Prepayments, Deposits and Other Assets, Net - Schedule of Prepayments, Deposits and Other Assets, Net (Details) - USD ($) |
Dec. 31, 2025 |
Dec. 31, 2024 |
Dec. 31, 2023 |
Dec. 31, 2022 |
||||
|---|---|---|---|---|---|---|---|---|
| Schedule of Prepayments, Deposits and Other Assets, Net [Abstract] | ||||||||
| Security deposits | [1] | $ 257,453 | $ 631,211 | |||||
| Advances to suppliers | 1,651,758 | 1,659,609 | ||||||
| Advances to employees | 71,666 | 129,971 | ||||||
| Prepaid expense | 34,837 | 529,751 | ||||||
| Prepaid VAT tax | 393,404 | |||||||
| Antique art pieces | [2] | 26,814,960 | 36,970,600 | |||||
| Others | 19,286 | |||||||
| Total | 29,224,078 | 39,940,428 | ||||||
| Less: Long term portion | (27,019,546) | (37,689,697) | ||||||
| Allowance for credit losses - advances to suppliers | (1,530,602) | (548,248) | $ (281,694) | $ (364,973) | ||||
| Prepayments, deposits and other assets – current portion | $ 673,930 | $ 1,702,483 | ||||||
| ||||||||