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Schedule of long term loans (Details) - USD ($)
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
IfrsStatementLineItems [Line Items]    
Loans $ 1,652,258 $ 1,037,768
Less: Current portion (624,620) (42,478)
Long-term bank loans 1,027,638 995,290
Long Term Bank Loans [member]    
IfrsStatementLineItems [Line Items]    
Loans $ 371,906 $ 42,478
Period and payment term Borrowing period is from September 01, 2023 to September 01, 2027; interest is repayable monthly; principal is repayable monthly Borrowing period is from March 16, 2022 to September 16, 2025; interest is repayable monthly; principal is repayable monthly
Collateral Restricted deposit Restricted deposit
Bank Loans [member]    
IfrsStatementLineItems [Line Items]    
Interest rate 2.22% 3.53%
Collateral Restricted demand deposit   Restricted time deposit   Guarantee / Third-party Collateral Restricted demand deposit   Restricted time deposit
Bank Loans One [member]    
IfrsStatementLineItems [Line Items]    
Loans $ 365,253 $ 559,115
Period and payment term Borrowing period is from September 06, 2024 to September 06, 2029; interest is repayable monthly; principal is repayable monthly Borrowing period is from September 01, 2023 to September 01, 2027; interest is repayable monthly; principal is repayable monthly
Interest rate 3.00% 2.22%
Collateral Restricted deposit Restricted deposit
Bank Loans Two [member]    
IfrsStatementLineItems [Line Items]    
Loans $ 332,058 $ 436,175
Period and payment term Borrowing period is from January 22, 2025 to January 22, 2028; interest is repayable monthly; principal is repayable monthly Borrowing period is from September 09, 2024 to August 06, 2029; interest is repayable monthly; principal is repayable monthly
Interest rate 2.46% 3.00%
Collateral Restricted deposit None
Bank loans three [member]    
IfrsStatementLineItems [Line Items]    
Loans $ 468,919  
Period and payment term Borrowing period is from March 31, 2025 to March 31, 2030; interest is repayable monthly; principal is repayable monthly after a 12-month grace period  
Interest rate 2.22%  
Collateral Restricted deposit  
Other loans unsecured [member]    
IfrsStatementLineItems [Line Items]    
Loans $ 114,122  
Period and payment term Borrowing period is from January 9, 2025 to July 10, 2026; interest is repayable monthly; principal is repayable monthly  
Interest rate 8.08%  
Collateral Guaranteed by the Chairman of the Board, Mr. Jing-Bin Chiang