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Note 28 - Loans and Borrowings (Tables)
12 Months Ended
Dec. 31, 2019
Statement Line Items [Line Items]  
Disclosure of detailed information about borrowings [text block]
    2019     2018     2017  
                   
Balance at January 1    
5,960
     
1,486
     
2,987
 
Cash flows                        
Repayment                        
-
Capital
   
-
     
(1,500
)    
(1,500
)
-
Interest
   
(130
)    
(58
)    
(156
)
Proceeds    
2,340
     
6,000
     
-
 
Transaction cost    
(46
)    
(60
)    
-
 
Unrealised foreign exchange    
(5,818
)    
-
     
-
 
                         
Non-cash flows                        
Interest    
165
     
92
     
155
 
Balance at December 31    
2,471
     
5,960
     
1,486
 
                         
Long-term portion of term loan facility    
1,942
     
5,960
     
-
 
Short-term portion of term loan facility    
529
     
-
     
1,486
 
Disclosure of terms and repayments of financing [text block]
                2019     2018  
   
Currency
 
Nominal interest rate
 
Year of maturity
 
Face value
   
Carrying amount
   
Face value
   
Carrying amount
 
                                     
Unsecured bank loan - Stanbic  
RTGS$
 
25%
 
2021
   
384
     
384
     
5,960
     
5,960
 
Unsecured bank loan - First Capital  
RTGS$
 
26%
 
2021
   
2,087
     
2,087
     
-
     
-
 
Total  
 
 
 
 
 
   
2,471
     
2,471
     
5,960
     
5,960