Long-Term Deposits, Equipment Prepayments and Other - Schedule of Long-Term Deposits, Equipment Prepayments and Other (Details) - USD ($) $ in Thousands |
Mar. 31, 2026 |
Dec. 31, 2025 |
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|---|---|---|---|---|
| Schedule of Long-Term Deposits, Equipment Prepayments and Other [Abstract] | ||||
| Other BVVE and electrical components | $ 17 | $ 18 | ||
| Cash deposits on construction work and materials | [1] | 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 | |||
| Long term deposits and equipment prepayments | $ 81,381 | $ 31,033 | ||
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