v3.26.3
Financial Instruments - Schedule of Reconciliation of Fair Value Measurement of Warrants Liability (level 3) (Details) - USD ($)
12 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Schedule Of Reconciliation Of Fair Value Measurement Of Warrants Liability Level3 Abstract    
Opening balance $ 37,389,320 $ 35,523,651
Additions 34,995,000 3,104,593
Exercise (101,564,420) (448,320)
Gains/losses recognized in profit or loss 93,700,934 (7,179,204)
Release of amortization allowance 3,197,211 6,388,600
Closing balance $ 67,718,045 $ 37,389,320