Components of equity [axis]
Issued capital [member]
Other reserves [member]
Retained earnings [member]
Other Comprehensive Income Loss [Member]
Total [Member]
Non-controlling interests [member]
Segments [axis]
Wastewater Treatment [Member]
Corporate Activity [Member]
Exploration and Mining [Member]
Classes of financial instruments [axis]
Trade receivables [member]
Contract assets [member]
Amounts Due From Related Companies [Member]
Other Receivable [Member]
Products and services [axis]
Type Of Goods Or Services [Member]
Timing of transfer of goods or services [axis]
Construction Contract Revenue [Member]
Type Of Goods Or Service [Member]
Operation Service Concession Arrangements [Member]
Construction Service Concession Arrangements [Member]
Geographical areas [axis]
Geographic market [Member]
Mainland China [Member]
Timing Of Revenue Recognition [Member]
Goods or services transferred over time [member]
Finance Income [Member]
Hong Kong [Member]
Carrying amount, accumulated depreciation, amortisation and impairment and gross carrying amount [axis]
Gross carrying amount [member]
Classes of property, plant and equipment [axis]
Buildings [member]
Machinery [member]
Motor vehicles [member]
Office equipment [member]
Accumulated depreciation, amortisation and impairment [member]
Intangible assets with indefinite useful life [axis]
Patent [Member]
Service concession rights [member]
Software [Member]
Offices And Warehouse [Member]
Maturity [axis]
Not Later Than One Year One [Member]
Not Later Than One Yearto Two [Member]
Not Later Thantwo Yeart To Three [Member]
Over Three Years [Member]
Not Later Than One Year To Twoyears [Member]
Not Later Than Two Years To Threeyears [Member]
Current [member]
Classes of intangible assets and goodwill [axis]
Service concession arrangements [member]
Range [axis]
Bottom of range [member]
Top of range [member]
Currency in which information is displayed [axis]
R M B [Member]
U S [Member]
H K [Member]
Financial assets, class [member]
Financial liabilities at amortised cost, class [member]
Categories of related parties [axis]
Securities Purchase Agreement [Member]
Classes of financial liabilities [axis]
Loans And Borrowings [Member]
Levels of fair value hierarchy [axis]
Level 1 of fair value hierarchy [member]
Level 2 of fair value hierarchy [member]
Level 3 of fair value hierarchy [member]
On demand [member]
Not later than one year [member]
Later than one year and not later than five years [member]
More Than Five Years [Member]
Biological assets [axis]
Feishang Enterprise [Member]
Anka Capital Limited [Member]
Yangpu Lianzhong Mining Co [Member]
Feishang Group [Member]
Qianhai Industrial [Member]
Anka [Member]
Woo Chun Kei Jackie [Member]
Li Feiwen [Member]
Cover [Abstract]
Document Type
Amendment Flag
Amendment Description
Document Registration Statement
Document Annual Report
Document Quarterly Report
Document Transition Report
Document Shell Company Report
Document Shell Company Event Date
Document Period Start Date
Document Period End Date
Document Fiscal Period Focus
Document Fiscal Year Focus
Current Fiscal Year End Date
Entity File Number
Entity Registrant Name
Entity Central Index Key
Entity Primary SIC Number
Entity Tax Identification Number
Entity Incorporation, State or Country Code
Entity Address, Address Line One
Entity Address, Address Line Two
Entity Address, Address Line Three
Entity Address, City or Town
Entity Address, State or Province
Entity Address, Country
Entity Address, Postal Zip Code
Country Region
City Area Code
Local Phone Number
Extension
Written Communications
Soliciting Material
Pre-commencement Tender Offer
Pre-commencement Issuer Tender Offer
Title of 12(b) Security
No Trading Symbol Flag
Trading Symbol
Security Exchange Name
Title of 12(g) Security
Security Reporting Obligation
Annual Information Form
Audited Annual Financial Statements
Entity Well-known Seasoned Issuer
Entity Voluntary Filers
Entity Current Reporting Status
Entity Interactive Data Current
Entity Filer Category
Entity Small Business
Entity Emerging Growth Company
Elected Not To Use the Extended Transition Period
Document Accounting Standard
Other Reporting Standard Item Number
Entity Shell Company
Entity Public Float
Entity Bankruptcy Proceedings, Reporting Current
Entity Common Stock, Shares Outstanding
Documents Incorporated by Reference [Text Block]
Entity Address, Address Line Four
Entity Address, Address Line Five
Profit or loss [abstract]
Revenue
Cost of sales
GROSS PROFIT
