Currency [Axis]
USD [Member]
Components of equity [axis]
Attributable to owners of the Company other capital Reserves
Carrying amount, accumulated depreciation, amortisation and impairment and gross carrying amount [Axis]
Cost [Member]
Classes of property, plant and equipment [Axis]
Buildings [Member]
Machinery and equipment [Member]
Motor vehicles [Member]
Accumulated depreciation and amortization and impairment losses [Member]
Net carrying amount [Member]
Maturity [Axis]
Within 1 year [Member]
1 to 2 years [Member]
Categories of related parties [axis]
Feishang Enterprise [Member]
Feishang Group [Member]
On demand [Member]
After one year but not more than five years [Member]
Expiring 2023 [Member]
Segments [Axis]
Exploration and Mining [Member]
Corporate Activities [Member]
Consolidated and separate financial statements [Axis]
Condensed [Member]
Geographical areas [axis]
PRC
VIRGIN ISLANDS, BRITISH
HONG KONG
Temporary difference, unused tax losses and unused tax credits [axis]
Unused tax losses [Member]
Over 2 years [Member]
Attributable to owners of the Company Issued Capital
Attributable to owners of the Company Other Capital Reserves
Attributable to owners of the Company Accumulated losses
Attributable to owners of the Company Other Comprehensive (loss)/Income
Due to the related companies [Member]
Due to the shareholder [Member]
Classes of financial instruments [axis]
ECLs Stage 1
ECLs Stage 2
ECLs Stage 3
Expiring 2024 [Member]
Expiring 2020 [Member]
Expiring 2021 [Member]
Expiring 2022 [Member]
Expiring 2023 [Member]
China Coal Mining Investment Limited [Member]
FMH Corporate Services Inc. [Member]
Feishang Dayun Coal Mining Limited [Member]
Feishang Mining Holdings Limited [Member]
Feishang Yongfu Mining Limited [Member]
Newhold Investments Limited [Member]
Pineboom Investments Limited [Member]
Shenzhen Feishang Management and Consulting Co., Limited ("Feishang Management") [Member]
Silver Moon Technologies Limited [Member]
Sunwide Capital Limited [Member]
Yangpu Lianzhong Mining Co., Limited [Member]
Yangpu Shuanghu Industrial Development Co., Limited [Member]
Yunnan Feishang Mining Co., Limited [Member]
Bayannaoer City Feishang Mining Company Limited [Member]
Lease liabilities [Member]
Anka [Member]
Statistical Measurement [Axis]
Bottom of range [member]
Top of range [member]
Within 3 Months [Member]
Timing of transfer of goods or services [axis]
Sale of copper ores [Member]
Products and services [axis]
Type of goods [Member]
Geographic market [Member]
Mainland China [Member]
Timing of revenue recognition [Member]
Goods transferred at a point in time [Member]
Machinery and equipment [Member]
Liabilities arising from financing activities [axis]
Anka Capital Limited [Member]
Continuing and discontinued operations [axis]
Designated as such upon initial recognition [Member]
Financial liabilities at amortised cost [Member]
Levels of fair value hierarchy [axis]
Quoted prices in active markets (Level 1) [Member]
Significant observable inputs (Level 2) [Member]
Significant unobservable inputs (Level 3) [Member]
Non-adjusting events after reporting period [axis]
Securities purchase agreement [Member]
Concurrent private placement [Member]
Carrying amount of equity investments [Member]
Increase / (decrease) in profit before tax [Member]
Increase / (decrease) in equity [Member]
Categories of financial assets [axis]
Feishang Anthracite Resources Limited [Member]
Document And Entity Information
Entity Registrant Name
Entity Central Index Key
Document Type
Document Period End Date
Trading Symbol
Amendment Flag
Current Fiscal Year End Date
Entity a Well-known Seasoned Issuer
Entity a Voluntary Filer
Entity's Reporting Status Current
Entity Filer Category
Entity Emerging Growth Company
Entity Small Business
Entity Shell Company
Entity Public Float
Entity Common Stock, Shares Outstanding
Document Fiscal Period Focus
Document Fiscal Year Focus
Entity Interactive Data Current
Entity Incorporation State Country Code
Document Annual Report
Document Transition Report
Document Shell Company Report
ForeignCurrencyTable [Table]
