v3.25.2
Unaudited Condensed Consolidated Interim Statements of Cash Flows - GBP (£)
£ in Thousands
6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Cash flows from operating activities    
Net profit/(loss) for the period £ 250,962 £ (17,121)
Adjustments to cash flows from non-cash items    
Depreciation and amortization 573 1,094
Depreciation on right of use assets 360 326
Net finance (income)/costs (28,371) 3,629
Related party finance income (252,937)  
Share based payment transactions 3,207 4,785
Income tax credit (19,592) (6,448)
Non-cash gain (settled in treasury shares)   (803)
Cash from operations before working capital adjustments (45,798) (14,538)
Decrease/(increase) in trade and other receivables 5,776 (3,035)
(Decrease)/increase in trade and other payables 18 84
Income taxes received 13,700 15,838
Net cash flows used in operating activities (26,304) (1,651)
Cash flows from investing activities    
Acquisitions of property, plant and equipment (203) (391)
Interest received 1,241 1,168
Net cash flows from investing activities 1,038 777
Cash flows from financing activities    
Proceeds from share issuance 34,235  
Proceeds from issues of warrants 18,032  
Proceeds from issues of shares to related party 12,986 15,629
Proceeds from issues of warrants to related party 6,840 3,907
Transaction costs on issuance of equity instruments (4,796)  
Payments to lease creditors (521) (396)
Net cash flows generated from financing activities 66,776 19,140
Net increase in cash at bank 41,510 18,266
Cash at bank, beginning of the period 22,556 48,680
Effect of foreign exchange rate changes (2,082) (160)
Cash at bank, end of the period £ 61,984 £ 66,786