v3.26.1
Condensed Consolidated Statements Of Changes In Equity - USD ($)
$ in Thousands
Total
Adumo [Member]
Lesaka Hospitality [Member]
Common And Treasury Stock [Member]
Treasury Stock [Member]
Number Of Shares, Net Of Treasury [Member]
Additional Paid-In Capital [Member]
Additional Paid-In Capital [Member]
Lesaka Hospitality [Member]
Retained Earnings [Member]
Accumulated Other Comprehensive Loss [Member]
Parent [Member]
Parent [Member]
Lesaka Hospitality [Member]
Noncontrolling Interest [Member]
Noncontrolling Interest [Member]
Adumo [Member]
Redeemable Common Stock [Member]
Balance, Number of Shares at Jun. 30, 2024       89,836,051   64,272,243                  
Balance at Jun. 30, 2024 $ 173,228     $ 83 $ (289,733)   $ 343,639   $ 307,466 $ (188,227) $ 173,228   $ 0    
Balance, Number of Treasury Shares at Jun. 30, 2024         (25,563,808)                    
Redeemable Common Stock, Balance at Jun. 30, 2024 79,429                            
Shares issued (Note 2I and Note 11) 73,256     $ 19 $ 0   73,237       73,256       $ 9,528
Shares issued, shares (Note 2 and Note 11)       19,769,803 0 19,769,803                  
Shares repurchased (Note 13) (12,613)     $ 0 $ (12,613)           (12,613)        
Shares repurchased (in shares) (Note 13)       0 (5,229,219) (5,229,219)                  
Gain (loss) recognized related to issue of shares included in treasury shares (Note 2) 5,278       $ 4,870   408       5,278        
Gain (loss) recognized related to issue of shares included in treasury shares (in shares) (Note 2)         1,092,361 1,092,361                  
Restricted stock granted (Note 13) 0     $ 0     0       0        
Restricted stock granted, shares (note 13)       1,445,610   1,445,610                  
Exercise of stock options (Note 13) $ 111     $ 1     110       111        
Exercise of stock options, shares (Note 13) 36,345     36,345   36,345                  
Stock-based compensation charge (Note 13) $ 7,563           7,563       7,563        
Reversal of stock-based compensation charge (Note 13) (45)     $ 0     (45)       (45)        
Reversal of stock-based compensation charge (Note 13), shares       (108,243)   (108,243)                  
Non-controlling interest acquired (Note 11)   $ 7,586                       $ 7,586  
Net Income (loss) (59,611)           0   (59,659)   (59,659)   48    
Acquisition of non-controlling interest (Note 11) $ (432)                       (432)    
Balance, Number of Shares at Mar. 31, 2025 81,278,900     110,979,566   81,278,900                  
Balance at Mar. 31, 2025 $ 188,504     $ 103 $ (297,476)   424,912   247,807 (193,634) 181,712   6,792    
Other comprehensive income (loss) (Note 12) (5,817)                 (5,407) (5,407)   (410)    
Redeemable Common Stock, Balance at Mar. 31, 2025 88,957                            
Balance, Number of Treasury Shares at Mar. 31, 2025         (29,700,666)                    
Balance, Number of Shares at Dec. 31, 2024       108,456,657   80,159,292                  
Balance at Dec. 31, 2024 196,899     $ 101 $ (302,319)   421,950   270,160 (199,720) 190,172   6,727    
Balance, Number of Treasury Shares at Dec. 31, 2024         (28,297,365)                    
Redeemable Common Stock, Balance at Dec. 31, 2024 88,957                            
Shares issued (Note 2I and Note 11) 0     $ 2 $ 0           0       0
Shares issued, shares (Note 2 and Note 11)       2,490,000 0 2,490,000                  
Stock issued, adjustment to additional paid in capital             (2)                
Shares repurchased (Note 13) (27)         $ (27) 0       (27)        
Shares repurchased (in shares) (Note 13)         (2,495,662) (2,495,662)                  
Gain (loss) recognized related to issue of shares included in treasury shares (Note 2) 5,278       $ 4,870   408       5,278        
Gain (loss) recognized related to issue of shares included in treasury shares (in shares) (Note 2)         1,092,361 1,092,361                  
Restricted stock granted (Note 13) 0                   0        
Restricted stock granted, shares (note 13)       81,500   81,500                  
Exercise of stock options (Note 13) $ 59     $ 0     59       59        
Exercise of stock options, shares (Note 13) 19,331     19,331   19,331                  
Stock-based compensation charge (Note 13) $ 2,531         $ 0 2,531       2,531        
Reversal of stock-based compensation charge (Note 13) (34)           (34)       (34)        
Reversal of stock-based compensation charge (Note 13), shares       (67,922)   (67,922)                  
Net Income (loss) (22,333)               (22,353)   (22,353)   20    
Acquisition of non-controlling interest (Note 11) $ (131)                       (131)    
Balance, Number of Shares at Mar. 31, 2025 81,278,900     110,979,566   81,278,900                  
Balance at Mar. 31, 2025 $ 188,504     $ 103 $ (297,476)   424,912   247,807 (193,634) 181,712   6,792    