Selling and distribution expenses
Administrative expenses
Other income
Fair value (loss)/gain on financial instruments, net
Impairment losses on financial assets
Finance costs
Finance income
LOSS BEFORE INCOME TAX
Income tax benefit
(LOSS)/PROFIT FOR THE YEAR
ATTRIBUTABLE TO:
Owners of the Company
Non-controlling interests
(LOSS)/PROFIT for the year
(LOSS)/EARNINGS PER SHARE ATTRIBUTABLE TO OWNERS OF THE COMPANY:
Basic And Diluted Earnings Loss Per Share
(LOSS)/PROFIT FOR THE YEAR
Other comprehensive income/(loss) that will be reclassified to profit or loss in subsequent periods:
Foreign currency translation adjustments of the subsidiaries
Other comprehensive (loss)/income that will not be reclassified to profit or loss in subsequent periods:
Foreign currency translation adjustments of the Company
Total other comprehensive (loss)/income for the period, net of tax
TOTAL COMPREHENSIVE (LOSS)/INCOME FOR THE PERIOD
Attributable to:
Owners of the Company
Non-controlling interests
TOTAL COMPREHENSIVE INCOME FOR THE YEAR
Statement of financial position [abstract]
ASSETS
NON-CURRENT ASSETS
Property, plant and equipment
Intangible assets
Right-of-use assets
Trade and bills receivable
Contract assets
Deferred tax assets
Other non-current assets
TOTAL NON-CURRENT ASSETS
CURRENT ASSETS
Inventories
Trade and bills receivable
Contract assets
Prepayments
Other receivables
Other current assets
Cash and cash equivalents
TOTAL CURRENT ASSETS
TOTAL ASSETS
LIABILITIES AND EQUITY
CURRENT LIABILITIES
Trade payables
Contract liabilities
Other payables and accruals
Income tax payable
Provision
Dividends payable
Derivative financial liabilities
Interest-bearing loans and borrowings
Lease liabilities
Due to related companies
Due to the Shareholder
TOTAL CURRENT LIABILITIES
NON-CURRENT LIABILITIES
Deferred tax liabilities
Lease liabilities
Interest-bearing loans and borrowings
TOTAL NON-CURRENT LIABILITIES
TOTAL LIABILITIES
EQUITY
Issued capital
Other capital reserves
Accumulated losses
Other comprehensive losses
EQUITY ATTRIBUTABLE TO OWNERS OF THE COMPANY
NON-CONTROLLING INTERESTS
TOTAL EQUITY
TOTAL LIABILITIES AND EQUITY
Statement of changes in equity [table]
IfrsStatementLineItems [Line Items]
Beginning balance, value
Profit for the period
Foreign currency translation adjustments
Total comprehensive income
Dividends paid to non-controlling shareholders
Issuance of shares
Equity-settled share-based payment
Ending balance, value
Ending Balance
Statement of cash flows [abstract]
OPERATING ACTIVITIES
INVESTING ACTIVITIES
Interest received
Additions of service concession right
Purchase of property, plant and equipment
Purchase of structured deposit product
Disposal of property, plant and equipment
Disposal of a subsidiary
Loan to an unrelated company
Repayment from loans due from related companies
Proceeds from maturity of structured deposit product
Proceeds from maturity of structured deposit product
FINANCING ACTIVITIES
Proceeds from issuance of shares
Repayments of bank loans
Advances from related companies
Repayment to related companies
Repayments to the Shareholder
Payment of principal portion of lease liabilities
Payment of interest expenses of lease liabilities
Dividends paid to non-controlling shareholders
Interest paid
Net cash flows used in financing activities
NET INCREASE/(DECREASE) IN CASH AND CASH EQUIVALENTS
NET FOREIGN EXCHANGE DIFFERENCE
CASH AND CASH EQUIVALENTS AT BEGINNING OF PERIOD
CASH AND CASH EQUIVALENTS AT END OF PERIOD
Organization And Principal Activities
ORGANIZATION AND PRINCIPAL ACTIVITIES
Basis Of Presentation
BASIS OF PRESENTATION
Changes In Accounting Policies
CHANGES IN ACCOUNTING POLICIES
Segment Information
SEGMENT INFORMATION
Revenue From Contract With Customers
REVENUE FROM CONTRACT WITH CUSTOMERS
Finance Income And Costs
FINANCE INCOME AND COSTS
Lossprofit Before Income Tax
(LOSS)/PROFIT BEFORE INCOME TAX
Income Tax Benefitexpense
INCOME TAX (BENEFIT)/EXPENSE
Disclosure of notes and other explanatory information [text block]
(LOSS)/EARNINGS PER SHARE
Property, plant and equipment [abstract]
PROPERTY, PLANT AND EQUIPMENT
Intangible Assets
INTANGIBLE ASSETS
LEASES
Trade And Bills Receivable
TRADE AND BILLS RECEIVABLE
Contract assets [abstract]
CONTRACT ASSETS
Other Receivables
OTHER RECEIVABLES
Cash and cash equivalents [abstract]
CASH AND CASH EQUIVALENTS
Other Payables And Accruals
OTHER PAYABLES AND ACCRUALS
Provisions [abstract]
PROVISIONS
Financial Instruments
FINANCIAL INSTRUMENTS
