NOTE
10: LONG-TERM DEPOSITS, EQUIPMENT PREPAYMENTS AND OTHER
| | |
As of March 31, | | |
As of December 31, | |
| | |
2026 | | |
2025 | |
| Other BVVE and electrical components | |
| 17 | | |
| 18 | |
| Cash deposits on construction work and materials* | |
| 71,994 | | |
| 20,146 | |
| Equipment and construction prepayments | |
| 72,011 | | |
| 20,164 | |
| Insurance prepaids, security deposits for energy and rent | |
| 9,370 | | |
| 9,199 | |
| Deferred transaction fees - undrawn tranche of the credit facility | |
| — | | |
| 1,670 | |
| | |
| 81,381 | | |
| 31,033 | |
| * | Deposits
for construction work and materials mainly related to the HPC data centers development. |
|