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Cash Flow Information - Schedule of Changes in Liabilities Arising from Financing Activities (Details) - USD ($)
12 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2023
Schedule of Changes in Liabilities Arising from Financing Activities [Line Items]      
Beginning balance $ 449,145,709 $ 412,219,376 $ 236,311,237
Proceeds 403,333,190 187,994,310 255,185,822
Financing for assets acquisitions   1,863,254  
Prepayment Premium Fee 4,870,021    
Non-cash activities (9,667,949)    
Acquisition from business combination 19,608,629    
Decrease because of loss of control (263,095,494)    
Payments (380,033,708) (145,778,896) (38,457,281)
Conversion of Convertible Notes     (9,109,516)
Interest payment (28,088,688) (36,803,697) (25,639,013)
Exchange differences, currency translation differences and other financial results 50,690,926 29,651,362 (6,071,873)
Ending balance 246,762,636 449,145,709 412,219,376
Borrowings [Member]      
Schedule of Changes in Liabilities Arising from Financing Activities [Line Items]      
Beginning balance 361,759,056 332,446,307 211,426,056
Proceeds 403,333,190 187,994,310 200,185,822
Financing for assets acquisitions   743,279  
Prepayment Premium Fee    
Non-cash activities (7,886,442)    
Acquisition from business combination 1,348,173    
Decrease because of loss of control (157,926,152)    
Payments (376,998,320) (142,866,725) (35,308,664)
Conversion of Convertible Notes    
Interest payment (21,772,862) (32,631,369) (20,465,271)
Exchange differences, currency translation differences and other financial results 26,645,537 16,073,254 (23,391,636)
Ending balance 228,502,180 361,759,056 332,446,307
Consideration for acquisition [Member]      
Schedule of Changes in Liabilities Arising from Financing Activities [Line Items]      
Beginning balance 6,576,967 4,559,923 12,326,110
Proceeds
Financing for assets acquisitions   1,119,975  
Prepayment Premium Fee    
Non-cash activities (1,781,507)    
Acquisition from business combination    
Decrease because of loss of control (2,898,897)    
Payments (2,035,388) (2,912,171) (3,148,617)
Conversion of Convertible Notes    
Interest payment
Exchange differences, currency translation differences and other financial results 138,825 3,809,240 (4,617,570)
Ending balance 6,576,967 4,559,923
Convertible notes [Member]      
Schedule of Changes in Liabilities Arising from Financing Activities [Line Items]      
Beginning balance 80,809,686 75,213,146 12,559,071
Proceeds 55,000,000
Financing for assets acquisitions    
Prepayment Premium Fee 4,870,021    
Non-cash activities    
Acquisition from business combination 18,260,456    
Decrease because of loss of control (102,270,445)    
Payments (1,000,000)
Conversion of Convertible Notes     (9,109,516)
Interest payment (6,315,826) (4,172,328) (5,173,742)
Exchange differences, currency translation differences and other financial results 23,906,564 9,768,868 21,937,333
Ending balance $ 18,260,456 $ 80,809,686 $ 75,213,146