Financial Risk Management Objectives And Policies
FINANCIAL RISK MANAGEMENT OBJECTIVES AND POLICIES
Interest-bearing Loans And Borrowings
INTEREST-BEARING LOANS AND BORROWINGS
Equity
EQUITY
RELATED PARTY BALANCES AND TRANSACTIONS
Commitments
COMMITMENTS
Subsequent Events
SUBSEQUENT EVENTS
Approval Of Interim Financial Statements
APPROVAL OF THE INTERIM FINANCIAL STATEMENTS
Schedule of Segment Results
Schedule of operating segment
Schedule of Disaggregated Revenue Information
Schedule of finance income and cost
Schedule of Group's Loss Before Income Tax
Schedule of deferred component of income tax expenses
Schedule of Basic and Diluted Loss Earnings Per Share
Schedule of Property Plant and Equipment
Schedule of intangible assets
Schedule of right of use assets
Schedule of lease liabilities
Schedule of lease related expenses
Schedule of Trade Receivables
Schedule of Aging Analysis of Trade Payables
Schedule of loss allowance for trade receivables
Schedule of impairment
Schedule of contract assets
Schedule of provision for impairment of contract assets
Schedule of other receivables
Schedule of cash and cash equivalents
Schedule of Group’s cash and cash equivalents
Schedule of Other Payables and Accrual
Schedule of financial assets
Schedule of financial liabilities
Schedule of Group’s financial instrument carrying amount
Schedule of fair value instrument
Summary of maturity
Schedule of interest bearing loan and borrowings
Schedule of issued capital
Schedule of share capital
Schedule of Commercial Transactions with Related Parties
Schedule of Group Payables with Related Parties
Schedule of Compensation of Key Management Personnel of Group
Translated exchange ate description
Disclosure of disaggregation of revenue from contracts with customers [table]
Revenues from external customers
Segment profit/(loss) before income tax
Income tax benefit (loss)/benefit
Profit/(Loss) for the period
Depreciation of property, plant and equipment
Depreciation of right-of-use assets
Amortization of intangible assets
Impairment (losses)/reversal on financial assets
Fair value loss on financial instruments, net
Other income
Finance costs
Segment assets
Elimination of inter-segment receivables
Total assets
Segment Liabilities
Elimination of inter-segment payables
Total liabilities
Deferred tax assets
Deferred tax liabilities
Income tax payable
Total liabilities
Revenue from contracts with a customer
Interest income on loans to a related party/ third party
Interest income on revenue contracts with significant financing component
Interest income from service concession arrangement
Interest income on structured deposits
Interest income on bank deposit
Interest expenses on loans
Interest expense on lease liabilities
Other finance costs
Less: interest expense capitalized into intangible assets-concession right
Finance costs
Loss Before Income Tax Schedule Of Groups Loss Before Tax From Continuing Operations
Crediting:
Finance income (Note 5)
Charging:
- Construction service
- Operation services related to service concession arrangement
- Construction services related to service concession arrangement
Total
Depreciation
- Property, plant and equipment
- Right-of-use assets (Note 11)
Amortization of intangible assets* (Note 10)
Expense relating to short-term leases
Impairment losses/(reversal) on financial assets:
- Trade receivables
- Contract assets
- Other receivables
- Amounts due from related companies
Fair value (gain)/loss on financial instruments:
- Financial assets at fair value through profit or loss (Note 18(a))
- Derivative financial liabilities (Note 18(b))
Issuance expense in related to placement
Other income
Finance costs (Note 5)
Employee benefit expenses
Current income tax expense
Deferred income tax benefit
Total
Applicable tax rate
Preferential tax rate
Dividend withholding tax rate
(Loss)/Earnings attributable to ordinary equity holders of the Company
Basic and diluted
Basic and diluted
Disclosure of reconciliation of changes in goodwill [table]
At January 1
Transfer in
At June 30
Amortization charge
Net carrying amount
Net carrying amount
Disclosure of detailed information about property, plant and equipment [table]
Beginning balace
Addition
Depreciation charge
Ending balance
Beginning balance
Addition
Accretion of interest recognized during the period
Payments
Ending balance
Current portion
Non-current portion
Depreciation expense of right-of-use assets
Interest on lease liabilities
Total amounts recognized in profit or loss
