v3.26.1
Note 6 - Property, Plant and Equipment and Capital Long-term Prepayments (Tables)
12 Months Ended
Dec. 31, 2025
Statement Line Items [Line Items]  
Disclosure of detailed information about property, plant and equipment [text block]

Cost

 

Property, Plant and Equipment

  

Construction in Progress

  

Right-of-use Assets

  

Total

 

January 1, 2024

 $5,989  $45,074  $301  $51,364 

Reclassification

  1,334   (1,334)  -   - 

Additions during the period

  133   386   -   519 

Transfers to capital long-term prepayments

  -   (139)  -   (139)

Asset retirement obligation - Change in estimate

  (384)  -   -   (384)

Balance December 31, 2024

 $7,072  $43,987  $301  $51,360 

Additions during the period

  364   4,128   -   4,492 

Transfers to capital long-term prepayments

  -   139   -   139 

Asset retirement obligation - Change in estimate

  (646)  -   -   (646)

Balance December 31, 2025

 $6,790  $48,254  $301  $55,345 

Accumulated Depreciation

                

January 1, 2024

 $10  $-  $96  $106 

Change for the period

  -   -   65   65 

Balance December 31, 2024

 $10  $-  $161  $171 

Change for the period

  38   -   58   96 

Balance December 31, 2025

 $48  $-  $219  $267 
                 

Net Book Value

                

Balance December 31, 2024

 $7,062  $43,987  $140  $51,189 

Balance December 31, 2025

 $6,742  $48,254  $82  $55,078