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OPERATING RISK (Details)
12 Months Ended
Sep. 30, 2024
OPERATING RISK  
Borrowing interest rate 6.00%
Customer concentration risk | Revenue | First largest customer  
OPERATING RISK  
Concentration risk percentage 36.40%
Customer concentration risk | Revenue | Second largest customer  
OPERATING RISK  
Concentration risk percentage 17.70%
Supplier concentration risk | Revenue | First largest supplier  
OPERATING RISK  
Concentration risk percentage 14.00%
Supplier concentration risk | Revenue | Second largest supplier  
OPERATING RISK  
Concentration risk percentage 8.00%