v3.26.1
Leases - Schedule of Carrying Amount of Right-of-Use Assets (Details) - USD ($)
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Schedule of Carrying Amount of Right-of-Use Assets [Line Items]      
Balance beginning $ 743,807 $ 589,721  
Remeasurement on lease modifications 475,118 884,288  
Depreciation charge [1] (743,146) (712,003) $ (743,956)
Exchange realignment 24,591 (18,199)  
Balance ending 934,434 743,807 589,721
New lease for the year 434,064    
Office premises [Member]      
Schedule of Carrying Amount of Right-of-Use Assets [Line Items]      
Balance beginning 738,556 583,078  
Remeasurement on lease modifications 475,118 884,288  
Depreciation charge (740,856) (710,579)  
Exchange realignment 24,602 (18,231)  
Balance ending 928,658 738,556 583,078
New lease for the year 431,238    
Office equipment [Member]      
Schedule of Carrying Amount of Right-of-Use Assets [Line Items]      
Balance beginning 5,251 6,643  
Remeasurement on lease modifications  
Depreciation charge (2,290) (1,424)  
Exchange realignment (11) 32  
Balance ending 5,776 $ 5,251 $ 6,643
New lease for the year $ 2,826    
[1] For the year ended December 31, 2025, other than these depreciation, general, administrative and other operating expenses mainly include legal and professional fees of US$3,224,000, written off/impairment of intangible assets of US$1,193,246, insurance costs of US$734,593, investor relation costs of US$565,982 and other office and corporate cost.