v3.26.1
Organization and Nature of Operations - Schedule of Consolidated Financial Information of the VIE and VIE’s Subsidiaries (Details) - Variable Interest Entity, Primary Beneficiary [Member] - USD ($)
Dec. 31, 2025
Dec. 31, 2024
Current assets:    
Cash and cash equivalents $ 1,762,954 $ 857,212
Restricted cash 74,018 15,070
Accounts receivable, net 9,273,016 5,809,374
Notes receivable 1,041,185 522,331
Inventories 2,463,460 2,674,001
Due from parent company 981,294 940,130
Prepayments and other current assets 1,064,084 2,004,889
Total current assets 17,016,567 12,823,007
Non-current assets    
Property, plant and equipment, net 12,292,214 10,385,742
Prepayments for purchase of Yingxuan Assets 4,951,021 5,339,093
Intangible assets, net 4,498,986 4,432,403
Deferred tax assets, net 47,781 40,773
Total Assets 38,806,569 33,021,018
Current liabilities    
Short term loans 11,515,024 6,079,252
Accounts payable 1,876,141 1,380,201
Income tax payable 174,598 34,427
Accrued expenses and other payables 739,532 638,610
Total current liabilities 14,309,502 8,153,736
Non-current liabilities    
Long-term bank loans 3,305,209
Total Liabilities 22,546,674 19,365,587
Net Assets 16,259,895 13,655,431
Related Party [Member]    
Current assets:    
Due from related parties 356,556
Current liabilities    
Due to related parties 4,207 21,246
Non-current liabilities    
Due to related parties $ 8,237,172 $ 7,906,642