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PREPAYMENT AND OTHER CURRENT ASSETS (Details) - USD ($)
1 Months Ended
Jan. 31, 2024
Dec. 31, 2024
Dec. 31, 2023
PREPAYMENT AND OTHER CURRENT ASSETS [Abstract]      
Advance to suppliers   $ 13,435,558 $ 12,579,554
Deductible input value added tax   5,284,726 6,238,040
Receivable from a third party [1]   0 1,000,000
Others   390,617 573,556
Total prepayment and other current assets   19,110,901 20,391,150
Less: prepayment and other current assets, held for discontinued operations   (1,035,486) (1,073,346)
Prepayment and other current assets, held for continuing operations   $ 18,075,415 $ 19,317,804
PREPAYMENT AND OTHER CURRENT ASSETS [Abstract]      
Proceeds from third party $ 1,000,000    
[1] Receivable from a third party represented the redemption receivable of equity investment in Micro Money Fund SPC. The Company redeemed the investment of $1,000,000 in November 2023 and received the payment in January 2024.