v3.26.1
CONSOLIDATED BALANCE SHEETS - USD ($)
$ in Thousands
Jun. 30, 2026
Mar. 31, 2026
Dec. 31, 2025
Jun. 30, 2025
Mar. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Current assets:              
Cash and cash equivalents (note 4) $ 31,975   $ 49,125     $ 6,392  
Restricted cash (note 4) 305   667     169  
Other receivables 277   315     198  
Prepaid expenses and other 28,959   908     539  
Total current assets 61,516   51,015     7,298  
Property and equipment (note 6) 5,036   6,424     8,278  
Right-of-use assets (note 8) 2,706   2,918     3,278  
Other assets 37   37     140  
Total assets 69,295   60,394     18,994  
Current liabilities:              
Accounts payable and accrued liabilities (note 7) 4,907   5,133     8,962  
Lease liabilities (note 8) 390   454     597  
SIF contribution liability (note 10) 87,417   28,369     15,681  
Warrant liability     1,067     10  
Total current liabilities 170,843   78,296     46,662  
Lease liabilities (note 8) 3,875   4,233     4,410  
Share-based compensation (note 14) 22,477   15,545     6,889  
SAFE Warrants (note 11) 15,467   13,171        
Total liabilities 212,662   111,245     57,961  
Redeemable convertible preferred shares:              
Redeemable shares     122,953 [1]     245,121 [1] $ 237,671
Shareholders' deficiency:              
Common shares, unlimited voting and non-voting shares authorized without par value, 13,290,803 shares issued and outstanding (2024-1,316,702) (note 13) 146,609   146,525 [1]     2,407 [1]  
Additional paid-in capital 18,586   18,327     15,920  
Accumulated other comprehensive loss (3,365)   (6,704)     (3,849)  
Accumulated deficit (454,456)   (331,952)     (298,566)  
Total shareholders' deficiency (292,626) $ (211,625) (173,804) $ (298,122) $ (291,808) (284,088) $ (220,726)
Total liabilities, redeemable convertible preferred shares and shareholders' deficiency 69,295   60,394     18,994  
Related party              
Current liabilities:              
Convertible notes (note 9)           20,142  
SAFE liabilities (note 11) 4,436   3,503        
Non-related party              
Current liabilities:              
Convertible notes (note 9)           $ 1,270  
SAFE liabilities (note 11) $ 51,717   $ 40,837        
[1] Share amounts have been retrospectively adjusted to reflect the ten-for-one (10:1) reverse share split effective August 2025. See note 12 for details.