v3.26.1
Condensed Consolidated Interim Statements of Changes in Equity - GBP (£)
£ in Thousands
Share capital
Share premium
Treasury share reserve
Other reserves
Accumulated deficit
Total
Equity at beginning of period at Dec. 31, 2024 £ 55 £ 554,391 £ (803) £ 99,299 £ (1,152,283) £ (499,341)
Profit for the period         250,962 250,962
Translation differences       2,151   2,151
Total comprehensive income       2,151 250,962 253,113
Share based payment transactions       2,816   2,816
Share issuance 9 34,226       34,235
Issuance of warrants       18,032   18,032
Share issuance to related party 3 12,982       12,985
Issuance of warrants to related party       6,840   6,840
Transaction costs on issuance of equity instruments   (3,142)   (1,654)   (4,796)
Exercise of options   11       11
Transfer of reserves       (706) 706  
Equity at end of period at Jun. 30, 2025 67 598,468 (803) 126,778 (900,615) (176,105)
Equity at beginning of period at Dec. 31, 2025 79 660,019 (803) 136,833 (917,573) (121,445)
Profit for the period         18,685 18,685
Translation differences       4,202   4,202
Total comprehensive income       4,202 18,685 22,887
Share based payment transactions   739   2,864   3,603
Share issuance 28 61,661       61,689
Transaction costs on issuance of equity instruments   (1,148)       (1,148)
Exercise of options   31       31
Transfer of reserves       (1,026) 1,026  
Equity at end of period at Jun. 30, 2026 £ 107 £ 721,302 £ (803) £ 142,873 £ (897,862) £ (34,383)