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Financial instruments-Fair values and risk management - Remaining contractual maturities (Details) - USD ($)
Dec. 31, 2022
Dec. 31, 2021
Contractual undiscounted cash outflow    
Trade payables $ 7,291,133 $ 9,979,726
Accrued expenses and other current liabilities 15,668,734 36,280,298
Lease liabilities 7,308,540 5,981,170
Warrant liabilities 3,574,885  
Liabilities for puttable financial instrument 17,138,905  
Preference share liabilities - redemption amount   123,556,616
Total liabilities 50,982,197 175,797,810
Carrying amount    
Trade payables 7,291,133 9,979,726
Accrued expenses and other current liabilities 15,668,734 36,280,298
Lease liabilities 6,646,163 5,267,210
Warrant liability 3,574,885  
Preference share liabilities - redemption amount   61,373,153
Current Liabilities For Puttable Financial Instrument 17,138,905 0
Total liabilities 50,319,820 112,900,387
Not later than one year [member]    
Contractual undiscounted cash outflow    
Trade payables 7,291,133 9,979,726
Accrued expenses and other current liabilities 15,611,421 36,280,298
Lease liabilities 3,022,367 1,921,466
Warrant liabilities 3,574,885  
Liabilities for puttable financial instrument 17,138,905  
Total liabilities 46,638,711 48,181,490
Later than one year and not later than two years [member]    
Contractual undiscounted cash outflow    
Accrued expenses and other current liabilities 57,313  
Lease liabilities 1,678,615 1,743,456
Total liabilities 1,735,928 1,743,456
Later than two years and not later than five years [member]    
Contractual undiscounted cash outflow    
Lease liabilities 2,607,558 2,316,248
Preference share liabilities - redemption amount   123,556,616
Total liabilities $ 2,607,558 $ 125,872,864