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Unaudited Interim Condensed Consolidated Statements of Changes in Equity - USD ($)
Issued capital
Share premium
Capital and other reserves
Share option reserve
Retirement benefit reserve
Exchange fluctuation reserve
Accumulated losses
Total
Balance at Dec. 31, 2021 $ 265 $ 108,515,276 $ 23,747 $ 16,536,912 $ 27,292 $ (622,481) $ (116,378,421) $ 8,102,590
Loss for the period (49,441,815) (49,441,815)
Other comprehensive income/(loss) for the period:                
Exchange differences on translation of foreign operations 3,088,057 3,088,057
Remeasurement losses on defined benefit plan, net of tax 42,103 42,103
Total comprehensive loss for the period 42,103 3,088,057 (49,441,815) (46,311,655)
Issue of shares 1,755 39,598,355 39,600,110
Equity-settled share-based payment arrangements 14,430,835 14,430,835
Balance at Dec. 31, 2022 2,020 148,113,631 [1] 23,747 [1] 30,967,747 [1] 69,395 [1] 2,465,576 [1] (165,820,236) [1] 15,821,880
Loss for the period (172,600,513) (172,600,513)
Other comprehensive income/(loss) for the period:                
Exchange differences on translation of foreign operations (820,391) (820,391)
Remeasurement losses on defined benefit plan, net of tax (29,965) (29,965)
Total comprehensive loss for the period (29,965) (820,391) (172,600,513) (173,450,869)
Scrip dividend for Preference Shares 46 (46)
Shares issued pursuant to share-based payment arrangement 3 2,358,717 (2,358,720)
Shares issued upon exercise of Class C warrants 2,718 51,347,266 51,349,984
Capital Reorganization - Share Exchange (3,317) 3,317  
Repurchase and cancellation of Old Class A Ordinary Shares (14,170) (14,170)
Capital Reorganization - Shares issued to acquire net assets of Bridgetown 2,497 153,544,381 153,546,878
Reclassification of warrant liabilities 12,049,646 12,049,646
Shares issued for the settlement of expenses 32 499,968 500,000
Shares issued upon the exercise of call option for loan notes 201 12,332,834 12,333,035
Reclassification of liabilities for long-term employee benefits 318,921 318,921
Equity-settled share-based payment arrangements 6,629,044 6,629,044
Balance at Dec. 31, 2023 4,200 368,185,898 [1] 12,392,314 [1] 35,238,071 [1] 39,430 [1] 1,645,185 [1] (338,420,749) [1] 79,084,349
Loss for the period (25,322,745) (25,322,745)
Other comprehensive income/(loss) for the period:                
Exchange differences on translation of foreign operations 4,991,757 4,991,757
Remeasurement losses on defined benefit plan, net of tax (5,050) (5,050)
Total comprehensive loss for the period (5,050) 4,991,757 (25,322,745) (20,336,038)
Shares issued pursuant to share-based payment arrangement 137 968,541 (301,768) (666,455) 455
Equity-settled share-based payment arrangements 1,637,724 1,637,724
Balance at Jun. 30, 2024 4,337 369,154,439 12,090,546 36,209,340 34,380 6,636,942 (363,743,494) 60,386,490
Balance at Dec. 31, 2023 4,200 368,185,898 [1] 12,392,314 [1] 35,238,071 [1] 39,430 [1] 1,645,185 [1] (338,420,749) [1] 79,084,349
Loss for the period (37,787,339) (37,787,339)
Other comprehensive income/(loss) for the period:                
Exchange differences on translation of foreign operations 3,738,760   3,738,760
Remeasurement losses on defined benefit plan, net of tax 11,731   11,731
Total comprehensive loss for the period 11,731 3,738,760 (37,787,339) (34,036,848)
Shares issued pursuant to share-based payment arrangement 159 787,437 (787,437) 159
Issuance of share for settlement of long-term employee benefit 4 301,765 (301,769)
Equity-settled share-based payment arrangements 3,179,214 3,179,214
Balance at Dec. 31, 2024 4,363 369,275,100 [1] 12,090,545 [1] 37,629,848 [1] 51,161 [1] 5,383,945 [1] (376,208,088) [1] 48,226,874
Loss for the period (2,233,386) (2,233,386)
Other comprehensive income/(loss) for the period:                
Exchange differences on translation of foreign operations (3,818,542) (3,818,542)
Remeasurement losses on defined benefit plan, net of tax 39,564 39,564
Total comprehensive loss for the period 39,564 (3,818,542) (2,233,386) (6,012,364)
Shares issued pursuant to share-based payment arrangement 155 3,457,209 (3,457,209) 155
Equity-settled share-based payment arrangements 745,096 (28,669) 716,427
Balance at Jun. 30, 2025 $ 4,518 $ 372,732,309 $ 12,090,545 $ 34,917,735 $ 90,725 $ 1,536,734 $ (378,441,474) $ 42,931,092
[1] These reserves accounts comprise the consolidated reserves of US$48,222,511 (2023: US$79,080,149; 2022: US$15,819,860) in the consolidated statements of financial position.