v3.26.3
Consolidated statement of changes in equity - USD ($)
Share capital
Share Premium
Share-based compensation reserve
Reserve for disposal group held for sale
Foreign currency translation reserve
Other reserve
Accumulated losses
Equity/(deficit) attributable to equity holders of the Parent Company
Non-controlling interests
Total
Beginning Balance at Dec. 31, 2024 $ 24,746 $ 353,883,768 $ 564,127 $ 2,372,514 $ (16,603,786) $ 1,886,000 $ (339,845,041) $ 2,282,328 $ (2,970,273) $ (687,945)
Profit or (Loss) for the year             432,200 432,200   432,200
Other comprehensive loss for the year         (1,400,601)     (1,400,601)   (1,400,601)
Total comprehensive loss for the period         (1,400,601)   432,200 (968,401)   (968,401)
Issuance of shares (note 11) 166 295,559           295,725   295,725
Other reserves (note 14.1)           2,000,000   2,000,000   2,000,000
Share-based compensation charge (note 12)     67,502         67,502   67,502
Ending Balance at Jun. 30, 2025 24,912 354,179,327 631,629 2,372,514 (18,004,387) 3,886,000 (339,412,841) 3,677,154 (2,970,273) 706,881
Beginning Balance at Dec. 31, 2024 24,746 353,883,768 564,127 2,372,514 (16,603,786) 1,886,000 (339,845,041) 2,282,328 (2,970,273) (687,945)
Ending Balance at Dec. 31, 2025 24,910 354,179,329 661,495 2,294,456 (16,247,136) 3,534,927 (338,532,319) 5,915,662 (2,970,273) 2,945,389
Profit or (Loss) for the year             (520,182) (520,182)   (520,182)
Other comprehensive loss for the year       75,081 (258,137)     (183,056)   (183,056)
Total comprehensive loss for the period       75,081 (258,137)   (520,182) (703,238)   (703,238)
Share-based compensation charge (note 12)     68,993         68,993   68,993
Ending Balance at Jun. 30, 2026 $ 24,910 $ 354,179,329 $ 730,488 $ 2,369,537 $ (16,505,273) $ 3,534,927 $ (339,052,501) $ 5,281,417 $ (2,970,273) $ 2,311,144