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Notes to the Consolidated Statements of Cash Flows - Schedule of Changes in Liabilities Arising from Financing Activities (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Schedule of Changes in Liabilities Arising from Financing Activities [Line Items]      
Balance at beginning $ 31,660 $ 296,918 $ 310,919
Interest expense 1,944 791 433
Conversion into ordinary shares (329,539)  
Transaction costs for the issuance of convertible redeemable preferred shares  
Additions 45,389 50,234 8,360
Disposal    
Payment- financing cash flows (49,562) (25,089) (14,252)
Payment– operating cash flows  
Interest paid (1,871) (685) (424)
Change in fair value   39,171 (7,195)
Exchange adjustment (199) (141) (917)
Balance at end 27,361 31,660 296,918
Financial instrument measured at FVTPL [Member]      
Schedule of Changes in Liabilities Arising from Financing Activities [Line Items]      
Balance at beginning 290,368 297,563
Interest expense
Conversion into ordinary shares   (329,539)  
Transaction costs for the issuance of convertible redeemable preferred shares  
Additions
Disposal    
Payment- financing cash flows
Payment– operating cash flows
Interest paid
Change in fair value 39,171 (7,195)
Exchange adjustment
Balance at end 290,368
Interest-bearing bank borrowings and interest payables [Member]      
Schedule of Changes in Liabilities Arising from Financing Activities [Line Items]      
Balance at beginning 30,469 4,313 10,468
Interest expense 1,894 708 295
Conversion into ordinary shares    
Transaction costs for the issuance of convertible redeemable preferred shares  
Additions 44,702 50,234 7,897
Disposal    
Payment- financing cash flows (48,542) (24,069) (13,316)
Payment– operating cash flows  
Interest paid (1,871) (602) (290)
Change in fair value
Exchange adjustment (187) (115) (741)
Balance at end 26,465 30,469 4,313
Lease liabilities [Member]      
Schedule of Changes in Liabilities Arising from Financing Activities [Line Items]      
Balance at beginning 1,191 2,237 2,888
Interest expense 50 83 133
Conversion into ordinary shares    
Transaction costs for the issuance of convertible redeemable preferred shares  
Additions 687 463
Disposal    
Payment- financing cash flows (1,020) (1,020) (936)
Payment– operating cash flows  
Interest paid   (83) (134)
Change in fair value  
Exchange adjustment (12) (26) (177)
Balance at end $ 896 $ 1,191 $ 2,237