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Schedule of changes in liabilities from financing activities (Details) - USD ($)
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
IfrsStatementLineItems [Line Items]      
Net cash flow from financing activities $ 6,585,892 $ 1,410,473 $ (780,437)
Effect of foreign exchange rate changes (22,669) (5,357)  
Short-term borrowings [member]      
IfrsStatementLineItems [Line Items]      
January 1 8,999,751 6,964,927 6,328,892
Net cash flow from financing activities 2,034,824
Proceeds from short-term loans from a related party 8,249,052    
Payments on short-term loans (5,868,457)    
Proceeds from long-term loans 636,035
Payments on long-term loans
Exchange adjustment    
Effect of foreign exchange rate changes (389,742)  
Changes from other activities
December 31 10,990,604 8,999,751 6,964,927
Long-term borrowings [member]      
IfrsStatementLineItems [Line Items]      
January 1 1,037,768 980,200 1,223,636
Net cash flow from financing activities (176,487)
Proceeds from short-term loans from a related party    
Payments on short-term loans    
Proceeds from long-term loans 1,070,449 482,284
Payments on long-term loans (411,018) (421,063) 642,467
Exchange adjustment    
Effect of foreign exchange rate changes (44,941) (3,653)  
Changes from other activities (709,416)
December 31 1,652,258 1,037,768 980,200
Lease liabilities [member]      
IfrsStatementLineItems [Line Items]      
January 1 163,775 105,745 4,491,496
Net cash flow from financing activities (180,327) (205,321) (4,261,578)
Proceeds from short-term loans from a related party    
Payments on short-term loans    
Proceeds from long-term loans (206,147)
Payments on long-term loans
Exchange adjustment     81,974
Effect of foreign exchange rate changes (7,092) (26,426)  
Changes from other activities 105,722 289,777
December 31 82,078 163,775 105,745
Total Liabilities From Financing Activities [member]      
IfrsStatementLineItems [Line Items]      
January 1 10,201,294 8,050,872 12,044,024
Net cash flow from financing activities (180,327) 1,829,503 (4,438,065)
Proceeds from short-term loans from a related party 8,249,052    
Payments on short-term loans (5,868,457)    
Proceeds from long-term loans 1,070,449 482,284 429,888
Payments on long-term loans (411,018) (421,063) 642,467
Exchange adjustment     81,974
Effect of foreign exchange rate changes (441,775) (30,079)  
Changes from other activities 105,722 289,777 (709,416)
December 31 $ 12,724,940 $ 10,201,294 $ 8,050,872