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Prepayment, Deposit and Other Receivable – Third Party - Schedule of Prepayment, Deposit and Other Receivable – Third Party (Details) - USD ($)
Dec. 31, 2025
Jun. 30, 2025
Prepayment, Deposit and Other Receivable – Third Party [Line Items]    
Prepayment and other deposits [1] $ 3,747,303 $ 282,704
Rent deposits 271,486 271,207
Advance to suppliers [2] 2,873,260
Ending balance 6,892,049 553,911
Less: non-current portion (98,927) (103,934)
Third Parties [Member]    
Prepayment, Deposit and Other Receivable – Third Party [Line Items]    
Current portion $ 6,793,122 $ 449,977
[1] The Company entered several consulting agreements with third parties and issued shares for the services to be provided from July 2025 to December 2026. As of December 31, 2025, balance mainly represented the prepaid consulting services of $3.5 million.
[2] The Company entered a purchase agreement with a third party to purchase $2.9 million steel bar on September 15, 2025. As of December 31, 2025, $2.9 million has been paid to the supplier and the delivery is expected to be completed within 180 days after the prepayment.