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Business Combination (Details) - Schedule of the Fair Value of the Identifiable Assets and Liabilities
Dec. 31, 2023
USD ($)
Schedule Of The Fair Value Of The Identifiable Assets And Liabilities Abstract  
Cash $ 233,407
Accounts receivable 605,579
Biological assets 200,457
Inventory 904,006
Prepayments 179,597
Intangible assets 24,665,772
Property, plant and equipment, net 12,936,374
Trade and other payables (3,775,599)
Loans and borrowing (4,058,030)
Net assets acquired $ 31,891,563