v3.26.1
UNAUDITED CONDENSED CONSOLIDATED BALANCE SHEETS - USD ($)
Sep. 30, 2025
Mar. 31, 2025
Mar. 31, 2024
CURRENT ASSETS:      
Cash and cash equivalents $ 4,004,126 $ 7,600,300 $ 5,362,101
Restricted cash 140 138 0
Short-term investments 1,989,712 3,094,208 1,131,267
Inventories, net 2,254,471 1,800,020 1,963,166
Due from related parties 3,418,847 3,197,017 366,761
Long-term accounts receivable, net - current portion 84,279 82,681 0
Long-term other receivable, net - current portion 64,383 89,050 0
Finance receivables, net - current portion 55,328 70,801 100,564
Prepaid expenses and other current assets, net 1,941,725 1,363,793 1,923,001
TOTAL CURRENT ASSETS 21,524,230 22,971,221 18,073,568
Property and equipment, net 379,438 385,415 599,831
Right-of-use assets, net 377,626 434,188 346,995
Deferred tax assets, net 6,375 5,613 47,585
Long-term accounts receivable, net - non-current portion   0 197,005
Long-term other receivable, net - non-current portion 414,589 591,803 0
Finance receivables, net - non-current portion 41,724 46,852 96,961
Other non-current assets, net 211,371 374,201 324,723
TOTAL NONCURRENT ASSETS 1,431,123 1,838,072 1,613,100
TOTAL ASSETS 22,955,353 24,809,293 19,686,668
CURRENT LIABILITIES:      
Short-term bank loan 140,445 137,781 0
Convertible note payable 1,769,482 2,391,945 0
Derivative liability 293,641 2,032,530 0
Deferred revenue 1,092,527 999,182 598,661
Payroll payable 327,940 294,669 233,556
Taxes payable 240,324 218,342 268,710
Accrued expenses and other current liabilities 131,355 233,883 105,159
Deferred tax liabilities 5,843 6,964 78
Operating lease liabilities - current portion 292,072 275,213 248,562
TOTAL CURRENT LIABILITIES 6,073,389 7,866,443 2,385,656
Operating lease liabilities - non-current portion 202,158 258,974 186,833
Other long-term payable   0 6,313
TOTAL NONCURRENT LIABILITIES 296,256 385,733 193,146
TOTAL LIABILITIES 6,369,645 8,252,176 2,578,802
COMMITMENTS AND CONTINGENCIES 0 0  
SHAREHOLDERS’ EQUITY      
Additional paid-in capital 21,062,521 13,754,806  
Statutory reserves 647,250 646,794  
Retained earnings (accumulated deficits) (10,370,735) (3,069,137)  
Accumulated other comprehensive loss (687,330) (864,735)  
TOTAL SHAREHOLDERS’ EQUITY 10,654,676 10,470,098 10,742,433
Non-controlling interest 5,931,032 6,087,019 6,365,433
TOTAL EQUITY 16,585,708 16,557,117 [1] 17,107,866
TOTAL LIABILITIES AND EQUITY 22,955,353 24,809,293 19,686,668
Nonrelated Party      
CURRENT ASSETS:      
Accounts receivable 4,629,500 3,976,391 4,967,146
Advance to vendors 2,691,484 1,451,280 1,837,209
CURRENT LIABILITIES:      
Accounts payable 1,381,281 1,003,053 922,195
Related Party      
CURRENT ASSETS:      
Accounts receivable 77,818 245,492 232,620
Advance to vendors 312,417 50 189,733
Due from related parties 3,418,847 3,197,017 366,761
CURRENT LIABILITIES:      
Accounts payable 24,137 140,261 1,387
Due to related parties 374,342 132,620 7,348
Due to a related party - non-current 94,098 126,759 0
Class A ordinary share      
SHAREHOLDERS’ EQUITY      
Ordinary shares, value 2,384 1,784 1,463
Class B ordinary share      
SHAREHOLDERS’ EQUITY      
Ordinary shares, value $ 586 586 586
Additional paid-in capital   13,754,806 3,175,965
Statutory reserves   646,794 645,538
Retained earnings (accumulated deficits)   (3,069,137) 7,730,437
Accumulated other comprehensive loss   $ (864,735) $ (811,556)
[1] Retrospectively adjusted to reflect the authorized share capital increase effective on January 8, 2026, 16-for-1 share consolidation effective on April 20, 2026, authorized share capital increase effective on May 6, 2026 (see Note 20)