Annual and transition report of foreign private issuers pursuant to Section 13 or 15(d)

Intangible Assets and Goodwill (Details) - Schedule of intangible assets and goodwill

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Intangible Assets and Goodwill (Details) - Schedule of intangible assets and goodwill - GBP (£)
£ in Thousands
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Cost      
Balance £ 28,097 £ 3,264  
Additions 14,259 1,889  
Acquisition of subsidiaries 256,590 22,944  
Balance 298,946 28,097  
Accumulated amortization      
Balance (1,437) (76)  
Charge for the year (30,502) (1,361)  
Impairment loss (5,493)    
Balance (37,432) (1,437)  
Net book value      
Balance 261,514 26,660 £ 3,188
Domain names [Member]      
Cost      
Balance 51 20  
Additions 22 31  
Acquisition of subsidiaries  
Balance 73 51  
Accumulated amortization      
Balance (9) (4)  
Charge for the year (25) (5)  
Impairment loss    
Balance (34) (9)  
Net book value      
Balance 39 42 16
Development costs and software [Member]      
Cost      
Balance 5,353 3,244  
Additions 14,237 1,858  
Acquisition of subsidiaries 36,588 251  
Balance 56,178 5,353  
Accumulated amortization      
Balance (1,428) (72)  
Charge for the year (6,622) (1,356)  
Impairment loss (5,493)    
Balance (13,543) (1,428)  
Net book value      
Balance 42,635 3,925 3,172
Customer relationships [Member]      
Cost      
Balance  
Additions  
Acquisition of subsidiaries 21,109  
Balance 21,109  
Accumulated amortization      
Balance  
Charge for the year (21,109)  
Impairment loss    
Balance (21,109)  
Net book value      
Balance
Brand [Member]      
Cost      
Balance  
Additions    
Acquisition of subsidiaries 2,746  
Balance 2,746  
Accumulated amortization      
Balance  
Charge for the year (2,746)  
Impairment loss    
Balance (2,746)  
Net book value      
Balance
Goodwill [Member]      
Cost      
Balance 22,693  
Additions  
Acquisition of subsidiaries 196,147 22,693  
Balance 218,840 22,693  
Accumulated amortization      
Balance  
Charge for the year  
Impairment loss    
Balance  
Net book value      
Balance £ 218,840 £ 22,693