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Non-cash items (Tables)
12 Months Ended
Aug. 31, 2025
Non-cash Items  
Schedule of non-cash items
          
   For the year ended August 31, 
   2025   2024 
Depreciation  $3,847   $2,260 
Change in fair value of derivative financial instruments          
(Note 12)   (1,262)   (1,271)
Share-based compensation expense (Note 16)   2,461    2,026 
Accretion of provision for reclamation (Notes 13 and 21)   141    108 
Deferred income tax expense (Note 9)   6,165    5,218 
Accretion of lease liabilities (Notes 11 and 21)   351    3 
Deferred revenue (Note 10)   1,474    (548)
Accretion of deferred revenue (Notes 10 and 21)   281    474 
Foreign exchange losses   69    275 
VAT written-off (Notes 5 and 21)   115    581 
Financing costs expensed (Note 21)   968       
Total non-cash items  $14,610   $9,126