v3.26.1
Consolidated Statements of Changes in Equity - USD ($)
$ in Thousands
Issued capital [member]
Share premium [member]
Reserve Member
Accumulated other comprehensive income [member]
Retained earnings [member]
Equity attributable to owners of parent [member]
Non-controlling interests [member]
Total
Balance at Mar. 31, 2024 $ 258,400 $ 21,303 $ 25,834 $ (60,045) $ 261,763 $ 507,255 $ 89,754 $ 597,009
Balance (in Shares) at Mar. 31, 2024 177,311,696              
Options exercised $ 4,397 (1,759)       2,638   2,638
Options exercised (in Shares) 934,222              
Warrants exercised $ 148         148   148
Warrants exercised (in Shares) 29,607              
Warrants reclassified as derivative liabilities   (2,098)     (673) (2,771)   (2,771)
Restricted share units vested $ 3,962 (3,962)            
Restricted share units vested (in Shares) 941,960              
Securities issued upon acquisition of Adventus $ 146,016 4,501       150,517 22,808 173,325
Securities issued upon acquisition of Adventus (in Shares) 38,818,841              
Share-based compensation   3,692       3,692   3,692
Dividends declared         (4,948) (4,948)   (4,948)
Shares buy-back as per normal course issuer bid $ (963)         (963)   (963)
Shares buy-back as per normal course issuer bid (in Shares) (300,000)              
Adjustments to the non-controlling interests         (8,424) (8,424) 8,424  
Distribution to non-controlling interests             (11,049) (11,049)
Comprehensive income       (2,606) 58,190 55,584 20,723 76,307
Balance at Mar. 31, 2025 $ 411,960 21,677 25,834 (62,651) 305,908 702,728 130,660 833,388
Balance (in Shares) at Mar. 31, 2025 217,736,326              
Options exercised $ 2,775 (824)       1,951   1,951
Options exercised (in Shares) 541,505              
Warrants exercised $ 9,739         9,739   9,739
Warrants exercised (in Shares) 1,370,249              
Restricted share units vested $ 4,211 (4,211)            
Restricted share units vested (in Shares) 1,262,831              
Share-based compensation   4,125       4,125   4,125
Dividends declared         (5,482) (5,482)   (5,482)
Reclassification of derivative liability to equity     223,928     223,928   223,928
Adjustments to the non-controlling interests         (10,520) (10,520) 10,520  
Distribution to non-controlling interests             (24,888) (24,888)
Disposal of subsidiaries             44 44
Comprehensive income       24,481 (9,944) 14,537 48,327 62,864
Balance at Mar. 31, 2026 $ 428,685 $ 20,767 $ 249,762 $ (38,170) $ 279,962 $ 941,006 $ 164,663 $ 1,105,669
Balance (in Shares) at Mar. 31, 2026 220,910,911