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FINANCIAL INSTRUMENTS (Details Narrative) - USD ($)
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Statement [Line Items]    
Cash $ 101,724,000 $ 27,317,000
Current liabilities $ 32,506,000 15,534,000
Interest Rate Risk [Member]    
Statement [Line Items]    
Asset and liability exposure, description A 10% change in the interest rate would not result in a material impact on the Company’s operations  
Liquidity Risk [Member]    
Statement [Line Items]    
Cash $ 101,724,000  
Current liabilities 99,562,000  
Foreign Currency Risk [Member]    
Statement [Line Items]    
Impact on net earning (loss) 248,000 144,000
Derivative asset 1,314  
Derivative liability   475,000
Price Risk [Member]    
Statement [Line Items]    
Impact on net earning (loss) 743,000 36,000
Price Risk [Member] | Long-term investments [Member]    
Statement [Line Items]    
Impact on net earning (loss) $ 384,000 $ 119,000