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Consolidated statement of changes in equity - USD ($)
$ in Thousands
Total
Issued capital [Member]
Foreign currency translation reserve [Member]
Equity compensation reserve [Member]
Accumulated losses [Member]
Beginning balance at Jun. 30, 2021 $ 143,678 $ 174,390 $ (832) $ 7,753 $ (37,633)
Changes in equity          
Loss for the year (8,503) 0 0 0 (8,503)
Other comprehensive income          
Foreign currency translation differences on foreign operations (9,361) 0 (9,361) 0 0
Other comprehensive income/(loss) (net of tax) (9,361) 0 (9,361) 0 0
Total comprehensive profit / (loss) for the year (17,864) 0 (9,361) 0 (8,503)
Issue of share capital          
Ordinary shares cash 71,793 71,793 0 0 0
Ordinary shares non-cash 0 0 0 0 0
Proceeds from unlisted options exercised 5,689 5,689 0 0 0
Share-based payments          
Share-based payments expensed/capitalised 2,331 0 0 2,331 0
Fair value of unlisted options exercised 0 3,317 0 (3,317) 0
Fair value of performance rights vested 0 1,012 0 (1,012) 0
Share issue costs (1,928) (1,928) 0 0 0
Ending balance at Jun. 30, 2022 203,699 254,273 (10,193) 5,755 (46,136)
Changes in equity          
Loss for the year (6,391) 0 0 0 (6,391)
Other comprehensive income          
Foreign currency translation differences on foreign operations (2,523) 0 (2,523) 0 0
Other comprehensive income/(loss) (net of tax) (2,523) 0 (2,523) 0 0
Total comprehensive profit / (loss) for the year (8,914) 0 (2,523) 0 (6,391)
Issue of share capital          
Ordinary shares cash 0        
Ordinary shares non-cash 0        
Share-based payments          
Share-based payments expensed/capitalised 2,626 0 0 2,626 0
Fair value of performance rights vested 0 1,103 0 (1,103) 0
Share issue costs (12) (12) 0 0 0
Ending balance at Jun. 30, 2023 197,399 255,364 (12,716) 7,278 (52,527)
Changes in equity          
Loss for the year (7,825) 0 0 0 (7,825)
Other comprehensive income          
Foreign currency translation differences on foreign operations (45) 0 (45) 0 0
Other comprehensive income/(loss) (net of tax) (45) 0 (45) 0 0
Total comprehensive profit / (loss) for the year (7,870) 0 (45) 0 (7,825)
Issue of share capital          
Ordinary shares cash 25,141        
Ordinary shares non-cash 0        
Share-based payments          
Share-based payments expensed/capitalised 4,277 0 0 4,277 0
Fair value of performance rights vested 0 1,892 0 (1,892) 0
Share issue costs (780) (780) 0 0 0
Shares issued from capital raise 25,141 25,141 0 0 0
Options exercised 54 54 0 0 0
Ending balance at Jun. 30, 2024 $ 218,221 $ 281,671 $ (12,761) $ 9,663 $ (60,352)