ForeignCurrencyLineItems [Line Items]
ASSETS
NON-CURRENT ASSETS
Property, plant and equipment
Right-of-use Assets
TOTAL NON-CURRENT ASSETS
CURRENT ASSETS
Prepayments
Trade receivables
Other receivables
Financial assets at fair value through profit or loss
Cash and cash equivalents
TOTAL CURRENT ASSETS
TOTAL ASSETS
LIABILITIES AND EQUITY
CURRENT LIABILITIES
Trade payables
Other payables and accrued liabilities
Taxes payable
Lease liabilities
Due to related companies
Due to the Shareholder
TOTAL CURRENT LIABILITIES
NON-CURRENT LIABILITIES
Deferred tax liabilities
Lease liabilities
TOTAL NON-CURRENT LIABILITIES
TOTAL LIABILITIES
(DEFICIENCY IN ASSETS)/EQUITY
Issued capital
Other capital reserves
Accumulated losses
Other comprehensive loss
(DEFICIENCY IN ASSETS)/EQUITY
TOTAL LIABILITIES AND EQUITY
Revenue
Cost of sales
Gross profit
Selling and distribution expenses
Administrative expenses
OPERATING LOSS
Fair value gain on financial assets at fair value through profit or loss
Finance costs
Interest income
(LOSS)/PROFIT 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 - (Loss)/earnings per share
(LOSS)/PROFIT FOR THE YEAR
Other comprehensive (loss)/income:
Other comprehensive (loss)/income that will be reclassified to profit or loss in subsequent periods:
Foreign currency translation adjustments of the Company
Other comprehensive loss that will not be reclassified to profit or loss in subsequent periods:
Foreign currency translation adjustments of the subsidiaries
Total other comprehensive (loss)/income for the year, net of tax
TOTAL COMPREHENSIVE (LOSS)/INCOME FOR THE YEAR
Attributable to:
Owners of the Company
Non-controlling interests
TOTAL COMPREHENSIVE INCOME FOR THE YEAR
Statement Table [Table]
Statement Line Items [Line Items]
Attributable to owners of the Company Reserves
Beginning Balance
(Loss)/profit for the year
Foreign currency translation adjustments
Total comprehensive (loss)/income
Issuance of shares (Note 17)
Adjustment in relation to acquisition of Double Grow International Limited ("Double Grow")
Deemed contribution from a related party
Appropriation and utilization of safety fund, net
Disposal of discontinued operations
Ending Balance
Ending Balance
OPERATING ACTIVITIES
(Loss)/profit before income tax for the year
Adjustments for:
Depreciation of property, plant and equipment (Note 11)
Depreciation of right-of-use assets (Note 11)
Interest on lease liabilities
Fair value gains on financial assets at fair value through profit or loss (Note 11)
Changes in working capital:
Trade receivables
Prepayments
Other receivables
Trade payables
Other payables and accrued liabilities
Taxes payable
Net cash flows used in operating activities
INVESTING ACTIVITIES
Proceeds from disposal of subsidiaries
Purchases of property, plant and equipment
Net cash flows from/(used in) investing activities
FINANCING ACTIVITIES
Payments related to issuance of shares
Repayments to the Shareholder
Repayments to related companies
Advances from the Shareholder
Advances from related companies
Payment of the principal portion of lease liabilities
Interest paid
Net cash flows (used in)/from financing activities
NET DECREASE IN CASH AND CASH EQUIVALENTS
NET FOREIGN EXCHANGE DIFFERENCE
CASH AND CASH EQUIVALENTS AT BEGINNING OF YEAR
CASH AND CASH EQUIVALENTS AT END OF YEAR
Supplementary disclosures of cash flow information:
Cash receipt of interest
Disclosure of organization and principal activities [Abstract]
ORGANIZATION AND PRINCIPAL ACTIVITIES
Disclosure of basis of preparation [Abstract]
SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
Disclosure of discontinued operations [Abstract]
DISCONTINUED OPERATIONS
Disclosure of detailed information about business combination [abstract]
BUSINESS ACQUISITIONS
Disclosure of detailed information about property, plant and equipment [abstract]
PROPERTY, PLANT AND EQUIPMENT
Presentation of leases for lessee [abstract]
LEASES
Disclosure of Trade receivables [Abstract]
TRADE RECEIVABLES
Other Receivables
OTHER RECEIVABLES
Disclosure of fair value measurement of assets [abstract]
