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Unaudited Condensed Interim Consolidated Statements of Changes in Equity - USD ($)
Share capital - ordinary share
Share capital - preference share
Advance receipts for share capital
Additional paid in capital in excess of par value of ordinary share
Additional paid in capital-treasury share transactions
Employee share options
Restricted share units
Additional paid in capital in excess of par value of preference share
Accumulated deficit
Financial statements translation differences of foreign operations
Treasury shares
Total
Balance at Dec. 31, 2022 $ 7,136 $ 153,288,043 $ 1,442,346 $ (96,984,380) $ 370,178 $ (29,580,140) $ 28,543,183
Profit for the period 13,495,614 13,495,614
other comprehensive income loss 89,457 584,840 674,297
Total comprehensive income (loss) for the period 13,585,071 584,840 14,169,911
Expiration of share options 881,689 (881,689)  
Employee share option plans 203,676 203,676
Share-based payment for professional services 13 695,662           695,675
Exercise of convertible preference shares 560 5,214,402           5,214,962
Issuance of restricted share units 99 697,802   175,599         873,500
Exercise of warrants 38 4,450,788           4,450,826
Balance at Dec. 31, 2023 7,846 165,228,386 764,333 175,599 (83,399,309) 955,018 (29,580,140) 54,151,733
Profit for the period 1,611,588 1,611,588
other comprehensive income loss 2,112 (1,949,532) (1,947,420)
Total comprehensive income (loss) for the period 1,613,700 (1,949,532) (335,832)
Expiration of share options  
Share-based payment for professional services 122 722,054           722,176
Exercise of convertible preference shares 2,178 6,264,479           6,266,657
Issuance of restricted share units 5 30,734   (69,795)         (39,056)
Stock Split  
Issuance of ordinary shares 2,143 11,287,861 11,290,004
Acquisition of intangible asset through share-based payment 5 (5)  
Balance at Jun. 30, 2024 $ 12,299 $ 183,533,509 $ 764,333 $ 105,804 $ (81,785,609) $ (994,514) $ (29,580,140) $ 72,055,682