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Variable Interest Entities - Schedule of VIEs Consolidated Financial Statements (Details) - VIEs [Member] - USD ($)
3 Months Ended 6 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2024
Dec. 31, 2023
Jun. 30, 2024
Current assets          
Cash and cash equivalents $ 545,600   $ 545,600   $ 668,213
Accounts receivable, net 485,230   485,230   451,599
Inventories 25,409,697   25,409,697   24,739,437
Inter co trans 4,659,363   4,659,363   2,062,500
Other current assets 114,053   114,053   98,636
Total current assets 31,213,943   31,213,943   28,020,385
Non-current assets          
Plant, property and equipment, net 5,263,821   5,263,821   5,437,909
Intangible assets, net 6,953,111   6,953,111   7,077,589
Other non-current assets    
Total non-current assets 12,216,932   12,216,932   12,515,498
Total assets 43,430,875   43,430,875   40,535,883
Current liabilities          
Accounts payable 12,442   12,442   12,485
Customer deposits 30,182   30,182   19,609
Accrued expenses and other payables 208,523   208,523   201,229
Short-term loan 479,605   479,605   206,250
Total current liabilities 41,160,647   41,160,647   40,951,215
Non-current liabilities          
Long-term loan 4,213,673   4,213,673   1,856,250
Total non-current liabilities 4,213,673   4,213,673   1,856,250
Total liabilities 45,374,320   45,374,320   42,807,465
Stockholders’ equity (1,943,445)   (1,943,445)   (2,271,582)
Total liabilities and stockholders’ equity 43,430,875   43,430,875   40,535,883
Revenue 2,412,651 $ 2,452,187 4,753,094 $ 4,794,904  
Expenses 2,309,628 3,750,478 4,427,249 5,938,924  
Net income (loss) 103,022 $ (1,298,291) 325,845 $ (1,144,020)  
Related Party [Member]          
Current liabilities          
Amount due to related parties $ 40,429,895   $ 40,429,895   $ 40,511,642