Trade And Bills Receivable Schedule Of Trade Receivables
Non-current
Trade receivables from third parties
Less: Impairment allowance
Total of Non-current trade receivables
Non-current trade receivables
Current
Trade receivables from third parties
Less: Impairment allowance
Total of current trade receivables
Current trade receivables
Bills receivable
At fair value through other comprehensive income
Total
Disclosure of amounts to be recovered or settled after twelve months for classes of assets and liabilities that contain amounts to be recovered or settled both no more and more than twelve months after reporting date [table]
Trade receivables
Trade And Bills Receivables Schedule Of Loss Allowance For Trade Receivables
Beginning of the year
Provision for expected credit loss, net
End of the year
Expected credit loss rate
Gross carrying amount
Impairment allowances
Disclosure of reconciliation of changes in intangible assets and goodwill [table]
Non-current contract assets
Allowance account for credit losses of financial assets
Current contract assets
Less Impairement allowance
Contract asset
Beginning of the year
Provision for expected credit loss, net
End of the year
Disclosure of detailed information about borrowings [table]
Rate of range
Loans to unrelated companies
Deposit
Others
Financia assets amount
Staff advance
Others
Total amount
Impairment allowance
Total
Cash and cash equivalents
- Cash on hand
- Cash at bank
Cash and cash equivalents
IfrsStatementTable [Table]
Other Payables And Accruals Schedule Of Other Payables And Accrued Liabilities
Accrued expenses
Deposits from customers
Deposits from customers
Liabilities related to bills receivable endorsed before maturity
Deposits from customers
Penalties related to income tax
Taxes other than income tax payable (a)
Accrued payroll
Others
Total other payables
Total
Disclosure of detailed information about financial instruments [table]
Debt instruments at amortized cost:
Accounts receivable: current
Accounts receivable: non-current
Financial assets included in other receivables
Financial assets at fair value through other comprehensive income:
Bills receivable
Total
Total Current
Total Non-current
Derivatives not designated as hedging instruments:
Derivative financial liabilities (i)
Financial liabilities at amortized cost:
Trade payables
Financial liabilities in other payables and accruals
Dividends payable
Lease liabilities
Due to related companies
Due to the Shareholder
Interest-bearing loans and borrowings
Total
Total current
Total non-current
Disclosure of financial liabilities [table]
Carrying amount
Fair value
Disclosure of fair value measurement of assets [table]
Derivative financial liabilities
Bills receivables
Derivative financial liabilities
Disclosure of transactions between related parties [table]
Aggregate of shares
Common shares at a price
Warrants exercisable shares
Initial exercise price
Fair value gain loss
Derivative financial liabilities
Due to the Shareholder
Lease liabilities
Total
Debt to capital ratio
Interest rate
Maturity
Non-current interest-bearing loans
Current interest rate
Current loans maturity
Current interest-bearing loans
Total
Equal annual installments, description
Authorized:
10,000,000 preferred shares, no par value
200,000,000 common shares, no par value
Common shares issued and fully paid:
June 30, 2022: 40,948,082, (December 31, 2021: 40,948,082) common shares, no par value
Beginning balance
Beginning balance
Common shares issued through private placement
Common shares issued through private placement
Ending balance
Ending balance
Interest income received from Feishang Enterprise
[custom:ChnrsShareOfOfficeRentalRatesAndOthersToAnkaConsultantsLimitedankaB]
Feishang Management's share of office rental to Feishang Enterprise
[custom:ShenzhenNewPstsShareOfOfficeRentalToFeishangEnterprisea]
Payable to related companies
Payable to the Shareholder:
Dividend payables to related companies
Lease liabilities to related parties
Wages, salaries and allowances
Housing subsidies
Contribution to pension plans
Total Compensation of key management personnel
Capital commitments
Number of shares related to option
Options exercisable
Exercise price for the options
Number of shares related to warrants
Adjusted exercise price
Exploration and Mining [Member]
Corporate Activity [Member]
Geographic market [Member]
Mainland China [Member]
Fair Value Gains On Financial Assets At Fair Value Through Profi tOr Loss.
