v3.26.1
SCHEDULE OF PREPAYMENT AND OTHER CURRENT ASSETS (Details) - USD ($)
Jun. 30, 2026
Dec. 31, 2025
Prepaid Expenses And Other Current Assets Net    
Loan to a third party [1] $ 3,309,881
Deductible input VAT 73,388 72,719
Prepaid expense 32,983 11,394
Advance to suppliers 35,253 3,020
Others 2,633 210
Total $ 3,454,138 $ 87,343
[1] The balance as of June 30, 2026 primarily represented a loan in the principal amount of US$3,309,881 that the Company lent to Suzhou Chaoyuhua Precision Technology Co., Ltd. (the “Borrower”), a third party, pursuant to a loan agreement dated February 25, 2026. The loan matures on July 31, 2026, on which date the principal and accrued interest are repayable in a lump sum. The loan is unsecured. As of the date of this report, the loan has not been collected..