v3.25.2
Consolidated Statements of Changes in Equity - USD ($)
Ordinary shares
Additional paid- in capital
Shares to be issued
Treasury shares
Statutory reserves
Other reserves
Accumulated deficit
Accumulated other comprehensive (loss) income
Non-controlling interests
Total
Balances at Mar. 31, 2022 $ 2,360 $ 26,483,470   $ 589,659 $ 6,063,086 $ (20,382,304) $ 34,771 $ 1,410,630 $ 14,201,672
Balances (in Shares) at Mar. 31, 2022 23,598,371                
(Loss) profit for the year   (20,556,669) 389,318 (20,167,351)
Issue share purchase warrants   10,176,995 10,176,995
Shares issued on private placement $ 330 3,299,670   3,300,000
Shares issued on private placement (in Shares) 3,300,000                  
Ordinary shares issued under employee plans $ 165 911,835   (912,000)  
Ordinary shares issued under employee plans (in Shares) 1,650,000                  
Acquisition of non-controlling interests $ 250 2,369,058   (2,369,308)
Acquisition of non-controlling interests (in Shares) 2,500,000                  
Equity-settled share-based payments under share award scheme     1,045,315   1,045,315
Disposal of subsidiaries   (589,659) 589,659 569,360 569,360
Share repurchase   (353,816)
Share repurchase (in Shares)       (353,816)            
Deregistration of subsidiary   103,440 103,440
Cumulative translation adjustment   (279,484) (279,484)
Balances at Mar. 31, 2023 $ 3,105 33,064,033   16,373,396 (40,245,874) (244,713)   8,596,131
Balances (in Shares) at Mar. 31, 2023 31,048,371     (353,816)            
(Loss) profit for the year   (3,679,409)   (3,679,409)
Issue share purchase warrants   6,459,251   6,459,251
Shares issued on private placement $ 455 4,838,241     4,838,696
Shares issued on private placement (in Shares) 4,550,000                  
Ordinary shares issued under employee plans $ 165 753,520   (753,685)    
Ordinary shares issued under employee plans (in Shares) 1,650,000                  
Equity-settled share-based payments under share award scheme   753,685   753,685
Share repurchase     (82,127)
Share repurchase (in Shares)       (82,127)            
Cumulative translation adjustment   (35,052)   (35,052)
Balances at Mar. 31, 2024 $ 3,725 38,655,794   22,832,647 (43,925,283) (279,765)   16,851,175
Balances (in Shares) at Mar. 31, 2024 37,248,371     (435,943)            
(Loss) profit for the year         15,894,755     15,894,755
Issue share purchase warrants       1,680,038       1,680,038
Shares issued on private placement $ 225 2,249,775           2,250,000
Shares issued on private placement (in Shares) 2,250,000                  
Cumulative translation adjustment           (117,439)   (117,439)
Balances at Mar. 31, 2025 $ 3,950 $ 40,905,569   $ 24,512,685 $ (28,030,528) $ (397,204)   $ 36,558,529
Balances (in Shares) at Mar. 31, 2025 39,498,371     (435,943)