v3.26.1
RISK AND UNCERTAINTIES (Tables)
6 Months Ended
Jun. 30, 2026
Major Vendors [Member]  
Schedule of concentration of risk
         
   Three Months ended June 30,  June 30, 2026
Vendor  2026  2025  Accounts
payable
Vendor A   31.93%        59,534 
Vendor B   27.46%    44.41%    27,710 
Vendor C   11.49%    7.52%     
Vendor D       22.29%     

 

          
   Six Months ended June 30,  June 30, 2026
Vendor  2026  2025  Accounts
payable
Vendor A   30.50%    29.85%    59,534 
Vendor B   19.35%        27,710 
Vendor C   14.03%    9.76%     
Vendor D       23.55%     
Major Customers [Member]  
Schedule of concentration of risk
         
   Three Months ended June 30,  June 30, 2026
Customer  2026  2025  Accounts
receivable
Customer A   36.80%    60.40%   $181,860 
Customer B   16.03%    18.15%   $3,360 
Customer C   13.91%    13.67%   $57,173 

 

   Six Months ended June 30,  June 30, 2026
Customer  2026  2025  Accounts
receivable
Customer A   43.86%    47.73%   $181,860 
Customer B   18.09%    21.13%   $3,360 
Customer C   15.11%    16.76%   $57,173