v3.25.1
Consolidated Statements of Cash Flows - USD ($)
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Cash flows from operating activities      
Net income/(loss) $ 3,119,095 $ (7,439,280) $ 11,475,639
Net (loss)/income from discontinued operation, net of tax (288,542) (18,855,185) 2,720,360
Net income from continuing operation 3,407,637 11,415,905 8,755,279
Adjustment to reconcile net (loss)/income to net cash used in operating activities      
Depreciation and amortization 9,577 12,147 4,474
Amortization of operating lease right-of-use asset 9,726 34,398 52,888
(Reversal)/Allowance for doubtful accounts (1,224,026) (15,390,030) 27,469,288
Deferred tax expenses/(benefits) 772,605 3,677,894 (7,061,293)
Changes in operating assets and liabilities:      
Accounts receivable (9,269,454) 72,581,225 (84,856,875)
Inventories (27,172,200)
Advances to suppliers 1,872,507 4,370,651 (7,883,145)
Prepayment and other current assets (384,957) (3,148,581) (1,322,850)
Accounts payable (7,000,000) (44,431,668) 50,497,027
Accrued expenses and other payables 765,495 294,939 1,725,216
Income tax payable 1,552,412 394,138 14,360,136
Advances from customers (3,706,627) 3,697,928 (21,695,025)
Operating lease liabilities (8,738) (104,714) (53,604)
Net cash (used in)/provided by operating activities from continuing operations (40,376,043) 33,404,232 (20,008,484)
Net cash provided by/(used in) operating activities from discontinuing operations 47,487,469 (35,095,950) 2,666,216
Net cash provided by/(used in) operating activities 7,111,426 (1,691,718) (17,342,268)
Cash flows from investing activities      
Purchase of property and equipment (1,050)
Purchase of intangible asset (50,000)
Proceeds from disposal of property and equipment 2,433
Net cash provided by/(used in) investing activities from continuing operations 2,433 (1,050) (50,000)
Net cash provided by/(used in) investing activities from discontinuing operations 113,415 (9,658) (282,308)
Net cash provided by/(used in) investing activities 115,848 (10,708) (332,308)
Cash flows from financing activities      
Proceeds from related parties 962,000 4,384,975 10,000,000
Receipt of financing deposit 492,490
Repayments to related parties (8,021,693) (3,160,000) (2,000,000)
Net cash (used in)/provided by financing activities from continuing operations (7,059,693) 1,224,975 8,492,490
Net cash (used in)/provided by financing activities from discontinuing operations (182,558) 97,844 (1,486,746)
Net cash (used in)/provided by financing activities (7,242,251) 1,322,819 7,005,744
Effect of exchange rate changes on cash, cash equivalents and restricted cash (407,532) (2,092,354) (3,684,350)
Net change in cash, cash equivalents and restricted cash (422,509) (2,471,961) (14,353,182)
Cash, cash equivalents and restricted cash, beginning of period 1,601,479 4,073,440 18,426,622
Cash, cash equivalents and restricted cash, end of period 1,178,970 1,601,479 4,073,440
Less cash, cash equivalents and restricted cash of discontinued operations–end of period 8,506 51,393 28,188
Cash, cash equivalents and restricted cash of continuing operations–end of period 1,170,464 1,550,086 4,045,252
Reconciliation of cash, cash equivalents and restricted cash, beginning of the year      
Cash, cash equivalents 1,599,906 4,073,440 18,426,622
Restricted cash 1,573
Reconciliation of cash, cash equivalents and restricted cash, end of year      
Cash, cash equivalents 1,170,931 1,599,906 4,073,440
Restricted cash 8,039 1,573
Supplemental cash flow information      
Interest paid 6,938
Income taxes paid 709 156,842 218,121
Non-cash investing and financing activities      
Additions of ROU Assets $ 136,598 $ 416,013