v3.26.1
Schedule of cash flows information (Details)
12 Months Ended
Dec. 31, 2025
USD ($)
Dec. 31, 2025
HKD ($)
Dec. 31, 2024
HKD ($)
Dec. 31, 2023
HKD ($)
IfrsStatementLineItems [Line Items]        
Cash and cash equivalents at beginning of the year $ 15,075,355 $ 117,336,010 $ 146,213,744 $ 196,296,774
Changes from financing cash flows        
Interest paid for bank loan (253,431) (1,972,532) (2,645,713) (2,863,104)
Interest paid for loan from related companies (13,888) (108,096) (1,950,246) (2,285,985)
Net cash generated from/(used in) financing activities 5,694,827 44,324,542 (76,834,451) (81,568,286)
Cash and cash equivalents at end of the year 18,978,470 147,715,125 117,336,010 146,213,744
Loan From Related Companies [Member]        
IfrsStatementLineItems [Line Items]        
Cash and cash equivalents at beginning of the year   43,682,831 53,873,328  
Changes from financing cash flows        
Payment of bank loan    
Interest paid for bank loan    
Payment of loan from related companies   (900,676) (10,190,497)  
Interest paid for loan from related companies   (108,096) (1,950,246)  
Payment of principal portion of lease liabilities    
Payment of interest portion of lease liabilities    
Net cash generated from/(used in) financing activities   (1,008,772) (12,140,743)  
Increase in lease liabilities from entering into new lease (Note 13)    
Decrease in lease liabilities from modification (Note 13)    
Interest on lease liabilities (Note 7)      
Written back on disposal      
Interest on bank loan (Note 7)    
Interest on bank loan (Note 7)      
Interest on loan from related companies (Note 7)     1,950,246  
Total other changes   1,587,422 1,950,246  
Proceed from loans from directors      
Interest on lease liabilities (Note 7)      
Interest on loan from related companies (Note 7)   1,587,422    
Interest on loans from directors (Note 7)      
Cash and cash equivalents at end of the year 5,686,724 44,261,481 43,682,831 53,873,328
Lease liabilities [member]        
IfrsStatementLineItems [Line Items]        
Cash and cash equivalents at beginning of the year   74,417,038 76,983,367  
Changes from financing cash flows        
Payment of bank loan    
Interest paid for bank loan    
Payment of loan from related companies    
Interest paid for loan from related companies    
Payment of principal portion of lease liabilities   (42,925,920) (48,883,789)  
Payment of interest portion of lease liabilities   (3,931,817) (5,594,836)  
Net cash generated from/(used in) financing activities   (46,857,737) (54,478,625)  
Increase in lease liabilities from entering into new lease (Note 13)   29,572,601 26,786,998  
Decrease in lease liabilities from modification (Note 13)   (1,012,044) 16,222,827  
Interest on lease liabilities (Note 7)     5,594,836  
Written back on disposal     3,307,941  
Interest on bank loan (Note 7)   (306)  
Interest on bank loan (Note 7)      
Interest on loan from related companies (Note 7)      
Total other changes   32,492,374 51,912,296  
Proceed from loans from directors      
Interest on lease liabilities (Note 7)   3,931,817    
Interest on loan from related companies (Note 7)      
Interest on loans from directors (Note 7)      
Cash and cash equivalents at end of the year 7,715,451 60,051,675 74,417,038 76,983,367
Bank loans [Member]        
IfrsStatementLineItems [Line Items]        
Cash and cash equivalents at beginning of the year   70,184,889 77,754,259  
Changes from financing cash flows        
Payment of bank loan   (8,023,653) (7,569,370)  
Interest paid for bank loan   (1,972,532) (2,645,713)  
Payment of loan from related companies    
Interest paid for loan from related companies    
Payment of principal portion of lease liabilities    
Payment of interest portion of lease liabilities    
Net cash generated from/(used in) financing activities   (9,996,185) (10,215,083)  
Increase in lease liabilities from entering into new lease (Note 13)    
Decrease in lease liabilities from modification (Note 13)    
Interest on lease liabilities (Note 7)      
Written back on disposal      
Interest on bank loan (Note 7)   1,972,532  
Interest on bank loan (Note 7)     2,645,713  
Interest on loan from related companies (Note 7)      
Total other changes   1,972,532 2,645,713  
Proceed from loans from directors      
Interest on lease liabilities (Note 7)      
Interest on loan from related companies (Note 7)      
Interest on loans from directors (Note 7)      
Cash and cash equivalents at end of the year 7,986,489 62,161,236 70,184,889 77,754,259
Loans from directors [member]        
IfrsStatementLineItems [Line Items]        
Cash and cash equivalents at beginning of the year    
Changes from financing cash flows        
Payment of bank loan    
Interest paid for bank loan    
Payment of loan from related companies    
Interest paid for loan from related companies    
Payment of principal portion of lease liabilities    
Payment of interest portion of lease liabilities    
Net cash generated from/(used in) financing activities   42,473,611  
Increase in lease liabilities from entering into new lease (Note 13)    
Decrease in lease liabilities from modification (Note 13)    
Interest on lease liabilities (Note 7)      
Written back on disposal      
Interest on bank loan (Note 7)    
Interest on bank loan (Note 7)      
Interest on loan from related companies (Note 7)      
Total other changes   2,213,330  
Proceed from loans from directors   42,473,611    
Interest on lease liabilities (Note 7)      
Interest on loan from related companies (Note 7)      
Interest on loans from directors (Note 7)   2,213,330    
Cash and cash equivalents at end of the year $ 5,741,388 $ 44,686,941