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Deferred Liabilities, Commitments and Contingencies (Details)
3 Months Ended 12 Months Ended
Mar. 20, 2023
USD ($)
t
$ / shares
shares
Mar. 10, 2023
USD ($)
item
$ / shares
shares
Feb. 28, 2023
USD ($)
item
Sep. 16, 2021
USD ($)
Sep. 03, 2021
USD ($)
shares
Aug. 02, 2021
USD ($)
$ / shares
shares
Mar. 31, 2023
USD ($)
item
$ / shares
shares
Dec. 31, 2022
USD ($)
Deferred Liabilities, Commitments and Contingencies                
Maximum number of demands for registration of securities | item             3  
Underwriter cash discount       $ 5,302,956        
Deferred underwriting discount percentage       2.00%        
Amount of facility     $ 205,000,000          
Number of shares issued | shares   1,500,000            
Purchase price, per unit | $ / shares   $ 10.00         $ 10.00  
Upfront cash deposit $ 75,000,000              
Increase in upfront cash deposit $ 15,000,000              
Percent of payable silver 100.00%              
Percent of produced silver at the CSA Mine 90.00%              
Percent of refined silver price for each ounce 4.00%              
Percentage of issued share capital in ROFR 5.00%              
Aggregate purchase price   $ 15,000,000            
Threshold Quantity of Refined Copper delivered to the Purchaser | t 33,000              
Period of achievement 10 days              
Ounce to be quoted on silver price | t 25.50              
ROFR term 7 years              
New MAC Ordinary Shares | New MAC Financing Warrants                
Deferred Liabilities, Commitments and Contingencies                
Minimum number of times the exercise price for twenty consecutive trading days based on which acceleration of exercise date of warrants is determined | item   2            
Revolving Credit Facility [Member]                
Deferred Liabilities, Commitments and Contingencies                
Maturity term (in years)     3 years          
Minimum | Facility C                
Deferred Liabilities, Commitments and Contingencies                
Issuance fee (in percent)     2.00%          
Maximum [Member]                
Deferred Liabilities, Commitments and Contingencies                
Amount of facility             $ 75,000,000  
Maximum [Member] | Facility C                
Deferred Liabilities, Commitments and Contingencies                
Issuance fee (in percent)     3.00%          
Glencore Deed of Consent                
Deferred Liabilities, Commitments and Contingencies                
Deferred fees             4,530,101 $ 2,995,087
Silver Stream Equity Subscription Agreement                
Deferred Liabilities, Commitments and Contingencies                
Aggregate ordinary shares | shares 1,500,000              
Aggregate purchase price $ 15,000,000              
Purchase price (In per share) | $ / shares $ 10.00              
Syndicated facility agreement                
Deferred Liabilities, Commitments and Contingencies                
Number of Credit Facilities | item     3          
Additional interest rate on overdue payments (in percent)     2.00%          
Syndicated facility agreement | Facility A                
Deferred Liabilities, Commitments and Contingencies                
Amount of facility     $ 205,000,000          
Debt Service Cover Ratio     1.50          
Percentage of excess cash to be applied for repayment     30.00%          
Maturity term (in years)     5 years          
Variable margin     3.00%          
Syndicated facility agreement | Revolving Credit Facility [Member]                
Deferred Liabilities, Commitments and Contingencies                
Amount of facility     $ 25,000,000          
Variable margin     0.03%          
Syndicated facility agreement | Facility C                
Deferred Liabilities, Commitments and Contingencies                
Amount of facility     $ 40,000,000          
Mezz Facility                
Deferred Liabilities, Commitments and Contingencies                
Maturity term (in years)   5 years            
Variable margin   2.00%            
Mezzanine loan facility   $ 135,000,000            
Copper Purchase Agreement                
Deferred Liabilities, Commitments and Contingencies                
Amount of facility $ 75,000,000              
One-time payment $ 40,000,000              
Percentage of cash settlement price 4.00%              
Notoce period for drawing the deposit (in days), prior to the closing of the Business Combination 10 days              
Percentage of Payable Copper to determine amount to be transferred 96.20%              
Payments to related parties $ 20,000,000              
Copper Purchase Agreement | Maximum [Member] | Revolving Credit Facility [Member]                
Deferred Liabilities, Commitments and Contingencies                
Aggregate purchase price             25,000,000  
Copper Stream Equity Subscription Agreement                
Deferred Liabilities, Commitments and Contingencies                
Purchase price (In per share) | $ / shares $ 10.00              
Copper Stream Equity Subscription Agreement | New MAC Ordinary Shares                
Deferred Liabilities, Commitments and Contingencies                
Aggregate ordinary shares | shares 2,500,000              
Aggregate purchase price $ 25,000,000              
Equity Subscription Agreement [Member] | New MAC Ordinary Shares                
Deferred Liabilities, Commitments and Contingencies                
Exercise price of warrants | $ / shares   $ 12.50            
Equity Subscription Agreement [Member] | New MAC Ordinary Shares | New MAC Financing Warrants                
Deferred Liabilities, Commitments and Contingencies                
Warrants issued upon conversion of notes | shares   3,187,500            
Threshold consecutive trading days based on which Acceleration of exercise date of warrants is determined   20 days            
Number of shares per warrant | shares   1            
IPO                
Deferred Liabilities, Commitments and Contingencies                
Number of units sold | shares           25,000,000    
Proceeds from issuance initial public offering           $ 250,000,000    
Purchase price, per unit | $ / shares           $ 10.00    
Deferred underwriting discount             $ 9,280,173  
Over-allotment option                
Deferred Liabilities, Commitments and Contingencies                
Underwriters option period             45 days  
Number of units sold | shares         1,514,780 3,750,000 3,750,000  
Proceeds from issuance of units         $ 15,147,800      
Cash underwriting fees         302,956      
Deferred underwriting discount percentage       3.50%        
Proceeds from issuance initial public offering       $ 9,280,173        
Deferred underwriting discount         $ 530,173      
Legal Services Agreement                
Deferred Liabilities, Commitments and Contingencies                
Accrued fees             $ 4,168,087 3,373,124
Tax Planning Services Agreement                
Deferred Liabilities, Commitments and Contingencies                
Deferred fees             $ 662,562 $ 544,119