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Business Combination (Tables)
9 Months Ended
Sep. 30, 2020
Business Combinations [Abstract]  
Schedule of preliminary fair value measurement of the assets acquired and liabilities
Acquired assets:  US$ 
Cash and cash equivalents  $192,022 
Trade receivables   123,798 
Other receivables   45,160 
    360,980 
Less: Assumed liabilities     
Accrued liabilities   (2,709)
Amount due to a director   (462,474)
    (465,183)
      
Fair value of net assets acquired   (104,203)
Non-controlling interest   33,345 
Goodwill recorded   1,080,898 
      
Cash consideration allocated  $1,010,040 
Acquired assets:  US$ 
Cash and cash equivalents  $2,762 
Trade receivables   46 
Other receivables   149 
Non-current assets   103,412 
    106,369 
Less: Assumed liabilities     
Accrued liabilities   (1,171)
Other payable   (2,181)
Amount due to related parties   (185,555)
    (188,907)
      
Fair value of net assets acquired   (82,538)
Goodwill recorded   82,692 
      
Cash consideration allocated  $154