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Variable interest entity (Tables)
9 Months Ended
Mar. 31, 2022
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Carrying amount of VIE assets and liabilities
          
   March 31,
2022
   June 30,
2021
 
Cash in bank  $730,227   $ 
Prepayments and other receivables  $1,289,406   $ 
Office equipment, net  $52,142   $ 
Right of use - noncurrent  $156,706     
Advance from shareholders  $97,476   $ 
Lease liability  $161,401     
Income tax payable  $119,291   $ 
Other payables  $147,010   $ 
Operating results of the VIE
     
   March 31, 2022 
Revenue  $ 
Net loss  $650,194