v3.25.2
VARIABLE INTEREST ENTITY (“VIE”) (Tables)
6 Months Ended
Jun. 30, 2025
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
SCHEDULE OF VARIABLE INTEREST ENTITY

The carrying amount of the VIE’s assets and liabilities were as follows:

 

  

June 30,

2025

  

December 31,

2024

 
   As of 
  

June 30,

2025

  

December 31,

2024

 
         
Current assets:          
Cash  $590   $1,139 
Prepayment and deposits   -    7 
Total current assets  $590   $1,146 
           
Current liabilities:          
Other payables and accrued liabilities  $1,278   $1,478 
Total current liabilities  $1,278   $1,478 
           
Net deficit  $(688)  $(332)

 

The summarized operating results of the VIE’s are as follows:

 

   2025   2024   2025   2024 
   For the three months ended
June 30,
  

For the six months ended

June 30,

 
   2025   2024   2025   2024 
                 
Operating revenues  $-   $-   $-   $- 
Gross profit  $-   $-   $-   $- 
Loss from operations  $(42)  $(425)  $(328)  $(689)
Net loss  $(42)  $(425)  $(328)  $(689)