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Other Receivables and Other Current Assets (Tables)
12 Months Ended
Oct. 31, 2025
Other Receivables and Other Current Assets [Abstract]  
Schedule of Other Receivables and Other Current Assets

Other receivables and other current assets consisted of the following:

 

   October 31,
2025
   October 31,
2024
 
Deposit  $18,879   $26,935 
Other receivables   632,373    13,087 
VAT deductibles   45,863    140,944 
Export tax rebate receivable   39,818    75,639 
Cash advanced to employees   334,550    51,343 
Advances to suppliers   3,931,712    7,144,369 
Others   472    
 
Total prepayments and other current assets  $5,003,667   $7,452,317