FINANCIAL ASSETS AT FAIR VALUE THROUGH PROFIT OR LOSS
Disclosure of trade payables [Abstract]
TRADE PAYABLES
Disclosure of other payables and accrued liabilities [Abstract]
OTHER PAYABLES AND ACCRUED LIABILITIES
Revenue [abstract]
REVENUE FROM CONTINUING OPERATIONS
Disclosure of loss before income tax from continuing operations [Abstract]
(LOSS)/PROFIT BEFORE INCOME TAX
Disclosure of defined benefit plans [abstract]
EMPLOYEE BENEFITS
Disclosure of income tax expense [Abstract]
INCOME TAX BENEFIT AND DEFERRED TAX LIABILITIES
Earnings per share [abstract]
(LOSS)/EARNINGS PER SHARE
Disclosure of dividend [Abstract]
DIVIDEND
Disclosure of transactions between related parties [abstract]
RELATED PARTY BALANCES AND TRANSACTIONS
Disclosure of classes of share capital [abstract]
EQUITY
Disclosure of detailed information about financial instruments [abstract]
FINANCIAL RISK MANAGEMENT OBJECTIVES AND POLICIES
FINANCIAL INSTRUMENTS BY CATEGORY
FAIR VALUE AND FAIR VALUE HIERARCHY OF FINANCIAL INSTRUMENTS
Disclosure of commitments [Abstract]
COMMITMENTS
Disclosure of operating segments [abstract]
SEGMENT INFORMATION
Notes To Consolidated Statements Of Cash Flows
NOTES TO THE CONSOLIDATED STATEMENTS OF CASH FLOWS
Disclosure of non-adjusting events after reporting period [abstract]
SUBSEQUENT EVENTS
Condensed Financial Information Of Company
Disclosure of condensed financial information of company [Abstract]
CONDENSED FINANCIAL INFORMATION OF THE COMPANY
Summary Of Significant Accounting Policies
Business combinations
Related parties
Property, plant and equipment and depreciation
Fair value measurement
Exploration and evaluation costs
Impairment of non-financial assets
Investments and other financial assets
Derecognition of financial assets
Impairment of financial assets
Financial liabilities
Derecognition of financial liabilities
Offsetting of financial instruments
Cash and cash equivalents
Employee benefits
Asset retirement obligations
Borrowing costs
Revenue recognition
Contract assets
Contract liabilities
Government grants
Income taxes
Foreign currencies
Convenience translation
Provisions
Leases
Dividends
Schedule of Impacts Arising from the Adoption of IFRS 16
Schedule of Lease Liabilities Reconciled to the Operating Lease Commitments
Schedule of Estimated Useful Life
Schedule of Property Plant and Equipment
Schedule of Associated Lease Liabilities
Schedule of Lease Liabilities
Schedule of Maturity Analysis of Operating Lease Payments
Trade Receivables
Schedule of Trade Receivables
Schedule of Aging Analysis of Trade Receivables
Other Receivables
Schedule of Other Receivables
Schedule of Financial Assets at Fair Value Profit or Loss
Schedule of Movements of Financial Assets at Fair Value
Trade Payables
Schedule of Trade Payables
Schedule of Aging Analysis of Trade Payables
Other Payables And Accrued Liabilities
Schedule of Other Payables and Accrued Liabilities
Schedule of Revenue from Contracts with Customers
Schedule of Disaggregated Revenue Information
Statement Table
Schedule of Group's Loss Before Tax
Schedule of Employee Benefits
Income Tax Benefit And Deferred Tax Liabilities
Schedule of Current and Deferred Components of Income Tax
Schedule of Loss Before Income Tax from Continuing Operations
Schedule of Reconciliation of Income Taxes from Continuing Operations
Schedule of Deferred Tax Liabilities
Schedule of Basic and Diluted Loss Per Share
Schedule of Consolidated Financial Statements Including Financial Statements of Company and Subsidiaries
Schedule of Commercial Transactions with Related Parties
Schedule of Group Payables with Related Parties
Schedule of Compensation of Key Management Personnel of Group
Schedule of Issued Capital
Schedule of Company Share Capital
Schedule of Credit Risk
Schedule of Maturity Profile of the Group's Financial Liabilities
Schedule of highest and lowest points in Equity Price Risk
Schedule of fair values of equity investments
Schedule of Carrying Amounts of the Categories of Financial Instruments
Schedule of Maturity Profile of the Group's Financial Liabilities
