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

Financial Instruments (Details) - Schedule of financial liabilities based upon contractual undiscounted payments

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Financial Instruments (Details) - Schedule of financial liabilities based upon contractual undiscounted payments - GBP (£)
£ in Thousands
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Financial Instruments (Details) - Schedule of financial liabilities based upon contractual undiscounted payments [Line Items]      
Bank loans £ 1,610    
Stocking loans 177,979 £ 86,709 £ 32,477
Subscription facilities 77,952    
Lease liabilities 100,215 53,898 6,372
Mortgages 2,253 3,615  
Trade payables 29,224 12,668 1,867
Total 389,233 156,890 40,716
Less than one year [Member]      
Financial Instruments (Details) - Schedule of financial liabilities based upon contractual undiscounted payments [Line Items]      
Bank loans 741    
Stocking loans 169,170 86,709 32,477
Subscription facilities 12,155    
Lease liabilities 18,917 7,603 1,429
Mortgages 600 1,385  
Trade payables 29,224 12,668 1,867
Total 230,807 108,365 35,773
1 to 5 years [Member]      
Financial Instruments (Details) - Schedule of financial liabilities based upon contractual undiscounted payments [Line Items]      
Bank loans 869    
Stocking loans 8,809  
Subscription facilities 65,797    
Lease liabilities 46,772 25,243 4,943
Mortgages 1,653 2,230  
Trade payables  
Total 123,900 27,473 4,943
Over 5 years [Member]      
Financial Instruments (Details) - Schedule of financial liabilities based upon contractual undiscounted payments [Line Items]      
Stocking loans  
Lease liabilities 34,526 21,052  
Mortgages    
Trade payables  
Total £ 34,526 £ 21,052