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Variable Interest Entity (“VIE”) (Details) - Schedule of carrying amount of VIE's consolidated assets and liabilities - VIE’s [Member] - USD ($)
6 Months Ended 12 Months Ended
Jun. 30, 2022
Dec. 31, 2021
Variable Interest Entity (“VIE”) (Details) - Schedule of carrying amount of VIE's consolidated assets and liabilities [Line Items]    
Cash and cash equivalents $ 16,435 $ 67,966
Accounts receivable, net 1,210,601 2,660,566
Restricted cash 79,043 380,750
Inter-company Receivable 1,639,002 1,725,302
Other receivables 234,839 118,708
Inventories 4,765,264 4,244,869
Advances to suppliers 768,471 310,769
Other receivables-related parties 7,002,242 7,650,042
TOTAL CURRENT ASSETS 15,715,897 17,158,972
Plant and equipment, net 13,601,527 12,554,727
Intangible assets, net 2,623,954 2,795,048
Construction in progress, net 21,754 2,475,874
Deferred tax assets 404,097 425,374
Total Non-Current Assets 16,651,332 18,251,023
TOTAL ASSETS 32,367,229 35,409,995
Short-term bank loans 6,349,720 6,822,054
Accounts payable 3,406,835 3,558,827
Advance from customers 2,252,031 3,476,585
Other payables and accrued liabilities 3,107,250 3,305,395
Taxes payable 190,708 212,658
Deferred income 46,935 58,033
Long term payable-current portion   126,261
Other payables-related parties 4,013,939 3,958,409
Intercompany Payable 6,569,509 7,131,860
TOTAL CURRENT LIABILITIES 25,936,927 28,650,082
Long-term payables 591,060 222,687
TOTAL LIABILITIES 26,527,987 28,872,769
Paid-in capital 12,326,270 12,326,270
Statutory reserve 29,006 29,006
Accumulated deficit (5,741,943) (5,357,908)
Accumulated other comprehensive income (774,091) (460,142)
Total Equity 5,839,242 6,537,226
TOTAL LIABILITIES AND SHAREHOLDERS’ EQUITY $ 32,367,229 $ 35,409,995