v3.26.1
OTHER ASSETS
12 Months Ended
Dec. 31, 2025
Disclosure of financial assets [abstract]  
OTHER ASSETS OTHER ASSETS
As of December 31,
20252024
Non-financial assets
Prepaid expenses$4,223 $4,439 
Prepayments to suppliers1,240 1,039 
Input tax from business tax2,122 6,439 
Temporary payments for commodity tax2,339 3,742 
Prepayments for property, plant and equipment807 1,455 
Intangible assets428 229 
Current tax assets229 197 
Others73 
11,461 17,544 
Financial assets
Refundable and restricted deposits8,665 14,035 
Others58 76 
8,723 14,111 
$20,184 $31,655 
Current$12,762 $23,727 
Non-current7,422 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,
20252024
Demand deposits pledged for bank loans$2,685 $2,560 
Time deposits pledged for bank guarantees133 141 
Refundable deposits pledged for litigation85 3,149 
Refundable deposits for a government subsidy compliance program2,347 4,626 
 $5,250 $10,476