v3.26.1
Interim Condensed Consolidated Statement of Financial Position - USD ($)
$ in Thousands
Jun. 30, 2026
Dec. 31, 2025
Non-current assets    
Property and equipment $ 738 $ 889
Right-of-use assets 1,792 1,047
Intangible assets 399 650
Goodwill 1,836 1,836
Investments in equity accounted associates 4,464 2,243
Deferred platform commission fees 45,934 54,554
Deferred tax asset 117 112
Other non-current investments 19,013 16,415
Loans receivable - non-current 334 318
Total non-current assets 74,627 78,064
Current assets    
Indemnification asset 1,251 1,812
Trade receivables and other current assets 42,570 43,523
Loans receivable 176 1,172
Other investments 43,249 45,408
Prepaid tax 220 227
Cash and cash equivalents 78,242 62,908
Total current assets 165,708 155,050
Total assets 240,335 233,114
Equity    
Additional paid-in capital 30,078 30,107
Share-based payments reserve 144,973 144,601
Treasury share reserve (33,104) (33,104)
Translation reserve 8,236 7,054
Accumulated deficit (201,874) (239,222)
Equity attributable to equity holders of the Company (51,691) (90,564)
Total equity (51,691) (90,564)
Non-current liabilities    
Lease liabilities - non-current 164 310
Long-term deferred revenue 70,506 91,114
Share warrant obligations   362
Total non-current liabilities 70,670 91,786
Current liabilities    
Share warrant obligations 150  
Lease liabilities - current 1,573 777
Trade and other payables 27,742 25,138
Provisions for non-income tax risks 723 1,008
Put option liabilities - current 15,002 15,002
Tax liability 4,227 1,832
Deferred revenue 171,939 188,135
Total current liabilities 221,356 231,892
Total liabilities 292,026 323,678
Total liabilities and shareholders' equity $ 240,335 $ 233,114