v3.25.4
Prepayments and other current assets (Tables)
3 Months Ended
Dec. 31, 2025
Prepayments And Other Current Assets  
Schedule of prepayment and other current assets

As of December 31, 2025 and September 30, 2025, prepayments and other current assets consisted of the following:

 

   December 31,
2025
   September 30,
2025
 
   (unaudited)     
Loan and Interest receivable  $4,957,096   $916,164 
Receivable from sales of equity investment   350,100    350,100 
Advance to suppliers   -    157,250 
Prepaid rent   92,000    48,000 
Prepaid insurance   -    34,028 
Prepaid for legal fee   24,649    24,649 
Deposits   24,000    24,000 
Advance to other service providers   517,500    - 
Other prepayments and current assets   -    13,250 
Total  $5,965,345   $1,567,441