Other comprehensive income (loss) (Note 12) 6,262                 6,086 6,086   176    
Redeemable Common Stock, Balance at Mar. 31, 2025 88,957                            
Balance, Number of Treasury Shares at Mar. 31, 2025         (29,700,666)                    
Balance, Number of Shares at Jun. 30, 2025       111,183,141   81,249,097                  
Balance at Jun. 30, 2025 $ 168,470     $ 103 $ (298,523)   426,950   218,725 (185,626) 161,629   6,841    
Balance, Number of Treasury Shares at Jun. 30, 2025 (29,934,044)       (29,934,044)                    
Redeemable Common Stock, Balance at Jun. 30, 2025 $ 88,957                            
Shares repurchased (Note 13) (311)       $ (311)           (311)        
Shares repurchased (in shares) (Note 13)         (79,133) (79,133)                  
Gain (loss) recognized related to issue of shares included in treasury shares (Note 2) 7,985       $ 8,036   (51)       7,985        
Gain (loss) recognized related to issue of shares included in treasury shares (in shares) (Note 2)         1,757,344 1,757,344                  
Restricted stock granted (Note 13) $ 0           0       0        
Restricted stock granted, shares (note 13)       1,036,595   1,036,595                  
Exercise of stock options, shares (Note 13) 0                            
Stock-based compensation charge (Note 13) $ 5,442           5,442       5,442        
Reversal of stock-based compensation charge (Note 13) (302)           (302)       (302)        
Reversal of stock-based compensation charge (Note 13), shares       (410,913)   (410,913)                  
Deconsolidation of Humble (Note 2) (1,254)       $ (1,211)   0       (1,211)   (43)    
Deconsolidation of Humble, shares (Note 2)         (306,767) (306,767)                  
Non-controlling interest acquired (Note 11)     $ 422         $ 422       $ 422      
Transfer from redeemable common stock to additional paid-in-capital (Note 11) 4,277           4,277       4,277       (4,277)
Net Income (loss) (707)               (461)   (461)   (246)    
Acquisition of non-controlling interest (Note 11) $ (7,312)               0   0   (7,312)    
Balance, Number of Shares at Mar. 31, 2026 83,246,223     111,808,823   83,246,223                  
Balance at Mar. 31, 2026 $ 186,625     $ 103 $ (292,009)   436,738   218,264 (176,471) 186,625   0    
Other comprehensive income (loss) (Note 12) 9,915                 9,155 9,155   760    
Redeemable Common Stock, Balance at Mar. 31, 2026 $ 84,680                            
Balance, Number of Treasury Shares at Mar. 31, 2026 (28,562,600)       (28,562,600)                    
Balance, Number of Shares at Dec. 31, 2025       111,758,403   81,524,175                  
Balance at Dec. 31, 2025 $ 187,698     $ 103 $ (299,632)   430,686   217,712 (168,308) 180,561   7,137    
Balance, Number of Treasury Shares at Dec. 31, 2025         (30,234,228)                    
Redeemable Common Stock, Balance at Dec. 31, 2025 88,957                            
Shares repurchased (Note 13) (40)       $ (40)           (40)        
Shares repurchased (in shares) (Note 13)       0 (9,000) (9,000)                  
Gain (loss) recognized related to issue of shares included in treasury shares (Note 2) 7,682       $ 7,663   19       7,682       0
Gain (loss) recognized related to issue of shares included in treasury shares (in shares) (Note 2)         1,680,628 1,680,628                  
Restricted stock granted (Note 13) $ 0                   0        
Restricted stock granted, shares (note 13)       180,000   180,000                  
Exercise of stock options, shares (Note 13) 0                            
Stock-based compensation charge (Note 13) $ 1,573           1,573       1,573        
Reversal of stock-based compensation charge (Note 13) (239)           (239)       (239)        
Reversal of stock-based compensation charge (Note 13), shares       (129,580)   (129,580)                  
Deconsolidation of Humble (Note 2) 0       $ 0           0   0    
Deconsolidation of Humble, shares (Note 2)         0 0                  
Non-controlling interest acquired (Note 11) 422           422       422   0    
Transfer from redeemable common stock to additional paid-in-capital (Note 11) 4,277           4,277       4,277       $ (4,277)
Net Income (loss) 437               552   552   (115)    
Acquisition of non-controlling interest (Note 11) $ (7,312)                   0   (7,312)    
Balance, Number of Shares at Mar. 31, 2026 83,246,223     111,808,823   83,246,223                  
Balance at Mar. 31, 2026 $ 186,625     $ 103 $ (292,009)   $ 436,738   $ 218,264 (176,471) 186,625   0    
Other comprehensive income (loss) (Note 12) (7,873)                 $ (8,163) $ (8,163)   $ 290    
Redeemable Common Stock, Balance at Mar. 31, 2026 $ 84,680                            
Balance, Number of Treasury Shares at Mar. 31, 2026 (28,562,600)       (28,562,600)