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Schedule of Maturities Principal and Interest payments (Details) - USD ($)
Mar. 31, 2024
Mar. 31, 2023
Debt Disclosure [Abstract]    
2023
2024 3,914,321
2025 3,986,662 308,591
2026 405,957 308,591
2027 405,957 308,591
2028 405,957 308,591
2029 405,957 201,204
2030 405,957 71,911
2031 340,441 49,613
2032 283,173 49,613
2033 204,066 45,477
2034 103,973
2035 - 2044 922,351
Total bank borrowings repayments 7,870,451 5,566,503
Less: imputed interest (1,018,218) (244,385)
Total bank borrowings recognized in the Consolidated Balance Sheet $ 6,852,233 $ 5,322,118