v3.26.1
Other reserves (Tables)
12 Months Ended
Dec. 31, 2025
Other reserves [Abstract]  
Other Reserves

 
 
 
 
2025
US$’000
   
 
2024
US$’000
   
 
2023
US$’000
 
(a)          Composition:
                       
Share-based payment reserve
   
6,589
     
3,918
     
3,788
 
Hedging reserve
   
7,826
     
20,705
     
39,312
 
Capital reserve
   
480,270
     
482,382
     
(25,137
)
Translation reserve
   
127
     
(198
)
   
(63
)
Fair value reserve
   
(26,051
)
   
10,906
     
9,720
 
 
   
468,761
     
517,713
     
27,620
 

 
 
 
 
2025
US$’000
   
 
2024
US$’000
   
 
2023
US$’000
 
(b)          Movements of the reserves
 
     
     
   
   
     
     
   
Hedging reserve
 
     
     
   
At beginning of the financial year
 
20,705
   
39,312
   
68,458
 
Fair value (losses)/gains on cash flow hedges
 
(2,822
)
 
14,522
   
13,378
 
Reclassification to profit or loss
 
(10,057
)
 
(33,129
)
 
(42,524
)
At end of the financial year
 
7,826
   
20,705
   
39,312
 

 
     
     
   
Fair value reserve                        
At beginning of the financial year
   
10,906
     
9,720
     
 
Fair value (losses)/gains on revaluation
   
(36,957
)
   
1,186
     
9,720
 
At end of the financial year
   
(26,051
)
   
10,906
     
9,720