v3.26.1
CASH FLOW INFORMATION (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
IfrsStatementLineItems [Line Items]      
Depreciation and amortization $ (229) $ (885) $ (266)
Lease Interest expense (Note 24) (4,231) (9,144) (7,120)
Interest expense on loans and debentures (Note 24) (25,913) (22,063) (12,464)
Finance cost on post-employment benefit (Note 24) (2,487) (1,045) (1,032)
Derivative fee (Note 24) (13,522)
Loss on settlement of liability with equity instruments (Note 24) (8,763)
Profit (loss)      
IfrsStatementLineItems [Line Items]      
Deferred and current income tax expense 131,213 82,691 6,426
Depreciation and amortization 70,952 62,732 48,528
Accretion expense (Note 24) 5,090 5,972 4,954
Lease Interest expense (Note 24) 4,231 9,144 7,120
Interest expense on loans and debentures (Note 24) 25,913 22,063 12,464
Finance cost on post-employment benefit (Note 24) 2,487 1,045 1,873
Unrealized loss on derivatives gold collars (Note 24) 281,489 80,241 25,683
Loss on other derivatives (Note 24) 5,997 4,707 2,888
Foreign exchange (gain) loss (Note 24) 8,976 12,268 56
Derivative fee (Note 24) 13,522
Change in fair value in liability measured at fair value 12,716 (719)
Share-based payment expense (Note 22) 2,201 186 287
(Gain) on fair value change of Serrote Promissory Note (318) (1,253) (3,468)
Loss on settlement of liability with equity instruments (Note 24) 8,763
(Gain) on Joint Venture acquisition (Note 5) (5,505)
Loss on disposal of assets (Note 11) 1,669 4,888 724
Other non-cash items 9,378 7,447 1,637
Total $ 570,757 $ 304,934 $ 103,667