v3.26.1
Disposal of Subsidiaries - Schedule of Assets and Liabilities of Disposal (Details) - USD ($)
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Disposal of Subsidiaries - Schedule of Assets and Liabilities of Disposal (Details) [Line Items]        
Cash and cash equivalents $ 940,963 $ 8,100,899 $ 1,010,455 $ 870,720
Trade and other receivables 29,512,675 30,009,175    
Amount due from related parties 62,833,133 511,912  
Property, plant and equipment 1,061,170 573,084    
Other investment      
Total assets 116,904,262 91,559,740 25,722,362  
Borrowings 182,391 $ 201,033  
Lease liabilities 399,858 82,431    
Amount due to related parties 487,111    
Total $ 160,455    
Disposal groups classified as held for sale [member]        
Disposal of Subsidiaries - Schedule of Assets and Liabilities of Disposal (Details) [Line Items]        
Cash and cash equivalents 5,695      
Trade and other receivables 71,780      
Amount due from related parties 17,564,667      
Property, plant and equipment 51,685      
Right of Use Assets 76,797      
Intangible Assets 7,240,408      
Total assets 25,011,032      
Trade and other payables 846      
Lease liabilities 77,071      
Amount due to related parties 673,324      
Total 751,241      
Net identifiable assets disposed of 24,259,791      
Credilab Group [Member]        
Disposal of Subsidiaries - Schedule of Assets and Liabilities of Disposal (Details) [Line Items]        
Cash and cash equivalents 10,922      
Trade and other receivables 36,302,893      
Amount due from related parties 33,749,553      
Property, plant and equipment 3,488      
Other investment 16,915,265      
Other assets 27,104      
Total assets 87,009,225      
Trade and other payables 29,775,253      
Provision for taxation 271,040      
Total 30,046,293      
Net identifiable assets disposed of 56,962,932      
VCCG Group [Member]        
Disposal of Subsidiaries - Schedule of Assets and Liabilities of Disposal (Details) [Line Items]        
Cash and cash equivalents 114,927      
Trade and other receivables 11,830,285      
Amount due from related parties 1,743,409      
Property, plant and equipment 3,252      
Other assets 2,459,434      
Total assets 16,151,307      
Trade and other payables 743,500      
Amount due to related parties 2,807,821      
Deferred revenue 116,005      
Total 3,667,326      
Net identifiable assets disposed of 12,483,981      
Individually Material to the Group's [Member]        
Disposal of Subsidiaries - Schedule of Assets and Liabilities of Disposal (Details) [Line Items]        
Cash and cash equivalents 104,010      
Trade and other receivables 1,080,000      
Amount due from related parties 12,757      
Amount due from director 558,887      
Property, plant and equipment 317,332      
Right of Use Assets 54,315      
Other investment 123,200      
Other assets 103,145      
Total assets 2,353,646      
Trade and other payables 1,428,808      
Borrowings 43,430      
Lease liabilities 43,169      
Amount due to related parties 3,373,276      
Total 4,888,683      
Net identifiable assets disposed of $ (2,535,037)