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FINANCIAL INSTRUMENTS (Tables)
6 Months Ended
Jun. 30, 2025
Financial Instruments  
Schedule of Financial instruments measured at fair value
                                       
    Balance at June 30,   Balance at December 31, 
    2025   2024
      Level 1       Level 3       Total       Level 3       Total  
Fair value through profit and loss:                                        
Assets                                        
Derivative financial instruments (a)   $ 1,408     $        $ 1,408     $        $     
                                         
Liabilities                                        
Warrants (c)                                (2,429 )     (2,429 )
                                         
Fair value through other comprehensive income:                                        
Assets                                        
Non-listed equity investments (b)              5,000       5,000                     
                                         
                                         
 Total current financial assets   $ 949      $     $ 949      $     $  
 Total non-current financial assets   $ 459      $ 5,000      $ 5,459      $     $  
                                         
 Total non-current financial liabilities   $     $     $     $ 2,429      $ 2,429   

 

Schedule of warrants liability
       
      June 30, 2025  
     
Balance as of January 1,   $ 2,429  
Gain from remeasurement to fair value through profit or loss     (303 )
Reclassified from a financial liability to an equity instrument     (2,126 )
Balance as of June 30, 2025   $