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CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS (Unaudited) - USD ($)
3 Months Ended 9 Months Ended
Sep. 30, 2023
Sep. 30, 2022
Sep. 30, 2023
Sep. 30, 2022
CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS (Unaudited)        
REVENUE $ 2,553,686 $ 2,575,086 $ 7,497,739 $ 8,089,132
COST OF REVENUE 2,199,354 2,275,587 6,434,796 7,169,329
GROSS PROFIT 354,332 299,499 1,062,943 919,803
OTHER INCOME 199,284 54,110 511,792 153,340
OPERATING EXPENSES        
General and administrative (3,082,128) (418,824) (4,426,077) (1,241,631)
LOSS FROM OPERATIONS (2,528,512) (65,215) (2,851,342) (168,488)
FINANCE COSTS (4,259) (2,072) (9,746) (7,717)
LOSS BEFORE TAX (2,532,771) (67,287) (2,861,088) (176,205)
Tax expense (76,418) (10,114) (76,418) (22,792)
NET LOSS (2,609,189) (77,401) (2,937,506) (198,997)
Other comprehensive income:        
Foreign currency translation loss (18,603) (320,592) (391,533) (707,128)
COMPREHENSIVE LOSS $ (2,627,792) $ (397,993) $ (3,329,039) $ (906,125)
Earnings per share - Basic and diluted $ (0.157) $ (0.028) $ (0.218) $ (0.063)
Weighted average shares outstanding and per share amount have been adjusted for the periods shown to reflect the 12-for-1 reverse stock split effected on July 20, 2023, on a retroactive basis as described in Note 10. 16,774,370 14,476,513 15,250,883 14,409,733