v3.26.1
Cash Flow Information (Details) - USD ($)
$ in Thousands
12 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2023
Cash and cash equivalents        
Cash at bank $ 47,390 $ 161,158 $ 62,563  
Deposits at call 55,524 393 397  
Cash and cash equivalents 102,914 161,551 62,960 $ 71,318
Cash flows from operating activities        
Loss for the period (57,500) (102,142) (87,956)  
Add/(deduct) net loss for non-cash items as follows:        
Finance costs 23,709 22,901 22,792  
Equity settled share-based payment 14,873 22,088 5,870  
Remeasurement of contingent consideration (12,057) 14,887 9,693  
Depreciation and amortization 8,585 6,400 4,666  
Other costs of finance classified as financing activities 2,724 0 0  
Adjustments For Losses (Gains) On Disposal Of Intangible Assets 1,360 0 0  
Foreign exchange (gains)/losses (1,160) 23 78  
Remeasurement of warrant liabilities (859) 4,962 (779)  
Gain on derecognition of lease (388) 0 0  
Loss on derecognition of sublease 85 0 0  
Deferred tax benefit 613 330 (191)  
Restructure of short-term incentive 0 6,711 0  
Adjustment for pre-launch inventory 0 (23,072) 0  
Change in operating assets and liabilities:        
(Increase)/decrease in trade and other receivables (42,826) 5,021 (15,466)  
(Increase)/decrease in inventory (6,022) 826 0  
(Increase)/decrease in prepayments (2,875) (3,018) 807  
Increase/(decrease) in trade and other payables 25,687 11,780 (12,378)  
Increase/(decrease) in provisions 2,221 (18,919) 22,916  
Decrease/(increase) in tax assets 0 1,268 1,490  
Net cash (outflows) in operating activities $ (43,830) $ (49,954) $ (48,458)