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Intangible Assets (Details) - Schedule of Intangible Assets - USD ($)
6 Months Ended
Jun. 30, 2023
Jun. 30, 2022
Cost    
Balance at beginning $ 7,657,621 $ 907,304
Acquisitions through business combinations   3,471,614
Additions 1,792,841 3,082,880
Exchange differences (433,045) (53,480)
Balance at ending 9,017,417 7,408,318
Transfer  
Accumulated amortization    
Balance at beginning 1,864,478 742,988
Acquisitions through business combinations   285,433
Amortization charged for the period 535,568 172,568
Exchange differences (337,096) (41,944)
Balance at ending 2,062,950 1,159,045
Net book value    
Net book value 6,954,467 6,249,273
Computer software [member]    
Cost    
Balance at beginning 887,745 907,304
Acquisitions through business combinations  
Additions 1,761
Exchange differences (17,419) (49,955)
Balance at ending 870,326 859,110
Transfer  
Accumulated amortization    
Balance at beginning 767,168 742,988
Acquisitions through business combinations  
Amortization charged for the period 26,139 25,290
Exchange differences (15,908) (41,944)
Balance at ending 777,399 726,334
Net book value    
Net book value 92,927 132,776
Right-of-use Platform [Member]    
Cost    
Balance at beginning 673,029
Acquisitions through business combinations   733,311
Additions
Exchange differences (31,974)
Balance at ending 641,055 733,311
Transfer  
Accumulated amortization    
Balance at beginning 50,477
Acquisitions through business combinations  
Amortization charged for the period 33,582 17,951
Exchange differences (3,927)  
Balance at ending 80,132 17,951
Net book value    
Net book value 560,923 715,360
Customer base [Member]    
Cost    
Balance at beginning 1,042,110
Acquisitions through business combinations   1,120,688
Additions  
Exchange differences (49,509)
Balance at ending 992,601 1,120,688
Transfer  
Accumulated amortization    
Balance at beginning 405,868
Acquisitions through business combinations  
Amortization charged for the period 201,013 129,327
Exchange differences (28,438)
Balance at ending 578,443 129,327
Net book value    
Net book value 414,158 991,361
Technical know-how [Member]    
Cost    
Balance at beginning 499,344
Acquisitions through business combinations   514,968
Additions
Exchange differences (23,723)
Balance at ending 475,621 514,968
Transfer  
Accumulated amortization    
Balance at beginning 28,405
Acquisitions through business combinations  
Amortization charged for the period 28,346
Exchange differences (2,641)
Balance at ending 54,110
Net book value    
Net book value 421,511 514,968
Security Surveillance system [Member]    
Cost    
Balance at beginning 1,360,898
Acquisitions through business combinations   1,102,647
Additions 195,087
Exchange differences (306,604)
Balance at ending 1,249,381 1,102,647
Transfer  
Accumulated amortization    
Balance at beginning 612,560
Acquisitions through business combinations   285,433
Amortization charged for the period 63,817
Exchange differences (286,182)
Balance at ending 390,195 285,433
Net book value    
Net book value 859,186 817,214
Assets under construction Cash Management Systems [Member]    
Cost    
Balance at beginning 194,495
Acquisitions through business combinations  
Additions 81,119
Exchange differences (3,816) (3,525)
Balance at ending 190,679 77,594
Transfer  
Accumulated amortization    
Balance at beginning
Acquisitions through business combinations  
Amortization charged for the period
Exchange differences
Balance at ending
Net book value    
Net book value 190,679 77,594
Assets under construction Intelligent Cloud Platform [Member]    
Cost    
Balance at beginning 3,000,000
Acquisitions through business combinations  
Additions 3,000,000
Exchange differences  
Balance at ending 178,118 3,000,000
Transfer (2,821,882)  
Accumulated amortization    
Balance at beginning
Acquisitions through business combinations  
Amortization charged for the period
Exchange differences
Balance at ending
Net book value    
Net book value 178,118 3,000,000
Intelligent Cloud Platforms [Member]    
Cost    
Balance at beginning
Acquisitions through business combinations  
Additions 1,597,754  
Exchange differences
Balance at ending 4,419,636
Transfer 2,821,882  
Accumulated amortization    
Balance at beginning
Acquisitions through business combinations  
Amortization charged for the period 182,671
Exchange differences
Balance at ending 182,671
Net book value    
Net book value $ 4,236,965