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

Provisions (Details) - Schedule of provisions

v3.23.1
Provisions (Details) - Schedule of provisions - GBP (£)
£ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Provisions (Details) - Schedule of provisions [Line Items]    
Beginning balance £ 7,985 £ 3,363
Acquisition of a subsidiary 631 3,549
Recognized during the year 40,320 1,073
Utilized during the year (6,437)  
Reversed during the year (1,406)  
Liabilities held for sale (5,033)  
Disposal of subsidiaries (770)  
Ending balance 35,290 7,985
Current 26,538  
Non-current 8,752  
Dilapidation [Member]    
Provisions (Details) - Schedule of provisions [Line Items]    
Beginning balance 7,985 3,363
Acquisition of a subsidiary 3,549
Recognized during the year 1,464 1,073
Utilized during the year (697)  
Reversed during the year  
Liabilities held for sale  
Disposal of subsidiaries  
Ending balance 8,752 7,985
Current  
Non-current 8,752  
Restructuring [Member]    
Provisions (Details) - Schedule of provisions [Line Items]    
Beginning balance
Acquisition of a subsidiary
Recognized during the year 36,877
Utilized during the year (5,740)  
Reversed during the year (1,406)  
Liabilities held for sale (5,033)  
Disposal of subsidiaries  
Ending balance 24,698
Current 24,698  
Non-current  
Other [Member]    
Provisions (Details) - Schedule of provisions [Line Items]    
Beginning balance
Acquisition of a subsidiary 631
Recognized during the year 1,979
Utilized during the year  
Reversed during the year  
Liabilities held for sale  
Disposal of subsidiaries (770)  
Ending balance 1,840
Current 1,840  
Non-current