v3.26.1
Organization and Principal Activities (Tables)
12 Months Ended
Mar. 31, 2026
Organization And Principal Activities  
Schedule of subsidiaries
       
Name   Background   Ownership
Soft Cloud Technology Limited   A Hong Kong company formed on December 24, 2020   100% owned by Ruanyun Edai Technology Inc.
Rollingthunder Technology (Jiangxi) Co., Ltd   A PRC company formed on January 19, 2021   100% owned by Soft Cloud Technology Limited
Jiangxi Ruanyun Technology Co., Ltd.   A PRC company formed on March 27, 2012   VIE of Rollingthunder Technology (Jiangxi) Co., Ltd
Jiangxi Ruanyun Technology Co., Ltd. (Shenzhen Branch)   A PRC company formed on March 27, 2017   100% owned by Jiangxi Ruanyun Technology Co., Ltd.
Jiangxi Alphabet Technology Co., Ltd.   A PRC company formed on February 21, 2017   70% owned by Jiangxi Ruanyun Technology Co., Ltd.
Jiangxi Huizuoye Technology Co., Ltd.   A PRC company formed on April 8, 2021   51% owned by Jiangxi Ruanyun Technology Co., Ltd.
Jiangxi Ruanyun Zhitou Education Consulting Co., Ltd.   A PRC company formed on November 15, 2023   100% owned by Jiangxi Ruanyun Technology Co., Ltd.
Jiangxi Yunxiaotong Technology Co., Ltd   A PRC company formed on September 11, 2025   51% owned by Jiangxi Ruanyun Zhitou Education Consulting Co., Ltd.
Gongqing City Yunxiao Bulter Technology Co., Ltd   A PRC company formed on September 16, 2025   100% owned by Jiangxi Yunxiaotong Technology Co., Ltd
Chongqing Huizhi Plan Technology Co., Ltd   A PRC company formed on July 18, 2025   60% owned by Jiangxi Ruanyun Zhitou Education Consulting Co., Ltd.
Soft Cloud Smart Technology Company   A Saudi Arabia company formed on December 15, 2025   100% owned by Ruanyun Edai Technology Inc.
Formind Global Holdings Sdn. Bhd*.   A Malaysia company formed on April 30, 2026    100% owned by Ruanyun Edai Technology Inc.

 

*This subsidiary was formed after March 31, 2026 and is not reflected in the consolidated financial statements included herein (see also Note 15).

Schedule of consolidated assets and liabilities information
          
   March 31,
   2026  2025
Current assets  $5,274,653   $4,278,903 
Non-current assets   678,269    1,596,095 
Total assets  $5,952,922   $5,874,998 
           
Current liabilities  $8,897,651   $6,381,149 
Non-current liabilities        
Total liabilities  $8,897,651   $6,381,149 

  

           
   For the Years Ended March 31,
   2026  2025
Revenue  $7,481,411   $6,685,387 
Net loss   (4,829,492)   (517,723)
Net cash provided by (used in) operating activities   8,043,283    (1,819,988)
Net cash used in investing activities   (64,573)   (162,779)
Net cash (used in) provided by financing activities  $(350,610)  $1,558,088