| SCHEDULE OF OTHER RECEIVABLE |
Other
receivables consisted of the following:
SCHEDULE OF OTHER RECEIVABLE
| | |
March
31, | | |
December
31, | |
| | |
2026 | | |
2025 | |
| Loan
receivable(1) | |
$ | 9,020,630 | | |
$ | 14,355,283 | |
| Proceeds
receivable from sale of subsidiary(2) | |
| 2,454,280 | | |
| 2,416,086 | |
| Other | |
| 234,859 | | |
| 559 | |
| Other
receivables | |
$ | 11,709,769 | | |
$ | 16,771,928 | |
| (1) | During
the year ended December 31, 2025, the Company entered into five borrowing arrangements with
a third party for an aggregate principal amount of $14,383,955, bearing interest at 9% per
annum. Certain borrowings were guaranteed by individuals or entities or secured by certain
assets. As of March 31, 2026, the outstanding balance of these borrowings and the associated
interest were $8,815,666 and $204,964, respectively. |
To
date, all of the above borrowings, including the related accrued interest, have been fully repaid.
| (2) | The
amount represents the receivable from the sale of SYCI, which is due in December, 2026 from
Shandong Rongyuan Pharmaceutical Co., Ltd. |
|