| OTHER ASSETS |
OTHER ASSETS | | | | | | | | | | | | | As of December 31, | | 2025 | | 2024 | | Non-financial assets | | | | | | | | | Prepaid expenses | $ | 4,223 | | | $ | 4,439 | | | Prepayments to suppliers | 1,240 | | | 1,039 | | | Input tax from business tax | 2,122 | | | 6,439 | | | Temporary payments for commodity tax | 2,339 | | | 3,742 | | | Prepayments for property, plant and equipment | 807 | | | 1,455 | | | Intangible assets | 428 | | | 229 | | | Current tax assets | 229 | | | 197 | | | Others | 73 | | | 4 | | | 11,461 | | | 17,544 | | | | | | | Financial assets | | | | | | | | | Refundable and restricted deposits | 8,665 | | | 14,035 | | | Others | 58 | | | 76 | | | 8,723 | | | 14,111 | | | | | | | $ | 20,184 | | | $ | 31,655 | | | | | | | Current | $ | 12,762 | | | $ | 23,727 | | | Non-current | 7,422 | | | 7,928 | | | $ | 20,184 | | | $ | 31,655 | | | | | | | Interest rates | | | | | Restricted time deposits | 0.68%-7.50% | | 0.68%-7.50% |
The following assets were provided as collaterals: | | | | | | | | | | | | | As of December 31, | | 2025 | | 2024 | | Demand deposits pledged for bank loans | $ | 2,685 | | | $ | 2,560 | | | Time deposits pledged for bank guarantees | 133 | | | 141 | | | Refundable deposits pledged for litigation | 85 | | | 3,149 | | | Refundable deposits for a government subsidy compliance program | 2,347 | | | 4,626 | | | | $ | 5,250 | | | $ | 10,476 | |
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