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    <unit id="USD">
        <measure>iso4217:USD</measure>
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    <unit id="pure">
        <measure>pure</measure>
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    <unit id="Shares">
        <measure>shares</measure>
    </unit>
    <ffd:FormTp contextRef="rc" id="ixv-423">F-3</ffd:FormTp>
    <ffd:SubmissnTp contextRef="rc" id="ixv-424">F-3</ffd:SubmissnTp>
    <ffd:FeeExhibitTp contextRef="rc" id="ixv-425">EX-FILING FEES</ffd:FeeExhibitTp>
    <dei:EntityCentralIndexKey contextRef="rc" id="ixv-426">0001959726</dei:EntityCentralIndexKey>
    <dei:EntityRegistrantName contextRef="rc" id="ixv-427">Autozi Internet Technology (Global) Ltd.</dei:EntityRegistrantName>
    <ffd:OfferingTableNa contextRef="rc" id="hiddenrcOfferingTableNa" xsi:nil="true"/>
    <ffd:OffsetTableNa contextRef="rc" id="hiddenrcOffsetTableNa">N/A</ffd:OffsetTableNa>
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      xsi:nil="true"/>
    <ffd:FeeRate
      contextRef="offrl_1"
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      contextRef="offrl_2"
      decimals="6"
      id="ixv-432"
      unitRef="pure">0.000087</ffd:FeeRate>
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      id="ixv-433"
      unitRef="pure">0.000087</ffd:FeeRate>
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      contextRef="offrl_4"
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      id="ixv-434"
      unitRef="pure">0.000087</ffd:FeeRate>
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    <ffd:FormTp contextRef="rc" id="ixv-515">F-3</ffd:FormTp>
    <dei:EntityRegistrantName contextRef="rc" id="ixv-516">Autozi Internet Technology (Global) Ltd.</dei:EntityRegistrantName>
    <ffd:OfferingSctyTp contextRef="offrl_1" id="ixv-517">Debt</ffd:OfferingSctyTp>
    <ffd:OfferingSctyTitl contextRef="offrl_1" id="ixv-518">Debt Securities</ffd:OfferingSctyTitl>
    <ffd:Rule457oFlg contextRef="offrl_1" id="ixv-519">true</ffd:Rule457oFlg>
    <ffd:OfferingSctyTp contextRef="offrl_2" id="ixv-520">Equity</ffd:OfferingSctyTp>
    <ffd:OfferingSctyTitl contextRef="offrl_2" id="ixv-521">Preferred Shares </ffd:OfferingSctyTitl>
    <ffd:Rule457oFlg contextRef="offrl_2" id="ixv-522">true</ffd:Rule457oFlg>
    <ffd:OfferingSctyTp contextRef="offrl_3" id="ixv-523">Other</ffd:OfferingSctyTp>
    <ffd:OfferingSctyTitl contextRef="offrl_3" id="ixv-524">Rights </ffd:OfferingSctyTitl>
    <ffd:Rule457oFlg contextRef="offrl_3" id="ixv-525">true</ffd:Rule457oFlg>
    <ffd:OfferingSctyTp contextRef="offrl_4" id="ixv-526">Equity</ffd:OfferingSctyTp>
    <ffd:OfferingSctyTitl contextRef="offrl_4" id="ixv-527">Class A Ordinary Shares, par value US$0.0005 per share, issuable upon conversion, exchange or exercise of the newly registered securities </ffd:OfferingSctyTitl>
    <ffd:Rule457oFlg contextRef="offrl_4" id="ixv-528">true</ffd:Rule457oFlg>
    <ffd:PrevslyPdFlg contextRef="offrl_5" id="ixv-529">false</ffd:PrevslyPdFlg>
    <ffd:OfferingSctyTp contextRef="offrl_5" id="ixv-530">Unallocated (Universal) Shelf</ffd:OfferingSctyTp>
    <ffd:Rule457oFlg contextRef="offrl_5" id="ixv-531">true</ffd:Rule457oFlg>
    <ffd:MaxAggtOfferingPric
      contextRef="offrl_5"
      decimals="2"
      id="ixv-532"
      unitRef="USD">20000000.00</ffd:MaxAggtOfferingPric>
    <ffd:FeeRate
      contextRef="offrl_5"
      decimals="6"
      id="ixv-533"
      unitRef="pure">0.000087</ffd:FeeRate>
    <ffd:FeeAmt
      contextRef="offrl_5"
      decimals="2"
      id="ixv-534"
      unitRef="USD">1740.00</ffd:FeeAmt>
    <ffd:TtlOfferingAmt contextRef="rc" decimals="2" id="ixv-535" unitRef="USD">20000000.00</ffd:TtlOfferingAmt>
    <ffd:TtlFeeAmt contextRef="rc" decimals="2" id="ixv-536" unitRef="USD">1740.00</ffd:TtlFeeAmt>
    <ffd:TtlPrevslyPdAmt contextRef="rc" decimals="2" id="ixv-537" unitRef="USD">0.00</ffd:TtlPrevslyPdAmt>
    <ffd:TtlOffsetAmt contextRef="rc" decimals="2" id="ixv-538" unitRef="USD">0.00</ffd:TtlOffsetAmt>
    <ffd:NetFeeAmt contextRef="rc" decimals="2" id="ixv-539" unitRef="USD">1740.00</ffd:NetFeeAmt>
    <ffd:OfferingNote contextRef="offrl_5" id="ixv-540">The Registrant is registering an indeterminate amount of debt securities, preferred shares and rights for offer and sale from time to time at indeterminate prices, with a maximum aggregate offering price not to exceed US$20,000,000. The registration fee is calculated pursuant to Rule 457(o) under the Securities Act of 1933, as amended (the "Securities Act"), on the basis of the maximum aggregate offering price of the newly registered securities on a combined basis. The maximum aggregate offering price is not allocated among the individual classes of securities. Securities registered hereunder may be sold separately or together with other securities registered hereunder.
