v3.26.3
Unaudited Interim Consolidated Statements of Changes in Shareholders’ Equity (Deficit) - USD ($)
Ordinary Shares
Additional Paid-in Capital
Accumulated Deficit
Accumulated Other Comprehensive (loss) Income
Equity (Deficit) to Ordinary Shareholders
Non- controlling Interests
Total
Balance at Dec. 31, 2024 $ 35 [1] $ 36,953,448 $ (30,100,945) $ 271,452 $ 7,123,990 $ (231,588) $ 6,892,402
Balance (in Shares) at Dec. 31, 2024 [1] 759,107            
Issuance of ordinary shares through convertible notes conversion $ 14 [1] 678,298 678,312 678,312
Issuance of ordinary shares through convertible notes conversion (in Shares) [1] 281,469            
Issuance of shares amount $ 1 [1] 1 1
Issuance of shares (in Shares) [1] 13,671            
Issuance of shares for conversion of debt to equity $ 7 [1] 1,149,650 1,149,657 1,149,657
Issuance of shares for conversion of debt to equity (in Shares) [1] 164,412            
Net loss [1] (7,670,525) (7,670,525) (16,375) (7,686,900)
Foreign currency translation [1] (827,367) (827,367) 158,749 (668,618)
Balance at Jun. 30, 2025 $ 57 [1] 38,781,396 (37,771,470) (555,915) 454,068 (89,214) 364,854
Balance (in Shares) at Jun. 30, 2025 [1] 1,218,658            
Balance at Dec. 31, 2024 $ 35 [1] 36,953,448 (30,100,945) 271,452 7,123,990 (231,588) 6,892,402
Balance (in Shares) at Dec. 31, 2024 [1] 759,107            
Balance at Dec. 31, 2025 $ 113 [1] 42,395,828 (38,635,083) (237,541) 3,523,317 (231,611) 3,291,706
Balance (in Shares) at Dec. 31, 2025 [1] 2,436,907            
Issuance of ordinary shares through Equity Incentive Plan $ 29 [1] 893,442 893,471 893,471
Issuance of ordinary shares through Equity Incentive Plan (in Shares) [1] 634,859            
Issuance of shares through private placements $ 57 [1] 1,116,943 1,117,000 1,117,000
Issuance of shares through private placements (in Shares) [1] 1,239,472            
Issuance of ordinary shares through convertible notes conversion $ 17 [1] 447,895 447,912 447,912
Issuance of ordinary shares through convertible notes conversion (in Shares) [1] 376,413            
Issuance of ordinary shares for settlement of debts $ 28 [1] 688,378 688,406 688,406
Issuance of ordinary shares for settlement of debts (in Shares) [1] 593,453            
Issuance of commitment shares under equity line of credit $ 9 [1] 191,791 191,800 191,800
Issuance of commitment shares under equity line of credit (in Shares) [1] 200,000            
Net loss [1] (3,316,003) (3,316,003) (3,133) (3,319,136)
Foreign currency translation [1] 426,779 426,779 1 426,780
Balance at Jun. 30, 2026 $ 253 [1] $ 45,734,277 $ (41,951,086) $ 189,238 $ 3,972,682 $ (234,743) $ 3,737,939
Balance (in Shares) at Jun. 30, 2026 [1] 5,481,104            
[1] On January 15, 2025 and March 21, 2025, the Company effected share consolidations of its ordinary shares on a one-for-forty (1-for-40) and one-for-three (1-for-3) basis, respectively, resulting in a combined one-for-one hundred twenty (1-for-120) share consolidation. Accordingly, all share and per share amounts for all periods presented have been retrospectively adjusted to reflect these share consolidations.