v3.26.3
Equity (Tables)
12 Months Ended
Jun. 30, 2026
Equity [Abstract]  
Schedule of Share Capital

(a) Share capital

  

        30 June
2026
    30 June
2025
    30 June
2024
    30 June
2026
    30 June
2025
    30 June
2024
    Notes   Shares     Shares     Shares     $     $     $
Ordinary shares                                  
Ordinary Shares Fully paid         3,544,216,160       2,364,949,502       460,367,051       209,933,371       176,558,493     100,681,716
    7(a)(i)     3,544,216,160,       2,364,949,502       460,367,051       209,933,371       176,558,493     100,681,716
Schedule of Movements in Ordinary Shares

(i) Movements in ordinary shares:

Details   Notes   Number of
shares
    Total
$
 
Balance at 1 July 2023       339,313,037       97,230,329  
Issue at $0.070 pursuant to rights issue (2023-12-08)         30,197,244       2,113,808  
Issue at $0.105 of forfeiture shares as per employment contract (2023-12-14)         2,128,815       223,526  
Issue of ordinary shares at $0.0864 in lieu of cash for services rendered (2024-01-05)         1,200,013       103,681  
Issue at $0.07 pursuant to rights issue shortfall (2024-01-31)         18,714,145       1,309,990  
Issue at $0.07 pursuant to rights issue shortfall (2024-02-09)         1,950,000       136,500  
Issue at $0.059 pursuant to Lind agreement (2024-02-14)         20,000,000       -  
Issue at $0.059 as part of Pharma15 acquisition (2024-03-04)         25,856,470       1,297,022  
Issue at $0.052 pursuant to Lind agreement (2024-03-12)         5,769,231       300,000  
Issue at $0.045 pursuant to Lind agreement (2024-04-15)         6,666,667       300,000  
Issue at $0.035 pursuant to Lind agreement (2024-05-16)         8,571,429       300,000  
Less: Transaction costs arising on share issues         -       (2,633,140 )
Balance at 30 June 2024         460,367,051       100,681,716  
                     
Balance at 1 July 2024         460,367,051       100,681,716  
Issue of ordinary shares at $0.040 pursuant to issue of securities(2024-07-01)         597,130,727       23,885,229  
Issue of ordinary shares at $0.040 pursuant to Tranche 2 placement shares (2024-08-21)         858,056,603       34,322,264  
Issue of ordinary shares at $0.040 pursuant to Tranche 2 placement shares (2024-08-21)         14,031,195       561,248  
Issue of ordinary shares at $0.050 pursuant to Lantheus investment (2024-08-23)         149,625,180       7,481,259  
Issue of ordinary shares at $0.040 pursuant to issue of placement shares (2024-09-13)         93,750,000       3,750,000  
Issue of ordinary shares at $0.036 pursuant to the achievement of a milestone (2024-12-13)         20,594,438       741,400  
Issue of ordinary shares at $0.036 pursuant to forfeiture shares (2024-12-16)         7,091,615       219,840  
Issue of ordinary shares at $0.060 pursuant to issue of placement shares to Lantheus (2025-01-20)         133,333,333       8,000,000  
Issue of ordinary shares at $0.025 pursuant to a milestone payment (2025-06-12)         30,969,360       774,234  
Less: Transaction costs arising on share issues         -       (3,858,697 )
Balance at 30 June 2025         2,364,949,502       176,558,493  
Balance at 1 July 2025         2,364,949,502       176,558,493  
Issue at $0.030 pursuant to rights issue (2025-10-24)         415,706,190       12,471,186  
Issue at $0.030 pursuant to rights issue (2025-12-05)         12,599,991       378,000  
Issue at $0.030 pursuant to rights issue (2025-12-09)         750,960,477       22,528,814  
                     
Less: Transaction costs arising on share issues         -       (2,003,122 )
Balance at 30 June 2026         3,544,216,160       209,933,371  
Schedule of Statement of Financial Position Line Item ‘Other Reserves’ and the Movements in These Reserves During the Year and Period A description of the nature and purpose of each reserve is provided below the table.
        Shares to
be issued
    Share-based
payments
    Equity
settled
payments
    Foreign
currency
translation
    Total
other
reserves
 
