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UNAUDITED INTERIM CONDENSED CONSOLIDATED STATEMENTS OF FINANCIAL POSITION - USD ($)
$ in Thousands
Mar. 31, 2025
Dec. 31, 2024
NON-CURRENT ASSETS    
Property, plant and equipment $ 98,810 $ 99,288
Advance payments for property, plant and equipment 545 374
Right-of-use assets 107,224 101,932
Time deposits 0 4,362
Intangible assets 2,082 2,160
Collaboration prepaid leases 182,613 172,064
Other non-current assets 5,583 6,056
Total non-current assets 396,857 386,236
CURRENT ASSETS    
Collaboration inventories, net 30,933 23,903
Trade receivables 369 6,287
Prepayments, other receivables and other assets 182,040 130,975
Pledged deposits 70 70
Time deposits 563,678 835,934
Cash and cash equivalents 441,702 286,749
Total current assets 1,218,792 1,283,918
Total assets 1,615,649 1,670,154
CURRENT LIABILITIES    
Trade payables 58,143 38,594
Other payables and accruals 116,810 166,180
Government grants 535 532
Lease liabilities 5,341 4,794
Tax payable 14,009 20,671
Contract liabilities 39,535 46,874
Total current liabilities 234,373 277,645
NON-CURRENT LIABILITIES    
Collaboration interest-bearing advanced funding 305,745 301,196
Lease liabilities long term 51,724 44,613
Government grants 6,058 6,154
Total non-current liabilities 363,527 351,963
Total liabilities 597,900 629,608
EQUITY    
Share capital 37 37
Reserves 1,017,712 1,040,509
Total ordinary shareholders’ equity 1,017,749 1,040,546
Total equity 1,017,749 1,040,546
Total liabilities and equity $ 1,615,649 $ 1,670,154