Supplement cash flow information for the six months ended 30 June 2026 and 2025 is included below: | | | | | | | | | | | | | | | 30 June | | | | Non-cash investing and financing activities | 2026 | | 2025 | | | | Acquisition of property, plant and equipment in trade payables and other current liabilities | 6,878 | | | 3,853 | | | | | Acquisition of intangibles in trade payables and other current liabilities | 21,515 | | | 4,195 | | | | | Right-of-use assets obtained through new leases | 517 | | | 13,529 | | | | | Settlement of RSUs with shares | 1,228 | | | 2,209 | | | | | Settlement of trade payables through financing | 2,812 | | | — | | | | | Acquisition of intangible assets with shares | — | | | 13,686 | | | | | Acquisition of property, plant and equipment with shares | — | | | 1,147 | | | | | Settlement of borrowings through refinancing | — | | | 162,833 | | | | | New borrowings through refinancing | — | | | 169,000 | | | | | Settlement of transaction cost through refinancing | — | | | 794 | | | | | | | | | | | | | | | | | | | | | | | | | | | |
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