Condensed Financial Information of the Parent Company (Tables)
|
12 Months Ended |
Dec. 31, 2025 |
| Condensed Financial Information Disclosure [Abstract] |
|
| Schedule of Parent Company Balance Sheets |
| | |
December 31, 2025 | | |
December 31, 2024 | |
| ASSETS | |
| | |
| |
| Current assets | |
| | |
| |
| Cash | |
| 9,293 | | |
| 118,057 | |
| Due from subsidiaries | |
| 9,864,000 | | |
| 9,819,000 | |
| Advance to suppliers | |
| 4,700,000 | | |
| 4,950,000 | |
| Non-current assets | |
| | | |
| | |
| Investment in subsidiaries | |
$ | 21,304,966 | | |
$ | 12,311,068 | |
| Total assets | |
$ | 35,878,259 | | |
$ | 27,198,125 | |
| LIABILITIES AND SHAREHOLDERS’ EQUITY | |
| | | |
| | |
| LIABILITIES | |
$ | 612,390 | | |
$ | 612,390 | |
| | |
| | | |
| | |
| COMMITMENTS AND CONTINGENCIES | |
| | | |
| | |
| | |
| | | |
| | |
| SHAREHOLDERS’ EQUITY | |
| | | |
| | |
| Class A shares, 900,000,000 shares authorized; 85,406 shares issued and outstanding as of December 31, 2025; 22,540 shares issued and outstanding as of December 31, 2024 | |
| 18,789 | | |
| 4,959 | |
| Class B shares, 100,000,000 shares authorized; 4,091 shares issued and outstanding as of December 31, 2025; 455 shares issued and outstanding as of December 31, 2024 | |
| 900 | | |
| 100 | |
| Additional paid-in capital | |
| 27,837,444 | | |
| 18,641,264 | |
| Retained earnings | |
| 7,794,471 | | |
| 9,184,408 | |
| Accumulated other comprehensive (loss) gain | |
| (385,736 | ) | |
| (1,244,996 | ) |
| Total shareholders’ equity | |
| 35,265,869 | | |
| 26,585,735 | |
| Total liabilities and shareholders’ equity | |
$ | 35,878,259 | | |
$ | 27,198,125 | |
|
| Schedule of Parent Company Statements of Comprehensive Income |
| | |
For the Years Ended December 31, | |
| | |
2025 | | |
2024 | | |
2023 | |
| EQUITY IN EARNINGS OF SUBSIDIARIES | |
$ | (1,070,673 | ) | |
$ | (1,115,977 | ) | |
$ | 1,218,714 | |
| NET (LOSS) INCOME | |
| (1,389,937 | ) | |
| (1,115,977 | ) | |
| 1,218,714 | |
| FOREIGN CURRENCY TRANSLATION ADJUSTMENTS | |
| 859,260 | | |
| (500,306 | ) | |
| (360,677 | ) |
| COMPREHENSIVE (LOSS) INCOME ATTRIBUTABLE TO THE COMPANY | |
$ | (530,677 | ) | |
$ | (1,616,353 | ) | |
$ | 858,037 | |
|
| Schedule of Parent Company Statements of Cash Flows |
| | |
For the Years Ended December 31, | |
| | |
2025 | | |
2024 | | |
2023 | |
| CASH FLOWS FROM OPERATING ACTIVITIES: | |
| | |
| | |
| |
| Net income | |
$ | (1,389,937 | ) | |
$ | (1,115,977 | ) | |
$ | 1,218,714 | |
| Adjustments to reconcile net cash flows from operating activities: | |
| | | |
| | | |
| | |
| Equity in earnings of subsidiaries | |
| 1,070,673 | | |
| (1,115,977 | ) | |
| 1,218,714 | |
| Item not involving cash: | |
| | | |
| | | |
| | |
| Provision for advance to suppliers | |
| 250,000 | | |
| 50,000 | | |
| - | |
| Changes in operating assets and liabilities: | |
| | | |
| | | |
| | |
| Due from subsidiaries | |
| (45,000 | ) | |
| (8,250,000 | ) | |
| (1,569,000 | ) |
| Other current liabilities | |
| - | | |
| (21,510 | ) | |
| 20,510 | |
| Net cash used in operating activities | |
| (114,264 | ) | |
| (8,335,596 | ) | |
| (1,716,329 | ) |
| | |
| | | |
| | | |
| | |
| CASH FLOW FROM INVESTING ACTIVITIES | |
| | | |
| | | |
| | |
| Advance for potential land purchase | |
| - | | |
| - | | |
| 201,354 | |
| Advance for potential warehouse investment | |
| - | | |
| - | | |
| (1,000,000 | ) |
| Long-term investment | |
| (8,860,000 | ) | |
| - | | |
| (3,900,000 | ) |
| Net cash used in investing activities | |
| (8,860,000 | ) | |
| - | | |
| (4,698,646 | ) |
| | |
| | | |
| | | |
| | |
| CASH FLOW FROM FINANCING ACTIVITIES | |
| | | |
| | | |
| | |
| Proceeds from registered direct offering | |
| 8,865,500 | | |
| - | | |
| - | |
| Proceeds from private placement | |
| - | | |
| 8,000,000 | | |
| - | |
| Proceeds from related party | |
| - | | |
| 2,081,165 | | |
| - | |
| Repayments to related party | |
| - | | |
| (1,629,876 | ) | |
| - | |
| Net cash provided in financing activities | |
| 8,865,500 | | |
| 8,451,289 | | |
| - | |
| EFFECT OF FOREIGN EXCHANGE | |
| - | | |
| - | | |
| - | |
| CHANGES IN CASH AND RESTRICTED CASH | |
| (108,764 | ) | |
| 115,693 | | |
| (6,414,975 | ) |
| CASH AND RESTRICTED CASH, beginning of year | |
| 118,057 | | |
| 2,364 | | |
| 6,417,339 | |
| CASH AND RESTRICTED CASH, end of year | |
$ | 9,293 | | |
$ | 118,057 | | |
| 2,364 | |
|