Schedule of Fair Value Measurement
Commitments
Schedule of Operating Lease
Schedule of Segment Results
Schedule of Reconciliation of Loss for the year from Continuing Operations to Net Loss
Notes To Consolidated Statements Of Cash Flows
Schedule of Changes in Liabilities Arising
Schedule of Cash Outflow for Leases
Condensed Financial Information Of Company
Schedule of Non-Consolidated Basis
Schedule of Profit or Loss
Schedule of Cash Flows
Disclosure of detailed information about property, plant and equipment [table]
Disclosure of detailed information about property, plant and equipment [line items]
Classes of property, plant and equipment [axis]
Estimated useful lives
Disclosure of quantitative information about right-of-use assets [table]
Disclosure of quantitative information about right-of-use assets [line items]
Lease terms and the estimated useful lives
Carrying amount, accumulated depreciation, amortisation and impairment and gross carrying amount [axis]
At January 1
Depreciation charge
Acquisition of Bayannaoer Mining
Additions
Transfer
Disposals
Exchange adjustment
Disposal of subsidiaries
At December 31
At December 31
Disclosure Of Leases [Table]
Disclosure Of Leases [Line Items]
As of January 1,
Addition
Depreciation charge
As of December 31,
Carrying amount at January 1,
Accretion of interest recognized during the year
Payments
Carrying amount at December 31,
Analyzed into:
Current portion
Non-current portion
Interest on lease liabilities
Depreciation charge of right-of-use assets (Note 11)
Expense relating to short-term leases (included in administrative expenses) (Note 11)
Total amount recognized in profit or loss
Trade receivables
Less: Provision for impairment
Total of trade receivables
Maturity [axis]
IfrsStatementTable [Table]
IfrsStatementLineItems [Line Items]
Withholding social insurance
Advance to a third party
Input value-added tax
Staff advances
Deposit
Receivables in relation to the disposal of Double Grow
Total other receivables
Disclosure of financial assets [table]
Disclosure of financial assets [line items]
Number of shares acquired
Percentage of equity interest acquired
Value of acquired shares
Number of shares issued by Compnay
Total price amount of transaction
Discount rate
Listed equity investments, at fair value
As of January 1
Upon initial recognition of the Equity Investments
Fair value adjustment (Note 11)
As of December 31
Contract deposit
Social security payable
Payroll payable
Welfare payable
Accrued expenses
Others
Other payables and accrued liabilities
Disclosure of disaggregation of revenue from contracts with customers [table]
Disclosure of disaggregation of revenue from contracts with customers [line items]
Revenue from contracts with a customer
Crediting:
Interest income on bank deposits
Charging:
Cost of sales
Finance costs
Auditors' remuneration:
- Audit fee
- Audit related fee
Sub-total
Employee benefit expenses (Note 12)
Depreciation and amortization:
- Property, plant and equipment (Note 3)
- Right-of-use assets (Note 4(c))
Fair value gain, net:
Fair value gain on financial assets at fair value through profit or loss (Note 7)
Expense relating to short-term leases (included in administrative expenses) (Note 4(c))
Operating lease rental:
- Office properties
Disclosure of defined benefit plans [table]
Disclosure of defined benefit plans [line items]
Wages, salaries and allowances
Housing funds
Contribution to pension plans
Welfare and other expenses
Total employee benefits from continuing operations
Disclosure of temporary difference, unused tax losses and unused tax credits [table]
Disclosure of temporary difference, unused tax losses and unused tax credits [line items]
Bolivia
Applicable tax rate
Unused tax losses
Expiry date description
Unused tax losses for which no deferred tax assets were recognized
Statutory tax rate
Statement of changes in equity [table]
Statement of changes in equity [line items]
Current income tax benefit
Deferred income tax expense
Total current and deferred components of income tax (benefit)/expense
Disclosure of geographical areas [table]
