v3.26.1
FINANCIAL ASSETS AT FAIR VALUE (Tables)
3 Months Ended
Mar. 31, 2026
Financial Assets At Fair Value  
SCHEDULE OF RECONCILIATION OF FAIR VALUE BALANCE OF FINANCIAL INSTRUMENTS

The reconciliation of the opening and closing fair value balance of financial instruments is provided below:

SCHEDULE OF RECONCILIATION OF FAIR VALUE BALANCE OF FINANCIAL INSTRUMENTS

 

Financial assets at fair value  Level 1 
   USD in thousand 
December 31, 2024  $- 
Purchases   55,240 
Disposals   - 
Gain (loss)   402 
December 31, 2025  $55,642 
Purchases   - 
Disposals   14,978 
Gain (loss)   - 
March 31, 2026  $40,664