bank Five [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.21%  
Maturity March 2024  
Principal $ 2,260,342  
Short-term 2,260,342
Long-term (Non- current portions)
Taipei Fubon Bank Six [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.21%  
Maturity June 2024  
Principal $ 179,408  
Short-term 179,408
Long-term (Non- current portions)
Taishin International Bank [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.61%  
Maturity February 2025  
Principal $ 914,913  
Short-term 914,913
Long-term (Non- current portions)
Taishin International Bank One [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.45%  
Maturity January 2024  
Principal $ 326,584  
Short-term 326,584
Long-term (Non- current portions)
Yuanta Bank [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 2.03%  
Maturity March 2025  
Principal $ 1,524,855  
Short-term 1,524,855
Long-term (Non- current portions)
Yuanta Bank One [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 1.82%  
Maturity January 2024  
Principal $ 1,241,019  
Short-term 1,241,019
Long-term (Non- current portions)
Yuanta Bank Two [Member]    
Schedule of Borrowings [Line Items]    
Annual Interest Rate 1.82%  
Maturity February 2024  
Principal $ 391,901  
Short-term 391,901
Long-term (Non- current portions)
[1] The loan is collateralized by the machinery of the Company for the years ended December 31, 2024 and 2023.
[2] The loan is collateralized by land and buildings of the Company for the years ended December 31, 2024 and 2023.
[3] The loan is secured by restricted cash of $203,779 for the year ended December 31 2024.
[4] The loan is secured by restricted cash of $401,110 for the year ended December 31 2023.