Disclosure of geographical areas [line items]
Total (loss)/profit before income tax for the year
(Loss)/profit before income tax for the year
Tax at the statutory tax rate
Computed income tax (benefit)/expense
Effect of different tax rates for the Company and overseas subsidiaries
Tax losses not recognized
Non-deductible expenses
Utilization of previously unrecognized deductible temporary differences
Others
Income tax benefit
As of January 1, 2020
Upon initial recognition of the Equity Investments
Charged to the consolidated statement of profit or loss during the year
As of December 31, 2020
(Loss)/profit for the year:
From discontinued operations
Weighted average number of common shares:
Basic and diluted
(Loss)/earnings per share:
Basic and diluted
Net (Loss)/earnings per share
Disclosure of transactions between related parties [table]
Disclosure of transactions between related parties [line items]
Place of incorporation/registration and operations
Nominal value of issued common / registered share capital
Percentage of equity attributable to company direct
Percentage of equity attributable to company indirect
Principal activities
CHNR's share of office rental, rates and others to Anka Consultants Limited ("Anka")
Sales of equipment to Wuhu Industrial
Purchase of raw ore from Empressa Minera Jacha Uru S.A. ("Jacha Uru")
Feishang Management's share of office rental to Feishang Enterprise Group Co., Ltd. ("Feishang Enterprise")
Current:
Payable to related company:
Payable to the Shareholder:
Wages, salaries and allowances
Housing subsidies
Contribution to pension plans
Total Compensation of key management personnel
Other capital reserves amounting
Disclosure of terms and conditions of share-based payment arrangement [table]
Disclosure of terms and conditions of share-based payment arrangement [line items]
Authorized:
Authorized 10,000,000 preferred shares, no par value
Authorized 200,000,000 common shares, no par value
Issued and fully paid:
33,988,082 (2018 and 2019: 24,910,916) common shares, no par
Disclosure of classes of share capital [table]
Disclosure of classes of share capital [line items]
Number of shares
At January 1, 2020
Issuance of shares (Note 7)
At December 31, 2020
Share capital
At January 1, 2020
Issuance of shares (Note 7)
At December 31, 2020
Financial assets included in other receivables
- Normal
- Doubtful
Cash and cash equivalents
- Not yet past due
Total
Disclosure of maturity analysis for derivative financial liabilities [table]
Disclosure of maturity analysis for derivative financial liabilities [line items]
Trade payables
Other payables and accrued liabilities
Due to a related company
Due to the Shareholder
Lease liabilities
Trade and other payables, total
Disclosure of fair value measurement of assets [table]
Disclosure of fair value measurement of assets [line items]
Hong Kong – Hang Seng Index
Investments listed in:
Hong Kong - Financial assets at fair value through profit or loss
Financial assets included in other receivables
Total of financial instruments
Disclosure of financial liabilities [table]
Disclosure of financial liabilities [line items]
Financial liabilities in other payables and accruals
Lease liabilities - current
Lease liabilities - non-current
Financial liabilities
Total
Payment of lease liabilities
Disclosure of operating segments [table]
Disclosure of operating segments [line items]
Segments [axis]
Revenues from external customers
Depreciation of property, plant and equipment
Depreciation of right-of-use assets
Operating loss
Fair value gains on financial asset at fair value through profit or loss
Income tax benefit
(Loss)/profit for the year
Capital expenditure
Total assets
Total liabilities
At beginning
Changes from financing cash flows
Decrease arising from disposal of discontinued operations
New leases
Foreign exchange movement
Interest expense
At end
Within operating activities
Within financing activities
Total cash outflow for leases
Disclosure of non-adjusting events after reporting period [table]
Disclosure of non-adjusting events after reporting period [line items]