The portion of operating lease payments that the lessee is or can be required to make, excluding contingent rent, costs for services and taxes to be paid by, and reimbursed to, the lessor, together with any amounts guaranteed by the lessee or by a party related to the lessee recognised as an expense.
Financial assets included in other receivables.
Financial liabilities in other payables and accruals.
Foreign currency translation adjustments.
Gross profit
Selling, general and administrative expense
Distribution and administrative expense
ImpairmentLossOnFinancialsAssets
FinanceCost
IncomeTaxExpensesContinuingOperations
OtherComprehensiveLossForPeriodNetOfTax
ComprehensiveIncomelossForPeriod
Comprehensive income, attributable to owners of parent
Comprehensive income, attributable to non-controlling interests
ComprehensiveIncomeForYear
Non-current assets
Trade and other receivables
Current assets
Current liabilities
InterestbearingLoansAndBorrowingsNonCurrent
Non-current liabilities
EquityAttributableToOwnersOfParents
Equity [Default Label]
Equity and liabilities
Equity attributable to owners of parent
AdditionsOfServiceConcessionRight
Purchase of property, plant and equipment, classified as investing activities
PurchaseOfStructuredDepositProduct
Disposals, property, plant and equipment
LoanToUnrelatedCompany
Cash repayments of advances and loans from related parties
Cash flows from (used in) investing activities
RepaymentsOfBankLoans
RepaymentsToRelatedCompanies
RepaymentsToShareholder
Payments of lease liabilities, classified as financing activities
DividendPaidToNoncontrollingInterests
Interest paid, classified as financing activities
Cash flows from (used in) financing activities
Increase (decrease) in cash and cash equivalents before effect of exchange rate changes
Cash
EquityExplanatory
Depreciation, right-of-use assets
Other income [Default Label]
DeferredTaxsAssets
DeferredTaxLiabilitie
CurrentTaxLiabilitie
Liabilitie
Other finance cost
FinanceIncomes
OtherIncomes
Intangible assets and goodwill
Adjustments for depreciation and amortisation expense
Right-of-use assets [Default Label]
DepreciationsRightofuseAssets
Lease liabilities [Default Label]
AdditionToRightofuseAssets
LessImpairmentAllowanceNonCurrent
TradeReceivablesFromThirdPartiesCurrent
LessImpairmentAllowanceCurrent
Trade receivables [Default Label]
Allowance account for credit losses of financial assets
AllowanceAccountForCreditLossOfFinancialAssets
Other provisions
Additional provisions, other provisions
Other receivables [Default Label]
ImpairmentAllowanceForOtherReceivables
CashAndCashEquivalent
Deposits from customers [Default Label]
TotalPayables
Other payables
BillsReceivable
Financial assets
Trade payables [Default Label]
DividendsPayables
LeasesLiabilities
TradeAndOtherPayablessToRelatedParties
OthersPayables
InterestbearingLoanAndBorrowings
Financial liabilities
CurrentFinancialLiabilitiesAtFairValuesThroughProfitOrLoss
DerivativesFinancialsLiabilities
Current derivative financial liabilities
LeaseLiability
InterestBearingLoans
Number of shares outstanding
Issue of equity