v3.25.1
CONSOLIDATED STATEMENTS OF CASH FLOWS (Parenthetical) - USD ($)
6 Months Ended 12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Jun. 30, 2024
Non-cash movement      
Unrealized fair value loss $ (10,034,795) $ (3,782,355)  
Cash movement      
Financing cash flow - Proceed received from related parties (2,235,802)    
Lease liabilities      
A reconciliation of liabilities arising from financing activities      
Opening balance of liabilities arising from financing activities   284,038 $ 284,038
Non-cash movement      
Interest expense 2,005 3,355  
Additions 723,640    
Written off   (158,217)  
Cash movement      
Rental payment (10,761)    
Repayment of principal   (129,176)  
Closing balance of liabilities arising from financing activities 714,884    
Amount due to related parties      
A reconciliation of liabilities arising from financing activities      
Opening balance of liabilities arising from financing activities 39,908,903 24,669,407 24,669,407
Non-cash movement      
Interest expense 22,685 55,829  
Unrealized fair value loss 10,034,795 3,782,355  
Waiver of related parties loan (47,105,919)    
Amount due from/to related parties in digital asset-trade 7,602,367    
Cash movement      
Financing cash flow - Proceed received from related parties (483,089) (1,632,971)  
Closing balance of liabilities arising from financing activities $ 9,979,742 $ 26,874,620 $ 39,908,903