As of June 30,
As of December 31,
2026
2025
US$
Deductible VAT
53,949
46,287
Prepayments to third-party suppliers
14,524
16,554
Contract costs
4,851
2,569
Deposits
2,204
2,726
Interest receivable
2,914
4,721
Others
7,513
4,727
Less: Allowance for credit losses
(30)
(14)
Total
85,925
77,570
No definition available.
Tabular disclosure of the carrying amounts of other current assets.