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SCHEDULE OF FAIR VALUE OF ASSETS AND LIABILITIES ACQUIRED (Details) - JHJ [Member]
Jan. 02, 2023
USD ($)
Restructuring Cost and Reserve [Line Items]  
Fair value of non-controlling interests $ 602,729
Fair value of previously held equity investment 604,318
Total identifiable net assets 1,207,047
Recognized value of 100% of identifiable net assets (1,207,047)
Goodwill Recognized
Inventories 505,226
Cash and cash equivalents 50,346
Trade and other receivables 952,384
Advanced deposit 672,597
Net fixed assets 6,704
Intangible asset and Goodwill 10,905
Trade and other payables (1,021,897)
Advanced payments (5,317)
Salaries and wages payables (4,692)
Other receivable $ 40,791