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Supplemental cash flow information (Tables)
12 Months Ended
Oct. 31, 2025
Supplemental Cash Flow Informations Abstract  
Disclosure of reconciliation of cash flows [Table Text Block]
    Years ended October 31,  
    2025     2024     2023  
Balance - beginning of year $ 5,423,948   $ 4,627,452   $ 4,433,363  
Cash flows from financing activities:                  
Proceeds from issuance of convertible debentures   562,000     417,950     645,151  
Repayments of convertible debentures   (417,915 )   (287,460 )   (270,000 )
Non-cash changes:                  
Accretion expense   290,208     272,501     279,834  
Accrued interest on convertible debentures   537,288     530,033     471,596  
Loss (gain) on revaluation of derivative liabilities   (1,360,463 )   78,915     (658,503

)

Loss (gain) on conversion of convertible debentures   9,821     45,535     21,120  
Loss (gain) on repayment of convertible debentures   5,484     62,253     27,243  
Loss (gain) on extinguishment of convertible debentures   (21,994 )   388,985     1,400,823  
Convertible debentures converted into common shares   (162,366 )   (680,701 )   (1,656,422 )
Convertible debentures settled for units   (119,615 )   -     -  
Foreign exchange (gain) loss   (30,428 )   (31,515 )   (66,753 )
Balance - end of year $ 4,715,968   $ 5,423,948   $ 4,627,452