
| • |
Alignment with FDA on CMC and device plans for Phase 3
|
| • |
Successfully completed GH001-HV-106 and GH001-HV-109 Phase 1 trials
|
| • |
Further strengthening of US and EU mebufotenin patent estate
|
| • |
Phase 2a results in postpartum depression published in The Journal of Clinical Psychiatry
|
| • |
Cash, cash equivalents and marketable securities of $362.7 million as of June 30, 2026
|



|
Three months ended
June 30,
|
Six months ended
June 30,
|
|||||||||||||||
|
2026
|
2025
|
2026
|
2025
|
|||||||||||||
|
$’000
|
$’000
|
$’000
|
$’000
|
|||||||||||||
|
Operating expenses
|
||||||||||||||||
|
Research and development
|
(12,399
|
)
|
(8,958
|
)
|
(24,778
|
)
|
(16,810
|
)
|
||||||||
|
General and administration
|
(7,056
|
)
|
(5,746
|
)
|
(13,426
|
)
|
(10,626
|
)
|
||||||||
|
Loss from operations
|
(19,455
|
)
|
(14,704
|
)
|
(38,204
|
)
|
(27,436
|
)
|
||||||||
|
Finance income
|
2,657
|
3,074
|
4,851
|
5,833
|
||||||||||||
|
Finance expense
|
(83
|
)
|
(174
|
)
|
(167
|
)
|
(352
|
)
|
||||||||
|
Movement of expected credit loss
|
7
|
13
|
8
|
(6
|
)
|
|||||||||||
|
Foreign exchange gain/(loss)
|
1,728
|
2,502
|
(601
|
)
|
1,860
|
|||||||||||
|
Total other income
|
4,309
|
5,415
|
4,091
|
7,335
|
||||||||||||
|
Loss before tax
|
(15,146
|
)
|
(9,289
|
)
|
(34,113
|
)
|
(20,101
|
)
|
||||||||
|
Tax charge/(credit)
|
-
|
-
|
-
|
-
|
||||||||||||
|
Loss for the period
|
(15,146
|
)
|
(9,289
|
)
|
(34,113
|
)
|
(20,101
|
)
|
||||||||
|
Other comprehensive (expense)/income
|
||||||||||||||||
|
Items that may be reclassified to profit or loss
|
||||||||||||||||
|
Fair value movement on marketable securities
|
(45
|
)
|
(82
|
)
|
(129
|
)
|
(22
|
)
|
||||||||
|
Currency translation adjustment
|
(2,561
|
)
|
457
|
(1,739
|
)
|
989
|
||||||||||
|
Total comprehensive loss for the period
|
(17,752
|
)
|
(8,914
|
)
|
(35,981
|
)
|
(19,134
|
)
|
||||||||
|
Attributable to owners:
|
||||||||||||||||
|
Loss for the period
|
(15,146
|
)
|
(9,289
|
)
|
(34,113
|
)
|
(20,101
|
)
|
||||||||
|
Total comprehensive loss for the period
|
(17,752
|
)
|
(8,914
|
)
|
(35,981
|
)
|
(19,134
|
)
|
||||||||
|
Loss per share
|
||||||||||||||||
|
Basic and diluted loss per share (in USD)
|
(0.23
|
)
|
(0.15
|
)
|
(0.53
|
)
|
(0.33
|
)
|
||||||||

|
At June 30,
|
At December 31,
|
|||||||
|
2026
|
2025
|
|||||||
|
$’000
|
$’000
|
|||||||
|
ASSETS
|
||||||||
|
Current assets
|
||||||||
|
Cash and cash equivalents
|
345,053
|
246,251
|
||||||
|
Marketable securities
|
17,597
|
34,457
|
||||||
|
Other current assets
|
6,174
|
5,268
|
||||||
|
Total current assets
|
368,824
|
285,976
|
||||||
|
Non-current assets
|
||||||||
|
Property, plant and equipment
|
502
|
620
|
||||||
|
Other non-current assets
|
3,023
|
1,634
|
||||||
|
Total non-current assets
|
3,525
|
2,254
|
||||||
|
Total assets
|
372,349
|
288,230
|
||||||
|
LIABILITIES AND EQUITY
|
||||||||
|
Current liabilities
|
||||||||
|
Trade payables
|
5,933
|
3,773
|
||||||
|
Lease liability
|
354
|
365
|
||||||
|
Other current liabilities
|
6,566
|
4,242
|
||||||
|
Total current liabilities
|
12,853
|
8,380
|
||||||
|
Non-current liabilities
|
||||||||
|
Lease liability
|
6
|
147
|
||||||
|
Total non-current liabilities
|
6
|
147
|
||||||
|
Total liabilities
|
12,859
|
8,527
|
||||||
|
Equity attributable to owners
|
||||||||
|
Share capital
|
1,716
|
1,551
|
||||||
|
Additional paid-in capital
|
542,672
|
431,061
|
||||||
|
Other reserves
|
16,453
|
13,292
|
||||||
|
Foreign currency translation reserve
|
(13,515
|
)
|
(11,776
|
)
|
||||
|
Accumulated deficit
|
(187,836
|
)
|
(154,425
|
)
|
||||
|
Total equity
|
359,490
|
279,703
|
||||||
|
Total liabilities and equity
|
372,349
|
288,230
|
||||||