Registration statement for securities of certain foreign private issuers

Consolidated Statement of Changes in Equity

v3.21.2
Consolidated Statement of Changes in Equity - USD ($)
$ in Thousands
Total
Share capital
Share premium
Share-based payment reserve
Retained earnings
Foreign exchange revaluation reserve
Equity attributable to owners of the parent company
Non- controlling Interest
Beginning balance at Dec. 31, 2018 $ (50,484) $ 10 $ 76,833 $ 7,302 $ (142,418) $ 7,789 $ (50,484)  
Total comprehensive loss for the period                
Loss for the period 149,980       (140,287)   (140,287)  
Loss for the period (140,287)              
Foreign exchange movement 9,693         9,693 9,693  
Equity raise 377,273 3 377,270       377,273  
Equity-settled share-based payment transactions 7,966     7,966     7,966  
Fees directly attributable to equity raise (11,048)   (11,048)       (11,048)  
Effect of share redenomination 70   70       70  
Ending balance at Dec. 31, 2019 173,797 13 443,125 15,268 (282,705) (1,904) 173,797  
Total comprehensive loss for the period                
Loss for the period 89,283       (89,984)   (89,984) $ (829)
Loss for the period (90,813)              
Foreign exchange movement 1,530         1,530 1,530  
Equity raise 6,339     6,339     6,339  
Ending balance at Jun. 30, 2020 90,853 13 443,125 21,607 (372,689) (374) 91,682 (829)
Beginning balance at Dec. 31, 2019 173,797 13 443,125 15,268 (282,705) (1,904) 173,797  
Total comprehensive loss for the period                
Loss for the period 184,451       (186,799)   (186,799) (1,231)
Loss for the period (188,030)              
Foreign exchange movement 3,579         3,579 3,579  
Equity raise 11,907   11,907       11,907  
Equity-settled share-based payment transactions 16,917     16,917     16,917  
Conversion of convertible debt 30,189   30,189       30,189  
Ending balance at Dec. 31, 2020 48,359 13 485,221 32,185 (469,504) 1,675 49,590 (1,231)
Total comprehensive loss for the period                
Loss for the period 75,789       (74,907)   (74,907) (815)
Loss for the period (75,722)              
Foreign exchange movement 67         67 67  
Equity raise 13,101     13,101     13,101  
Conversion of convertible debt 70,000 1 69,999       70,000  
Warrants issued as consideration 2,349   2,349       2,349  
Ending balance at Jun. 30, 2021 $ 58,020 $ 14 $ 557,569 $ 45,286 $ (544,411) $ 1,608 $ 60,066 $ (2,046)