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Condensed Interim Consolidated Statement of Financial Position - USD ($)
Jun. 30, 2024
Dec. 31, 2023
Non-current assets    
Property and equipment $ 1,575,648 $ 1,812,738
Intangible assets 94,046,804 1,184,773
Goodwill 600,000
Investment in a joint venture 619,690
Right-of-use assets 268,350 142,291
Deferred tax assets 584 1,384
Total non-current assets 95,891,386 4,360,876
Current assets    
Trade and other receivables 10,357,688 6,289,768
Government grants 607,585 822,073
Contract assets 8,017,715 1,406,015
Amount due from related parties 1,357,069 346,961
Cash and bank balances 26,893,710 6,239,080
Total current assets 47,233,767 15,103,897
TOTAL ASSETS 143,125,153 19,464,773
Equity    
Share capital 6,686 2,971
Share premium 262,286,166 125,606,786
Share-based payment reserves 89,494 415,573
Accumulated losses (166,615,072) (138,948,686)
Equity/ deficit attributed to equity holders of the Parent 95,767,274 (12,923,356)
Non-controlling interests (1,163,137) (1,174,911)
Total equity/ deficit 94,604,137 (14,098,267)
Non-current liabilities    
Provision for employees’ end-of-service benefits 1,255,530 831,277
Lease liabilities 260,472 58,437
Government grants 387,250 372,371
Total non-current liabilities 1,903,252 1,262,085
Current liabilities    
Trade and other payables 25,588,401 26,204,360
Government grants 154,520 132,948
Contract liabilities 6,040,283 3,458,753
Amount due to shareholders and related parties 12,842,846 1,097,497
Warrant liabilities 1,942,282 1,137,946
Income tax payable 156,991
Bank overdrafts 13,087 7,395
Lease liabilities 36,345 105,065
Total current liabilities 46,617,764 32,300,955
Total liabilities 48,521,016 33,563,040
TOTAL EQUITY AND LIABILITIES $ 143,125,153 $ 19,464,773