 	 
Includes an indeterminate number of Class A ordinary shares issuable upon conversion, exchange or exercise of the newly registered securities. Pursuant to Rule 457(i) under the Securities Act, the registration fee for convertible securities and the securities into which they are convertible, when registered concurrently, is calculated on the basis of the offering price of the convertible securities, together with any additional consideration payable upon conversion. Pursuant to Rule 457(g), no separate registration fee is payable for rights registered concurrently with the securities offered pursuant to those rights. Any consideration payable upon conversion or exercise is included in the maximum aggregate offering price stated in Table 1. Pursuant to Rule 416(a) under the Securities Act, this registration statement also covers additional Class A ordinary shares issuable to prevent dilution resulting from stock splits, stock dividends or similar transactions to the extent applicable.
 	 
Calculated at the rate of US$87.00 per US$1,000,000 of the maximum aggregate offering price, effective October 1, 2026 and in effect through September 30, 2027.
</ffd:OfferingNote>
    <ffd:Rule429SctyTp contextRef="prosp_1" id="ixv-541">Equity</ffd:Rule429SctyTp>
    <ffd:Rule429SctyTitl contextRef="prosp_1" id="ixv-542">Class A Ordinary Shares, par value US$0.0005 per share</ffd:Rule429SctyTitl>
    <ffd:Rule429AggtOfferingAmt
      contextRef="prosp_1"
      decimals="2"
      id="ixv-543"
      unitRef="USD">500000000.00</ffd:Rule429AggtOfferingAmt>
    <ffd:Rule429EarlierFormTp contextRef="prosp_1" id="ixv-544">F-3</ffd:Rule429EarlierFormTp>
    <ffd:Rule429EarlierFileNb contextRef="prosp_1" id="ixv-545">333-293491</ffd:Rule429EarlierFileNb>
    <ffd:Rule429InitlFctvDt contextRef="prosp_1" id="ixv-546">2026-03-17</ffd:Rule429InitlFctvDt>
    <ffd:Rule429SctyTp contextRef="prosp_2" id="ixv-547">Unallocated (Universal) Shelf</ffd:Rule429SctyTp>
    <ffd:Rule429NbOfUnsoldScties
      contextRef="prosp_2"
      decimals="0"
      id="ixv-548"
      unitRef="Shares">3497273</ffd:Rule429NbOfUnsoldScties>
    <ffd:Rule429AggtOfferingAmt
      contextRef="prosp_2"
      decimals="2"
      id="ixv-549"
      unitRef="USD">500000000.00</ffd:Rule429AggtOfferingAmt>
    <ffd:Rule429EarlierFormTp contextRef="prosp_2" id="ixv-550">F-3</ffd:Rule429EarlierFormTp>
    <ffd:Rule429EarlierFileNb contextRef="prosp_2" id="ixv-551">333-293491</ffd:Rule429EarlierFileNb>
    <ffd:Rule429InitlFctvDt contextRef="prosp_2" id="ixv-552">2026-03-17</ffd:Rule429InitlFctvDt>
    <ffd:Rule429PrspctsNote contextRef="prosp_2" id="ixv-553">Pursuant to Rule 429 under the Securities Act, the prospectus included in this registration statement, to which this exhibit is attached, is a combined prospectus relating to this registration statement and to the Registrant's registration statement on Form F-3 (File No. 333-293491), which became effective on March 17, 2026 (the "Prior Registration Statement"), relating to such indeterminate number of Class A ordinary shares, warrants and units of the Registrant as shall have an aggregate offering price not to exceed US$500,000,000, all of which remains unsold under the Prior Registration Statement. This registration statement combines the remaining US$500,000,000 of unsold securities from the Prior Registration Statement with an additional US$20,000,000 of newly registered securities to enable an aggregate of US$520,000,000 of securities to be offered pursuant to the combined prospectus. No separate registration fee is payable with respect to the US$500,000,000 of unsold securities which were previously registered on the Prior Registration Statement. Pursuant to Rule 429(b) under the Securities Act, this registration statement, upon effectiveness, will constitute a post-effective amendment to the Prior Registration Statement, which post-effective amendment shall become effective concurrently with the effectiveness of this registration statement in accordance with Section 8(c) of the Securities Act. No registration fee is payable in connection with the Class A ordinary shares previously registered for resale under the Prior Registration Statement and included in the combined prospectus pursuant to Rule 429 under the Securities Act. 34,972,600 Class A ordinary shares were registered for resale under the Prior Registration Statement. Following the one-for-ten share consolidation effective March 23, 2026, such shares became 3,497,273 Class A ordinary shares, including the rounding up of fractional entitlements, pursuant to Rule 416(b) under the Securities Act. </ffd:Rule429PrspctsNote>
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