v3.26.3
Condensed Consolidated Interim Statements of Cash Flows (Details) - USD ($)
$ in Thousands
6 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Cash flows from operating activities    
Profit/(loss) before taxation $ 1,254 $ (8,226)
Adjustments:    
Interest income (7) (8)
Finance cost (360) (418)
Share-based payments [1] 1,193
Changes in:    
Cash generated from operations 12,615 11,039
Parent [member]    
Cash flows from operating activities    
Profit/(loss) before taxation 1,254 (8,226)
Adjustments:    
Unrealized exchange losses 42 67
Depreciation and amortization 2,873 2,656
Impairment 25 185
Interest income (7) (8)
Finance cost 938 828
Expected credit loss on trade and other receivables 12
Expected credit loss on related party receivables 3
Loss/(Profit) on scrapping of property, plant & equipment 270
Prepayment write down 75
Share-based payments 1,193
Listing expense 65,381
Fair value loss/(gain) on derivative liability (warrants) 2,749 (3,437)
Fair value loss/(gain) on earnout liability 8,526 (56,832)
Operating cash inflows before working capital changes 17,593 974
Changes in:    
Inventories (225) (190)
Trade and other receivables, net (1,105) (744)
Trade and other payables 1,926 13,785
Prepayments (3,021) 97
Related party balances (2,553) (2,883)
Cash generated from operations $ 12,615 $ 11,039
[1] Refer to note 29 for further details.