Price of shares issued by Compnay
Required minimum market value of listed securities per Nasdaq Listing Rule 5550(b)(2)
Share purchase price
Number of warrants exercisable in share-based payment arrangement
Gross proceeds
Consolidated and separate financial statements [axis]
Restricted capital and reserves
Dividend Payables
Investments in subsidiaries
Right-of-use assets
Amounts due from subsidiaries
TOTAL CURRENT ASSETS
TOTAL ASSETS
TOTAL NON-CURRENT LIABILITIES
Due to related companies
TOTAL CURRENT LIABILITIES
TOTAL LIABILITIES
EQUITY
TOTAL EQUITY
TOTAL LIABILITIES AND EQUITY
Interest income
Fair value gains on financial asset at fair value through profit or loss
(Loss)/profit before income tax
Income tax expense
Gain on disposal of a subsidiary
(Loss)/profit for the year
Net cash flows used in operating activities
Net cash flows from/(used in) investing activities
Net cash flows (used in)/from financing activities
NET DECREASE IN CASH
CASH AT BEGINNING OF THE YEAR
Net foreign exchange differences
CASH AT END OF THE YEAR
Restatement adjustment in relation to disposal of Double Grow.
Restatement adjustment in relation to disposal of Wuhu Feishang.
Adjustments for increase (decrease) in prepayments.
Refers to amount of advance to third party.
Tha cash inflow for advances from related companies.
Anka [Member]
Antay Pacha [Member]
Amount of authorized share capital.
Ordinary shares, no par value.
Basis Of Presentation [Abstract]
This member stand for bayannaoer city feishang mining company.
This member stands for bayannaoer mining.
Capital expenditures.
The cash outflow for leases with financing activities.
The cash outflow for leases with operating activities.
Cash receipt of interest.
Refers to amount of changes from operating activity.
China Coal Mining Investment Limited [Member]
Companies [Member]
Construction deposits from contractors.
The accounting policy for contract liabilities.
Corporate Activity [Member]
Current payroll payable.
Refers to amount of deposit.
The accounting policy disclosure for derecognition of financial assets.
The description of the entity's accounting policy for asset retirement obligations.
The disclosure of cash outflow for leases.
The disclosure of detailed information about aging analysis of trade payables.
The disclosure of detailed information about aging analysis of trade receivables.
The disclosure of detailed information about basic and diluted loss per share.
The disclosure of detailed information about cash flow.
The disclosure of detailed information about consolidated financial statements include financial statements of company and subsidiaries.
The disclosure of detailed information about estimated useful life.
The disclosure of detailed information about group payables with related parties.
The disclosure of detailed information about group's loss before tax from continuing operations.
The disclosure of detailed information about loss before income tax from continuing operations.
The disclosure of detailed information about nonconsolidated basis.
The disclosure of detailed information about other payables and accrued liabilities.
The disclosure of detailed information about other receivables.
The disclosure of detailed information about profit or loss.
The disclosure of detailed information about reconciliation of income taxes from continuing operations.
The disclosure of detailed information about trade payables.
The disclosure of detailed information about trade receivables.
The disclosure of finance leases and operating leases by the lessee.
Disclosure Of Leases
Disclosure Of Leases
The entire disclosure for loss before income tax from continuing operations.
The entire disclosure for organization and principal activities.
Disclosure of Information about the right-of-use assets and associated lease liabilities.
The Disclosure of reconcile the opening and ending balance of lease liabilities.
The entire disclosure for trade receivables.
This member stands for discontinue operation of double grow.
Information about discontinued operations entity.
