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Equity - Schedule of Statement of Financial Position Line Item ‘Other Reserves’ and the Movements in These Reserves During the Year and Period (Details) - USD ($)
12 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2023
Shares to be issued [Member]      
Schedule of Statement of Financial Position Line Item ‘Other Reserves’ and the Movements in These Reserves During the Year and Period [Line Items]      
Beginning balance $ 24,185,229
Currency translation differences
Other comprehensive loss 24,185,229
Transfer from Share-based payments to equity settled payments    
Issue of options as part of forfeiture payments
Issue of shares as part of placement (23,885,229)    
Issue of shares as part of forfeiture payments
Lapse of forfeiture payment    
Issue of options
Cancellation of shares to be issued relating to Lind (300,000)    
Expiration of options    
Forfeiture of options    
Shares to be issued   24,185,229  
Ending balance 24,185,229
Share-based payments [Member]      
Schedule of Statement of Financial Position Line Item ‘Other Reserves’ and the Movements in These Reserves During the Year and Period [Line Items]      
Beginning balance 14,151,013 10,778,749 6,554,312
Currency translation differences
Other comprehensive loss 14,151,013
Transfer from Share-based payments to equity settled payments (136,454)    
Issue of options as part of forfeiture payments 43,506 44,796
Issue of shares as part of placement    
Issue of shares as part of forfeiture payments
Lapse of forfeiture payment    
Issue of options 2,157,778 3,327,468 4,224,437
Cancellation of shares to be issued relating to Lind    
Expiration of options (2,797,451)    
Forfeiture of options (221,170)    
Shares to be issued    
Ending balance 13,197,222 14,151,013 10,778,749
Equity settled payments [Member]      
Schedule of Statement of Financial Position Line Item ‘Other Reserves’ and the Movements in These Reserves During the Year and Period [Line Items]      
Beginning balance 138,167 330,001 573,865
Currency translation differences
Other comprehensive loss 138,167
Transfer from Share-based payments to equity settled payments 136,454    
Issue of options as part of forfeiture payments (43,506) (44,796) (136,454)
Issue of shares as part of placement    
Issue of shares as part of forfeiture payments (200,394) (147,038) (107,410)
Lapse of forfeiture payment (30,721)    
Issue of options
Cancellation of shares to be issued relating to Lind    
Expiration of options    
Forfeiture of options    
Shares to be issued    
Ending balance 138,167 330,001
Foreign currency translation [Member]      
Schedule of Statement of Financial Position Line Item ‘Other Reserves’ and the Movements in These Reserves During the Year and Period [Line Items]      
Beginning balance (544,337) (747,293) (19,043)
Currency translation differences 464,034 202,956 (728,250)
Other comprehensive loss (80,303) 202,956 (728,250)
Transfer from Share-based payments to equity settled payments    
Issue of options as part of forfeiture payments
Issue of shares as part of placement    
Issue of shares as part of forfeiture payments
Lapse of forfeiture payment    
Issue of options
Cancellation of shares to be issued relating to Lind    
Expiration of options    
Forfeiture of options    
Shares to be issued    
Ending balance (80,303) (544,337) (747,293)
Total other reserves [Member]      
Schedule of Statement of Financial Position Line Item ‘Other Reserves’ and the Movements in These Reserves During the Year and Period [Line Items]      
Beginning balance 37,930,072 10,361,457 7,109,134
Currency translation differences 464,034 202,956 (728,250)
Other comprehensive loss 38,394,106 202,956 (728,250)
Transfer from Share-based payments to equity settled payments    
Issue of options as part of forfeiture payments (136,454)
Issue of shares as part of placement (23,885,229)    
Issue of shares as part of forfeiture payments (200,394) (147,038) (107,410)
Lapse of forfeiture payment (30,721)    
Issue of options 2,157,778 3,327,468 4,224,437
Cancellation of shares to be issued relating to Lind (300,000)    
Expiration of options (2,797,451)    
Forfeiture of options (221,170)    
Shares to be issued   24,185,229  
Ending balance $ 13,116,919 $ 37,930,072 $ 10,361,457