v3.25.1
Supplemental Cash Flow Information
12 Months Ended
Dec. 31, 2024
Supplemental Cash Flow Information [Abstract]  
Supplemental cash flow information
35. Supplemental cash flow information

 

Investing activities with partial cash payments:

 

   Year ended
December 31,
2024
   Year ended
December 31,
2023
   Year ended
December 31,
2022
 
Purchase of property and equipment  $522,835   $237,564   $2,886,753 
Add: Opening balance of payable on equipment   19,724    79,517    128,013 
Less: Ending balance of payable on equipment   
-
    (19,724)   (79,517)
Cash paid during the year  $542,559   $297,357   $2,935,249 

 

   Year ended
December 31,
2024
   Year ended
December 31,
2023
   Year ended
December 31,
2022
 
Acquisition of intangible assets  $42,838   $6,538,446   $73,093 
Add: Opening balance of payable on intangible assets   3,020,475    
-
    727,060 
Less: Reversal of payable on intangible assets   (2,150,000)   
-
    (727,060)
Less: Ending balance of payable on intangible assets   
-
    (3,020,475)   
-
 
Cash paid during the year  $913,313   $3,517,971   $73,093