It represents value of disposal of the discontinued operations.
Amounts due from subsidiaries.
Carrying amount as of the balance sheet date of obligations due to the shareholder. Used to reflect the current portion of the liabilities (due within one year or within the normal operating cycle if longer).
ECLs Stage 1 [Member]
ECLs Stage 2 [Member]
ECLs Stage 3 [Member]
Total employee benefits from continuing operations.
Equity
Expiration Period Five [Member]
Expiration Period Four [Member]
Expiration Period One [Member]
Expiration Period Three [Member]
Expiration Period Two [Member]
Exploration and Mining [Member]
FMH Corporate Services Inc. [Member]
Feishang Dayun Coal Mining Limited [Member]
This member stands for feishang enterprise.
Feishang Group [Member]
Feishang Hesheng [Member]
Feishang Management's share of office rental to Feishang Enterprise.
Feishang Mining Holdings Limited ("Feishang Mining") [Member]
Feishang Yongfu Mining Limited [Member]
The amount of costs (income) associated with financing activities of the entity.
Foreign currency translation adjustments.
Refers to amount of gains and loss recongnised whe controlling subsidiary.
Geographic market [Member]
The Group (as restated) [Member]
Housing funds.
Line items represent financial concepts included in a table. These concepts are used to disclose reportable information associated with domain members defined in one or many axes to the table.
Schedule reflecting a Statement of Income, Statement of Cash Flows, Statement of Financial Position, Statement of Shareholders' Equity and Other Comprehensive Income, or other statement as needed.
The increase (decrease) in equity resulting from the appropriation and utilization of safety fund, net.
Refers to amount of input vat.
The accounting policy disclosure for investments and other financial assets.
Amount of issued and paid up share capital.
Jacha Uru [Member]
The amount of housing subsidies to key management personnel in the form of employment benefits.
Over two years.
Lease cost recognized in profit and loss account.
Amount of lease liabilities.
Machinery and equipment [Member]
Mainland China [Member]
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.
Mining structures and mining rights [Member]
Net carrying amount [Member]
Newhold Investments Limited [Member]
Non-mining related buildings [Member]
Non-mining related machinery and equipment [Member]
Not Later Than One Year One [Member]
Number of ordinary shares.
Offical rental, rates and others.
Office properties.
Lease Term.
Primary financial statement caption in which reported facts about other comprehensive income have been included.
The other amount of current payables that the entity does not separately disclose in the same statement or note.
Other payables and accrued liabilities.
Percentage of equity attributable to company direct.
Percentage of equity attributable to company indirect.
Pineboom Investments Limited [Member]
Description Place of incorporation/registration and operations.
Description Principal activities.
Amount of proceeds from property plant and equipment classified as investing activity.
Profit (loss) before income tax.
The total of income less expenses, excluding the components of other comprehensive income.
The profit (loss) from discontinued operations attributable to owners of company.
The cash outflow for repayments to related companies.
The cash outflow for repayments to shareholder.
The amount of non-current assets that represent a lessee's right to use an underlying asset for the lease term. Underlying asset is an asset that is the subject of a lease, for which the right to use that asset has been provided by a lessor to a lessee.
Sale of copper ores [Member]
Tabular disclosure of credit risks.
Schedule of Reconciliation of Loss for the year from Continuing Operations to Net Loss
Shanghai Kangzheng Investment Management Co., Ltd. [Member]
Shareholder [Member]
Shenzhen Feishang Management and Consulting Co., Limited ("Feishang Management") [Member]
Silver Moon Technologies Limited [Member]
Simplified Approach [Member]
Staff advances.
Sunwide Capital Limited [Member]
Geographic market [Member]
Total adjusted for Opening Lease Balance [Member]
Total [Member]
Trade and other payables to related parties.
Type of goods [Member]
The useful lives or depreciation rates used for property, plant and equipment. [Refer: Property, plant and equipment]
Refers to amount of withholding social insurance.
