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PREPAYMENT AND OTHER CURRENT ASSETS, NET - Prepayment and Other Current Assets (Details) - USD ($)
Dec. 31, 2025
Dec. 31, 2024
PREPAYMENT AND OTHER CURRENT ASSETS, NET [Abstract]    
Advance to suppliers $ 9,034,026 $ 13,435,558
Deductible input value added tax 6,303,559 5,284,726
Loans to a third party [1] 1,353,975 0
Others 1,050,703 1,087,315
Less: provision for credit losses (1,514,639) (696,698)
Prepayment and other current assets, net 16,227,624 19,110,901
Less: prepayment and other current assets, net, held for discontinued operations (1,214,361) (1,035,486)
Prepayment and other current assets, net, held for continuing operations $ 15,013,263 $ 18,075,415
[1] Loans to a third party mainly represent amounts due from Cenntro Electric CICS, S.R.L. that were reclassified as loans to a third party following the loss of control of Cenntro Electric CICS, S.R.L. in April 2025. Upon deconsolidation, the outstanding receivable balances were no longer eliminated in consolidation and were therefore presented as loans to a third party. These loans are unsecured, non-interest bearing and repayable on demand. The Company assesses the collectability of such balances and records an allowance for expected credit losses in accordance with ASC 326.