v3.26.3
Share-Based Payments - Schedule of the Information Required by IFRS 2 for the PSUs, Equity-Settled RSUs and the Compound RSUs (Details)
6 Months Ended
Jun. 30, 2026
$ / shares
shares
PSUs [Member]  
Schedule of the Information Required by IFRS 2 for the PSUs, Equity-Settled RSUs and the Compound RSUs [Line Items]  
Vesting Period 2 years
Maximum term of options 2 years
Method of settlement Equity
Classification Equity-settled
Reconciliation:  
Outstanding at beginning of the period 323,777
Granted during the period
Forfeited during the period
Exercised during the period
Outstanding at end of the period 323,777
Weighted average exercise price (in Dollars per share) | $ / shares
Weighted average remaining contractual life 17 months
Equity-settled RSUs [Member]  
Schedule of the Information Required by IFRS 2 for the PSUs, Equity-Settled RSUs and the Compound RSUs [Line Items]  
Vesting Period 6 months
Maximum term of options 6 months
Method of settlement Equity
Classification Equity-settled
Reconciliation:  
Outstanding at beginning of the period 124,617
Granted during the period
Forfeited during the period
Exercised during the period (124,617)
Outstanding at end of the period
Weighted average exercise price (in Dollars per share) | $ / shares
Compound RSUs [Member]  
Schedule of the Information Required by IFRS 2 for the PSUs, Equity-Settled RSUs and the Compound RSUs [Line Items]  
Vesting Period 2 years
Maximum term of options 2 years
Method of settlement Choice of equity or cashless basis (investment in an approved investment fund)
Classification Compound: equity-settled and cash-settled
Reconciliation:  
Outstanding at beginning of the period 323,777
Granted during the period
Forfeited during the period
Exercised during the period (174,336)
Outstanding at end of the period 149,441
Weighted average exercise price (in Dollars per share) | $ / shares
Weighted average remaining contractual life 11 months