XML 69 R44.htm IDEA: XBRL DOCUMENT v3.23.1
Share-based payment arrangements (Tables)
12 Months Ended
Dec. 31, 2022
Share-based payment arrangements  
Schedule of fair value assumptions

December 31, 

    

2022

2021

Fair value at grant date

$

3.79

$

9.38

Share price at grant date

$

6.67

$

14.63

Exercise price

$

6.42

$

13.49

Expected volatility

 

70.4

%  

 

76.5

%  

Expected life

 

5.4

years

 

9.5

years

Expected dividends

 

%  

 

%  

Risk-free interest rate (based on government bonds)

 

1.23

%  

 

0.15

%  

Total intrinsic value of options exercised (in 000s)

$

7,628

$

70,876

Total fair value of shares vested (in 000s)

$

24,977

$

13,504

Aggregate intrinsic value of shares outstanding at the end of the period (in 000s)

$

28,529

$

83,198

Weighted-average remaining contractual term - shares exercisable

4.6

years

5.7

years

Weighted-average remaining contractual term - shares outstanding and vested

5.2

years

5.9

years

Schedule of stock option activity

    

Weighted

    

    

Weighted

Number of

average

Number of

average

options

exercise price

options

exercise price

2022

2022

2021

2021

Outstanding at January 1

23,578,470

$

6.76

 

25,908,778

$

4.14

Forfeited during the year

(1,834,219)

 

12.89

 

(1,314,134)

 

8.61

Expired during the year

(821,945)

3.28

(123,666)

7.52

Exercised during the year

(1,269,953)

 

0.41

 

(5,849,945)

 

1.37

Granted during the year

4,713,315

6.67

 

4,957,437

14.63

Outstanding at December 31

24,365,668

$

6.73

 

23,578,470

$

6.76

Options exercisable at December 31

15,761,157

$

5.67

 

15,876,940

$

4.48

Schedule of restricted stock units activity

Number of RSUs

2022

2021

Outstanding at January 1

2,876,413

2,452,338

Forfeited during the year

(899,951)

(474,662)

Released during the year

(1,511,438)

(1,224,466)

Granted during the year

3,827,631

2,123,203

Outstanding at December 31

4,292,655

2,876,413

RSUs vested at December 31