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PREPAYMENT AND OTHER CURRENT ASSETS
9 Months Ended
Sep. 30, 2023
PREPAYMENT AND OTHER CURRENT ASSETS [Abstract]  
PREPAYMENT AND OTHER CURRENT ASSETS
NOTE 6 - PREPAYMENT AND OTHER CURRENT ASSETS

Prepayment and other current assets consisted of the following:

   
September 30,
2023
   
December 31,
2022
 
Advance to suppliers
 
$
10,788,647
   
$
9,877,337
 
Deductible input value added tax
   
4,616,475
     
4,097,162
 
Receivable from third parties
   
641,779
     
678,887
 
Loans to a third party
   
790,000
     
1,044,181
 
Others
   
523,716
     
440,763
 
Prepayment and other current assets
 
$
17,360,617
   
$
16,138,330