v3.26.1
Condensed Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended 12 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Jun. 30, 2026
Jun. 30, 2025
Dec. 31, 2025
Cash used in operating activities          
Loss for the period     $ (80,722) $ (94,929)  
Items not affecting cash:          
Nauru warrant cost   $ 33,079   33,079  
Amortization     78 116  
Accrued interest on credit facilities       128  
Lease expense $ 500 500 954 954 $ 1,907
Allseas obligation settled with equity     35,308    
Charge on Allseas settlement 7,868   7,868    
Share-based compensation and expenses settled with equity     40,777 19,300  
Equity-accounted investment (income) loss 1,525 (89) 4,523 (54)  
Gain on dilution of investment (18,469)   (23,071)    
Change in fair value of warrants liability (2,162) 16,229 (12,824) 16,670  
Unrealized foreign exchange movement     (890) 4,687  
Interest paid on amounts drawn from credit facilities and short-term debt       (693)  
Changes in working capital:          
Receivables and prepayments     296 332  
Accounts payable and accrued liabilities     6,988 401  
Net cash used in operating activities     (20,715) (20,009)  
Investing activities          
Investment in Investee     (1,000)    
Acquisition of equipment and software     (68) (120)  
Proceeds from Investee     152 346  
Net cash (used in) generated from investing activities     (916) 226  
Financing activities          
Proceeds from Korea Zinc Private Placement       85,165  
Proceeds from Registered Direct Offerings       35,010  
Expenses paid for Registered Direct Offerings       (492)  
Proceeds from shares issued from ATM       14,784  
Repayment of drawn amount on credit facilities       (1,797)  
Repayment of Allseas Working Capital Loan       (7,500)  
Proceeds from exercise of stock options     2,719 462  
Proceeds from Employee Share Purchase Plan     56 10  
Net cash provided by financing activities     2,775 132,069  
(Decrease) increase in cash     (18,856) 112,286  
Impact of exchange rate changes on cash     (122) (7)  
Cash - beginning of period     117,633 3,480 3,480
Cash - end of period $ 98,655 $ 115,759 $ 98,655 115,759 $ 117,633
Class A Warrants          
Financing activities          
Proceeds from exercise       3,777  
Class B Warrants          
Financing activities          
Proceeds from exercise       $ 2,650