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INTEREST-BEARING LOANS AND BORROWINGS (Tables)
12 Months Ended
Dec. 31, 2022
Disclosure Of Interest-bearing Loans And Borrowings [Abstract]  
Schedule of Borrowings
 
 
December 31,
2022
US$’000
   
December 31,
2021
US$’000
 
Current liabilities
           
Exchangeable senior notes
   
210
     
83,312
 
 
               
Total
   
210
     
83,312
 
 
 
 
December 31,
2022
US$’000
   
December 31,
2021
US$’000
 
Non-Current liabilities
           
Senior secured term loan
   
44,301
     
-
 
Derivative financial liability
   
1,569
     
-
 
Convertible Note
   
13,746
     
-
 
 
               
Total non-current liabilities
   
59,616
     
-
 
 
 
 
December 31,
2022
US$’000
   
December 31,
2021
US$’000
 
Non-Current assets
           
Derivative financial asset
   
128
     
-
 
 
               
Total non-current assets
   
128
     
-
 
Schedule of Exchangeable Notes Balance
   
December 31,
2022
US$000
   
December 31,
2021
US$000
 
Balance at January 1
   
(83,312
)
   
(82,664
)
Accretion interest
   
(83
)
   
(648
)
Repaid to Note holders
   
86,730
     
0
 
Shares issued to Note holders as consideration
   
6,133
     
0
 
Loss on disposal
   
(9,678
)
   
0
 
                 
Liability
   
(210
)
   
(83,312
)
Schedule of Term Loan And The 7-Year Convertible Notes
   
Senior secured term loan
US$000
   
7-year Convertible Note
US$000
 
Balance at January 1, 2022
   
-
     
-
 
Principal amount loaned
   
(81,250
)
   
(20,000
)
Loan origination costs
   
3,551
     
40
 
Derivative financial liability at date of issue
   
1,872
     
-
 
Derivative financial asset at date of issue
   
(202
)
   
-
 
Equity component at date of issue
   
-
     
6,709
 
Accretion interest
   
(2,772
)
   
(495
)
Cash repayment of principal
   
34,500
     
-
 
                 
Non-current liability at December 31, 2022
   
(44,301
)
   
(13,746
)
 
Schedule of Derivative Financial Liability
   
US$000
 
Balance at January 1, 2022
   
-
 
Derivative financial liability at date of issue of Term Loan
   
(1,872
)
Fair value adjustments in the period
   
303
 
         
Non-current liability at December 31, 2022
   
(1,569
)
 
Schedule of Derivative Financial Asset
   
US$000
 
Balance at January 1, 2022
   
-
 
Derivative financial asset at date of issue of Term Loan
   
202
 
Fair value adjustments in the period
   
(74
)
         
Non-current asset at December 31, 2022
   
128