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Loans and Borrowings (Details) - Schedule of classification and maturity of the convertible notes - USD ($)
Dec. 31, 2021
Dec. 31, 2020
Schedule of classification and maturity of the convertible notes [Abstract]    
Fair value through profit or loss $ 6,766,866
Amortized cost 13,805,436 5,968,969
Total of profit or loss 13,805,436 12,735,835
Current 13,805,436 7,629,743
Non-current 5,106,092
Total long-term liabilities $ 13,805,436 $ 12,735,835