v3.26.1
OTHER (LOSSES)/GAINS INCLUDING FAIR VALUE CHANGES ON FINANCIAL INSTRUMENTS - NET (Tables)
12 Months Ended
Dec. 31, 2025
Other Lossesgains Including Fair Value Changes On Financial Instruments - Net  
SCHEDULE OF OTHER (LOSSES)/GAINS - NET

 

   2023   2024   2025 
   S$   S$   S$ 
             
Fair value losses on convertible loans   (98,754)   -    - 
Foreign currency exchange (loss)/gain - net   (170,311)   159,253    (132,291)
Written off of intangible asset   -    -    (5,350)
Written off of property, plant and equipment   -    -    (3,158)
Gain on disposal of investment in an associate   -    -    294,236 
Fair value on warrant liabilities at inception date (Note 14)   (112,214)   -    - 
Fair value changes on warrant liabilities (Note 14)   (111,631)   138,292    (13,119)
Total   (492,910)   297,545    140,318