    Notes   $     $     $     $     $  
At 1 July 2023         -       10,778,749       330,001       (747,293 )     10,361,457  
Currency translation differences         -       -       -       202,956       202,956  
Other comprehensive loss         -       -       -       202,956       202,956  
Transactions with owners in their capacity as owners                                            
Issue of options as part of forfeiture payments         -       44,796       (44,796 )     -       -  
Issue of shares as part of forfeiture payments         -       -       (147,038 )     -       (147,038 )
Issue of options   7(b)(ii)     -       3,327,468       -       -       3,327,468  
Shares to be issued         24,185,229       -       -       -       24,185,229  
At 30 June 2024         24,185,229       14,151,013       138,167       (544,337 )     37,930,072  
                                             
At 1 July 2024         24,185,229       14,151,013       138,167       (544,337 )     37,930,072  
Currency translation differences         -       -       -       464,034       464,034  
Other comprehensive loss         24,185,229       14,151,013       138,167       (80,303 )     38,394,106  
Transactions with owners in their capacity as owners                                            
Transfer from Share-based payments to equity settled payments                 (136,454 )     136,454               -  
Issue of options as part of forfeiture payments         -       43,506       (43,506 )     -       -  
Issue of shares as part of placement         (23,885,229 )     -       -               (23,885,229 )
Issue of shares as part of forfeiture payments         -       -       (200,394 )     -       (200,394 )
Lapse of forfeiture payment         -       -       (30,721 )     -       (30,721 )
Issue of options         -       2,157,778       -       -       2,157,778  
Cancellation of shares to be issued relating to Lind         (300,000 )     -       -       -       (300,000 )
Expiration of options         -       (2,797,451 )     -       -       (2,797,451 )
Forfeiture of options         -       (221,170 )     -       -       (221,170 )
At 30 June 2025         -       13,197,222       -       (80,303 )     13,116,919  
        Shares to
be issued
    Share-based
payments
    Equity
settled
payments
    Foreign
currency
translation
    Total
other
reserves
 
    Notes   $     $     $     $     $  
At 1 July 2025         -       13,197,222       -       (80,303 )     13,116,919  
Currency translation differences         -       -       -       621,440       621,440  
Other comprehensive loss         -       13,197,222       -       541,137       13,738,359  
Transactions with owners in their capacity as owners                                            
                                             
Issue of options   7(b)(ii)     -       2,740,119       -       -       2,740,119  
Expiration of options         -       (1,730,159 )     -       -       (1,730,159 )
Forfeiture of options         -       (334,164 )     -       -       (334,164 )
At 30 June 2026         -       13,873,018       -       541,137       14,414,155  

 

Schedule of Movements in Options

(ii) Movements in options:

 

Details   Number of
options
    Total
   $
 
Balance at 30 June 2023     151,710,315       10,642,295  
Issue of unlisted options     16,455,224       763,778  
Issue of ESOP unlisted options     18,795,456       742,379  
Expense for share-based payments for options previously issued     -       1,866,107  
                 
Balance at 30 June 2024     186,960,995       14,014,559  
Issue of unlisted options     968,815,574       29,985  
Issue of ESOP unlisted options     164,472,155       1,396,110  
Forfeiture of options     (4,351,176 )     (221,170 )
Expiration of options     (163,605,052 )     (2,797,451 )
Expense for share-based payments for options previously issued     -       775,189  
Balance at 30 June 2025     1,152,292,496       13,197,222  
Issue of unlisted options     214,480,666       1,939,747  
Issue of listed options     1,179,266,658       -  
Expiration of options     (6,605,604 )     (1,730,159 )
Forfeiture of options     (37,224,710 )     (334,164 )
Expense for share-based payments for options previously issued     -       800,372  
Balance at 30 June 2026     2,502,209,506       13,873,018  
Schedule of Other Equity

(c) Other equity

 

    30 June     30 June     30 June  
    2026
$
    2025
$
    2024
$
 
Contingent issue of equity        -       849,544       849,544  
      -       849,544       849,544