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Organization and Business Description (Tables)
6 Months Ended
Jun. 30, 2025
Organization and Business Description [Abstract]  
Schedule of Subsidiaries and Variable Interest Entities

The unaudited condensed consolidated financial statements reflect the activities of the Company and each of the following entities:

 

Name     Date of
Incorporation
  Place of
incorporation
  Percentage of
effective
ownership
  Principal
Activities
Subsidiaries                
Global Mentor Board Information Technology Limited (“GMB HK”)   March 22, 2019   HK   100%     Holding company
Beijing Mentor Board Union Information Technology Co, Ltd. (“GIOP BJ”)     June 3, 2019   PRC   100%     Holding company of GIOP BJ
Shidong Cloud (Beijing) Education Technology Co., Ltd (“Shidong Cloud”)     December 22, 2021   PRC   75%     Educational consulting
SDH (HK) New Energy Tech Co., Ltd. (“SDH New Energy”)     October 8, 2021   HK   100%     Holding company
Zhuhai (Zibo) Investment Co., Ltd. (“Zhuhai Zibo”)     October 15, 2021   PRC   100%     New energy investment
Zhuhai (Guizhou) New Energy Investment Co., Ltd. (“Zhuhai Guizhou”)     November 23, 2021   PRC   100%     New energy investment
Sunrise (Guizhou) New Energy Materials Co., Ltd.  (“Sunrise Guizhou”)     November 8, 2021   PRC   39.35% by the Company, and 1.45% by the VIE     Manufacture of lithium battery materials
Guizhou Sunrise Technology Co., Ltd. (“Sunrise Tech”)     September 1, 2011, acquired through an asset acquisition on July 7, 2022   PRC   39.35% by the Company, and 1.45% by the VIE     Manufacture of lithium battery materials
Sunrise (Guxian) New Energy Materials Co., Ltd. (“Sunrise Guxian”)     April 26, 2022   PRC   20.07% by the Company, and 0.74% by the VIE     Manufacture of lithium battery materials
Guizhou Sunrise Technology Innovation Research Co., Ltd. (“Innovation Research”)     December 13, 2022   PRC   39.35% by the Company, and 1.45% by the VIE     Research and development
Shenzhen Sunrise Yitan New Energy Technology Co., Ltd. (“Sunrise Yitan”)     June 24, 2024   PRC   25.58% by the Company, and 0.94% by the VIE     Research and development of Sodium-ion battery
Shenzhen Sunrise Suiyuan New Materials Technology Co., Ltd. (“Sunrise Suiyuan”)     June 24, 2024   PRC   25.58% by the Company, and 0.94% by the VIE     Research and development of silicon carbon battery
Guizhou Chenhui Trading Co., Ltd. (“Sunrise Chenhui”)     March 25, 2024   PRC    39.35% by the Company, and 1.45% by the VIE     Sales of lithium battery materials
Guizhou Yihui New Energy Co., Ltd.       October 10, 2024   PRC   39.35% by the Company, and 1.45% by the VIE     Sales of lithium battery materials
Sunrise Anhui New Energy Materials Co., Ltd.       January 21, 2025   PRC   39.35% by the Company, and 1.45% by the VIE     Production of lithium battery materials
Variable Interest Entity (“VIE”) and subsidiaries of VIE                  
Global Mentor Board (Zibo) Information Technology Co., Ltd. (“SDH” or “VIE”)     December 5, 2014   PRC   The VIE     Knowledge sharing and enterprise service platform provider
Global Mentor Board (Hangzhou) Technology Co., Ltd. (“GMB (Hangzhou)”)     November 1, 2017   PRC   100% by the VIE     Consulting, training and tailored services provider
Global Mentor Board (Shanghai) Enterprise Management Consulting Co., Ltd. (“GMB Consulting”)     June 30, 2017   PRC   51% by the VIE     Consulting services provider
Shanghai Voice of Seedling Cultural Media Co., Ltd. (“GMB Culture”)     June 22, 2017   PRC   51% by the VIE     Cultural and artistic exchanges and planning, conference services provider
Shidong (Beijing) Information Technology Co., LTD. (“GMB (Beijing)”)     June 19, 2018   PRC   51% by the VIE     Information technology services provider
Mentor Board Voice of Seeding (Shanghai) Cultural Technology Co., Ltd. (“GMB Technology”)     August 29, 2018   PRC   30.6% by the VIE     Technical services provider
Shidong Zibo Digital Technology Co., Ltd. (“Zibo Shidong”)     October 16, 2020   PRC   100% by the VIE     Technical services provider
Beijing Mentor Board Health Technology Co., Ltd (“GMB Health”)     January 7, 2022   PRC   100% by the VIE     Health services
Shidong Yike (Beijing) Technology Co., Ltd. (“Shidong Yike”)     July 16, 2021   PRC   100% by the VIE     Health services
Guizhou Yuanneng Zhihui Enterprise Management Partnership Enterprise (Limited Partnership) (“Guizhou Yuanneng”)     April 1, 2024   PRC   94% by the VIE     Holding company
Schedule of Financial Statements of the VIE and VIE’s subsidiaries

The following financial statements of the VIE and the VIE’s subsidiaries were included in the Company’s unaudited condensed consolidated financial statements as of June 30, 2025 and December 31, 2024 and for the six months ended June 30, 2025 and 2024:

 

   As of
June 30,
2025
   As of
December 31,
2024
 
         
Cash and cash equivalents  $325,244   $176,235 
Accounts receivable, net   78,831    232,652 
Notes receivable   -    1,933 
Inventories   9,341    4,658 
Due from related parties   328,047    385,537 
Prepaid expenses and other current assets   1,948,799    526,676 
Total current assets   2,690,262    1,327,691 
           
Long term prepayments and other non-current assets   2,411,324    2,440,004 
Plant, property and equipment, net   20,890    23,539 
Intangible assets, net   2,094,050    2,007,957 
Total non-current assets   4,526,264    4,471,500 
           
Total assets  $7,216,526   $5,799,191 
           
Accounts payable  $1,851,075   $2,744,054 
Deferred revenue   996,202    1,763,831 
Deferred government subsidy   2,791,892    2,739,989 
Income taxes payable   497,860    488,626 
Due to related parties   159,537    170,270 
Accrued expenses and other current liabilities   330,808    357,733 
Total current liabilities   6,627,374    8,264,503 
           
Total liabilities  $6,627,374   $8,264,503 
Schedule of Income Statement
   For the six months ended
June 30,
 
   2025   2024 
         
Revenues, net  $57,867   $552,452 
Net loss  $(1,454,221)  $(2,076,040)
Schedule of Cash Flow
   For the six months ended
June 30,
 
   2025   2024 
         
Net cash provided by (used in) operating activities  $533,959   $(400,179)
Net cash (used in) provided by investing activities  $(777,652)  $640,342 
Net cash provided by (used in) financing activities  $261,975   $(132,779)