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SCHEDULE OF CASH FLOWS OF DISPOSAL GROUP (Details) - USD ($)
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]      
Net cash generated from (used in) operating activities $ 984,591 $ (3,010,558) $ (5,693,128)
Net cash used in investing activities (145,650) (548,931)
Net cash generated from financing activities 160,976 2,793,337 6,369,570
Provision for inventory 277,780 483,992 184,713
Depreciation and amortization expense 55,239 1,713,096 1,385,840
Impairment of property, plant and equipment 526,793 10,350,589
Amortization of operating and finance right-of-use assets 1,606,330 1,582,452 1,607,292
(Gain) loss on disposals of property, plant and equipment (366,708) 52,220
(Reversal from) provision for warranty liability (30,725) (674,122) 42,176
Purchase of property, plant and equipment (160,911) (976) (548,931)
Placement of long-term investments (7,000,000)
Repayment of bank borrowings (706,108)
Capital injection from share capital shareholders 1,054 4,236,649
Proceeds from borrowings from related parties 1,497,472 13,897 564,887
Proceeds from borrowings from third parties 2,933,947 4,350,790 2,010,327
Repayments of borrowings to third parties (1,333,264) (526,703) (475,632)
Proceed from loan payable with pledged assets 985,929
Repayments of loan payable with pledged assets (243,200) (246,482)
Discontinued Operations [Member]      
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]      
Reversal (provision) for losses on accounts receivable 425,124 2,763,188 (301,002)
Provision for inventory 277,780 483,992 184,713
Depreciation and amortization expense 11,387 1,713,096 1,385,840
Impairment of property, plant and equipment 526,793 10,350,589
Amortization of operating and finance right-of-use assets 1,579,611 1,582,452 1,607,292
(Gain) loss on disposals of property, plant and equipment (366,708) 52,220
(Reversal from) provision for warranty liability (112,864) (674,122) 42,176
Purchase of property, plant and equipment (548,931)
Placement of long-term investments (145,650)
Repayment of bank borrowings (706,108)
Capital injection from share capital shareholders 4,236,649
Proceeds from borrowings from related parties 117,076 13,897 564,887
Proceeds from borrowings from third parties 43,900 3,549,343 2,010,327
Repayments of borrowings to third parties (526,703) (475,632)
Proceed from loan payable with pledged assets 985,929
Repayments of loan payable with pledged assets $ (243,200) $ (246,482)