9. OTHER NON-CURRENT ASSETS, NET Other non-current assets were comprised of the following: | | | December 31, 2025 | | | December 31, 2024 | | | Deposits (a) | | $ | 404,598 | | | $ | 423,511 | | | Deferred contract costs | | | 22,969,613 | | | | 982,039 | | | Others | | | 426,951 | | | | 1,432,719 | | | Less: Current expected credit losses | | | (49 | ) | | | - | | | Total | | $ | 23,801,113 | | | $ | 2,838,269 | | | (a) | The balance of deposits primarily consisted of the deposits made to a utility company related to our colocation services. The deposits are refundable upon expiration of the agreement. |
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