v3.26.1
DEPOSITS AND OTHER CURRENT ASSETS, NET (Tables)
12 Months Ended
Sep. 30, 2025
Impairment Effects on Earnings Per Share [Line Items]  
SCHEDULE OF DEPOSITS AND OTHER CURRENT ASSETS NET

Deposits and other current assets, net consist of the following:

 

   September 30,
2025
   September 30,
2024
 
   As of 
   September 30,
2025
   September 30,
2024
 
         
Deposit for acquisition of digital assets(1)  $2,993,619   $- 

Refund for acquisition of an advertisement company(2)

   

552,205

    - 
Refund for marketing expenses(3)   2,500,000    - 
Deposits   51,547    51,623 
Other current assets, net   84,101    - 
Less: allowance for expected credit loss   (101)   (540)
Deposits and other current assets, net  $6,181,371   $51,083 
SCHEDULE OF MOVEMENT OF ALLOWANCES FOR EXPECTED CREDIT LOSS

The movement of allowances for expected credit loss is as follow:

 

  

As of

 
   September 30,
2025
   September 30,
2024
 
         
Balance at beginning of the year  $20,322   $49,573 
Provision (reversal of)   (4,213)   (29,251)
Ending balance  $16,109   $20,322 
Deposits and Other Current Assets [Member]  
Impairment Effects on Earnings Per Share [Line Items]  
SCHEDULE OF MOVEMENT OF ALLOWANCES FOR EXPECTED CREDIT LOSS

The movement of allowances for expected credit loss is as follow:

 

   September 30,
2025
   September 30,
2024
 
   As of 
   September 30,
2025
   September 30,
2024
 
         
Balance at beginning of the year  $540   $56 
Provision (reversal of)   (439)   484 
Ending balance  $101   $540