v3.26.1
Interim Condensed Consolidated Statements of Financial Position - USD ($)
$ in Thousands
Jun. 30, 2026
Dec. 31, 2025
Dec. 31, 2024
Current assets      
Cash and cash equivalent $ 33,540 $ 12,201 $ 2,343
Other current receivables 549 587 1,993
Investment in gold 843
Total current assets 34,932 12,788 4,336
Non-current assets      
Intangible assets, net 6,743 7,916 12,328
Goodwill 20,692 20,120 26,144
Property, plant and equipment, net 257 165 268
Right of use assets 330 336 348
Investment in associated companies 117 114 105
Total non-current assets 28,139 28,651 39,193
Total assets 63,071 41,439 43,529
Current liabilities      
Trade payables 1,987 8,720 9,432
Other payables 3,664 4,217 4,350
Short term loan   1,000
Convertible notes 2,469 8,295 3,651
Warrants - derivative financial liability 5 5 1,384
Bridge loans liabilities 164 453 902
Lease liabilities 22 42 81
Total current liabilities 8,311 21,732 20,800
Non-current liabilities      
Lease liabilities 406 382 337
Total non-current liabilities 406 382 337
Total liabilities 8,717 22,114 21,137
Equity      
Issued capital and additional paid in capital 348,274 264,629 89,976
Foreign currency translation reserve (7,983) (4,827) (1,797)
Transaction with non-controlling interest reserve 258 258 258
Accumulated losses (295,552) (251,204) (82,026)
Total equity attributable to owners of the parent 44,997 8,856 6,411
Non- controlling interest 9,357 10,469 15,981
Total equity 54,354 19,325 22,392
Total equity and liabilities $ 63,071 $ 41,439 $ 43,529