v3.26.3
Prepayments and Other Assets
6 Months Ended
Jun. 30, 2026
Prepayments and Other Assets [Abstract]  
PREPAYMENTS AND OTHER ASSETS
6. PREPAYMENTS AND OTHER ASSETS

 

The breakdown of prepayments and other assets is as follows:

 

    At
June 30,
    At
December 31,
 
In thousands of USD   2026     2025  
Prepayments to suppliers     202,004       667,462  
Deposits (1)     65,063       35,650  
Deductible input value-added tax     18,616       12,059  
Prepayments of income tax     2,459       2,459  
Others     7,012       5,342  
Total     295,154       722,972  
                 
Current     89,892       698,291  
Noncurrent     205,262       24,681  
      295,154       722,972  

 

(1) The Group pays deposits to certain electricity service providers.

 

During the periods ended June 30, 2026 and 2025, the Group did not recognize any allowance for expected credit losses or impairment for prepayments and other assets.