v3.26.3
Share-Based Payments (Tables)
6 Months Ended
Jun. 30, 2026
Share-Based Payments [Abstract]  
Schedule of the Total Share-Based Payment Expense

The total share-based payment expense is as follows:

 

    June 30,
2026
    June 30,
2025
 
             
Performance Stock Units (PSUs)     40       -  
Equity-settled Restricted Stock Units (RSUs)     366       -  
Compound RSUs     96       -  
Termination benefits     691       -  
Total     1,193       -  
Schedule of the Information Required by IFRS 2 for the PSUs, Equity-Settled RSUs and the Compound RSUs

This table summarizes additional information for the PSUs, equity-settled RSUs and the compound RSUs:

 

June 30, 2026   $   PSUs       Equity-settled RSUs       Compound RSUs  
Vesting Period       2 years       6 months       2 years  
Maximum term of options       2 years       6 months       2 years  
Method of settlement       Equity       Equity       Choice of equity or
cashless basis
(investment in an
approved investment fund)
 
Classification       Equity-settled       Equity-settled       Compound:
equity-settled and
cash-settled
 
Reconciliation:                          
Outstanding at beginning of the period       323,777       124,617       323,777  
Granted during the period       —       —       —  
Forfeited during the period       —       —       —  
Exercised during the period       —       (124,617 )     (174,336 )
Outstanding at end of the period       323,777       —       149,441  
                           
Weighted average exercise price       —       —       —  
Weighted average remaining contractual life       17 months       —       11 months