Reserves - Schedule of Share-Based Payment Reserve (Details) - USD ($) |
12 Months Ended | ||||
|---|---|---|---|---|---|
Jun. 30, 2026 |
Jun. 30, 2025 |
Jun. 30, 2024 |
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| Schedule of Share-Based Payment Reserve [Abstract] | |||||
| Balance at beginning of year | $ 4,743,075 | $ 790,690 | |||
| Issue of RSUs to Directors and management (note 25) | 61,913,426 | 27,044,194 | $ 608,156 | ||
| Issue of RSUs to suppliers | 80,700 | ||||
| Issue of RSU’s to Directors and management in lieu of fees | 1,079,318 | ||||
| Transaction costs for PIPE Warrants | 25,703 | ||||
| Issue of warrants PIPE (Brokers) | [1] | 3,661,200 | 160,574 | ||
| Exercise of warrants (cashless) | (31,678) | ||||
| Issue of shares upon vesting of RSU’s | (8,632,900) | (24,438,104) | |||
| Balance at end of year | $ 61,653,123 | $ 4,743,075 | $ 790,690 | ||
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