v3.26.1
Other Investment (Tables)
12 Months Ended
Mar. 31, 2026
Other Investment [Abstract]  
Schedule of Other Investment
   As of March 31, 
   2025   2026   2026 
   S$   S$   US$ 
Current:               
Investment fund at fair value through profit or loss   
-
    10,439,015    8,096,500 
                
Non-current:               
Investment fund at fair value through profit or loss   3,448,147    4,165,631    3,230,863 
Debt securities at amortized cost   514,038    511,391    396,635 
    3,962,185    4,677,022    3,627,498 
    3,962,185    15,116,037    11,723,998 
Schedule of Movement in Other Investments

Movement in other investments are as follows:

 

   As of March 31, 
   2025   2026   2026 
   S$   S$   US$ 
             
Balance - beginning of the year   922,892    3,448,147    2,674,383 
Addition   3,471,050    12,409,130    9,624,521 
Disposal   (946,399)   (1,006,700)   (780,797)
Fair value gain (loss)   604    (245,931)   (190,744)
Balance – end of the year   3,448,147    14,604,646    11,327,363