v3.25.2
Condensed consolidated statement of cash flows - USD ($)
$ in Thousands
6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Cash flows from operating activities:    
Loss before income taxes $ (79,200) $ (95,103)
Adjustments to reconcile net loss to net cash used in operating activities:    
Depreciation and amortisation 37,882 38,365
Net foreign exchange losses/(gains) 575 (886)
Finance income (3,187) (766)
Finance costs 54,442 33,451
Net change in fair value measurements of financial assets and liabilities 57,298 109,323
Movement in provisions (1,438) (2,187)
Other non-cash transactions   (2,099)
Changes in operating assets and liabilities:    
(Increase)/decrease in trade receivables (7,047) 24,524
(Increase)/decrease in other receivables (487) 336
Decrease in prepayments 354 529
Increase in inventories (6,516) (1,048)
Increase/(decrease) in trade payables 7,140 (388)
Increase/(decrease) in other payables 19,004 (9,622)
Decrease in derivative financial instruments (6,848) (11,593)
Increase in liability for cash-settled share-based payments 10,315 4,627
Decrease in deferred liabilities (25) (3,057)
Cash used in operating activities 82,262 84,406
Interest received 1,620 766
Interest paid (18,429) (30,067)
Net cash from operating activities 65,453 55,105
Cash flows from investing activities:    
Purchase of property, plant, and equipment and intangibles (33,206) (24,113)
Exploration and evaluation (3,098) (3,308)
Investment in equity instruments (1,582) (1,846)
Proceeds from sale of investment in equity instruments 2,597  
Acquisition of subsidiary   (75,000)
Payment of contingent royalty consideration (2,425) (1,815)
Stamp duty paid on acquisition of subsidiary   (23,213)
Net cash used in investing activities (37,714) (129,295)
Cash flows from financing activities:    
Proceeds from issue of share capital   204,796
Payment of deferred underwriting and transaction costs   (12,968)
Proceeds from loans and borrowings 62,725  
Repayment of loans and borrowings (145,339) (45,441)
Repayment of silver and copper stream loans (11,549)  
Repayment of working capital loan   (11,522)
Payment of lease liabilities (3,779) (4,002)
Net cash from financing activities (97,942) 130,863
Net change in cash (70,203) 56,673
Cash, beginning of the period 171,897 32,372
Net foreign exchange difference 415 (307)
Cash, end of the period $ 102,109 $ 88,738