v3.26.1
Fair values (Tables)
12 Months Ended
Dec. 31, 2025
Fair Values  
Schedule of carrying amounts and fair value of the company’s financial instruments

Set out below is a comparison by class of the carrying amounts and fair value of the Company’s financial instruments that are carried in the consolidated statement of financial position:

 

   Carrying   Fair   Carrying   Fair 
   December 31, 2025   December 31, 2024 
   Carrying   Fair   Carrying   Fair 
   Amount   Value   Amount   Value 
                 
Financial assets                    
Cash  $22,521   $22,521   $445   $445 
Amounts receivable   2,088    2,088    3,367    3,367 
Unbilled revenue   -    -    2,640    2,640 
Investments   862    862    776    776 
Financial assets  $25,471   $25,471   $7,228   $7,228 
                     
Financial liabilities                    
Accounts payable and accrued liabilities   2,268    2,268    4,623    4,623 
Project financing   175    -    167    - 
Bank loan   -    -    32    33 
Government loans   -    -    273    186 
Loan payable   1,233    1,183    269    275 
Financial liabilities  $3,676   $3,451   $5,364   $5,117