Wuhu Feishang [Member]
Wuhu Feishang Mining Development Co., Limited [Member]
Yangchong Mine [Member]
Yangpu Lianzhong Mining Co., Limited [Member]
Yangpu Shuanghu Industrial Development Co., Limited [Member]
Yunnan Feishang Mining Co., Limited [Member]
Advances from the Shareholder.
Payments Related To Issue Of Shares.
Fair Value Gain On Financial Assets At Fair Value Through Profit Or Loss.
Interest On Lease Liabilities.
The amount that represents the difference between the tax expense (income) and the product of the accounting profit multiplied by the applicable tax rate(s) that relates to utilisation of previously unrecognized deductible temporary differences.
Anka Capital Limited [Member]
Fair Value Gains On Financial Assets At Fair Value Through Profi tOr Loss.
Designated as such upon initial recognition [Member]
Financial assets included in other receivables.
Financial liabilities in other payables and accruals.
Lease liabilities - non-current.
Total.
Fair value gains on financial asset at fair value through profit or loss.
Securities purchase agreement [Member]
Concurrent private placement [Member]
Price of shares issued.
Required minimum market value of listed securities per Nasdaq Listing Rule 5550(b)(2).
Number of warrants exercisable in share-based payment arrangement.
Due to related companies.
Interest income.
The disclosure of detailed information about movements of financial assets at fair value.
Amount of financial assets that are doubtful.
Hang Seng Index.
Carrying amount of equity investments [Member]
Increase / (decrease) in profit before tax [Member]
Increase / (decrease) in equity [Member]
Investments listed in abstract.
Feishang Anthracite Resources Limited [Member]
Total price amounting of transaction.
Discount rate.
Upon initial recognition of the Equity Investments.
Fair value adjustment (Note 11).
Statutory tax rate.
The disclosure of detailed information about current and deferred components of income tax.
Amount of financial assets that are normal.
Payment of lease liabilities.
ExpirationPeriodFiveMember
MachineryAndEquipmentsMember
Non-current assets
Equity
Selling, general and administrative expense
Distribution and administrative expense
Reclassification adjustments on exchange differences on translation, net of tax
Other comprehensive income
Comprehensive income, attributable to owners of parent
Comprehensive income, attributable to non-controlling interests
Statement Line Items
Equitys
Adjustments for decrease (increase) in trade accounts receivable
AdjustmentsForIncreaseDecreaseInPrepayments
Adjustments for decrease (increase) in other operating receivables
Adjustments for increase (decrease) in trade accounts payable
Adjustments for increase (decrease) in other operating payables
Adjustments for income tax expense
Purchase of property, plant and equipment, classified as investing activities
PaymentsRelatedToIssueOfShares
Minimum Operating Lease Payments IFRS16
Disclosure Of Leases [Line Items] [Default Label]
Payments of lease liabilities, classified as financing activities
Interest paid, classified as financing activities
Description of accounting policy for determining components of cash and cash equivalents [text block]
Disclosure of financial liabilities [text block]
Disposals, property, plant and equipment
Right-of-use assets
Lease liabilities [Default Label]
Minimum Operating Lease Payments IFRS16 [Default Label]
LeaseCosts
Current trade receivables
Current refunds provision
Auditor's remuneration
EmployeeBenefitsFromContinuingOperations
Accounting profit
Other tax effects for reconciliation between accounting profit and tax expense (income)
Deferred tax liability (asset)
Deferred tax relating to items credited (charged) directly to equity
Basic and diluted earnings (loss) per share from continuing operations
Key management personnel compensation, short-term employee benefits
Key management personnel compensation, post-employment benefits
Key management personnel compensation
Number of shares outstanding
Current financial assets
Trade payables [Default Label]
OtherPayablesAndAccruedLiabilities
Other payables
LeaseLiability
FinancialAssetsIncludedInOtherReceivables
Financial assets
Financial liabilities [Default Label]
Depreciation and amortisation expense
TradeAndOtherPayablesToRelatedParty
CashOutflowForLeasesWithinOperatingActivities
CashOutflowForLeasesWithinFinancingActivities
Cash outflow for leases
DueToRelatedCompanies
InterestIncome
Cash