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Condensed Interim Consolidated Statements of Changes in Shareholders' Deficiency (Unaudited) - USD ($)
3 Months Ended 9 Months Ended
Sep. 30, 2024
Sep. 30, 2023
Sep. 30, 2024
Sep. 30, 2023
Balance     $ (26,367,162) $ (26,176,943)
Stock-based compensation     669,691 1,348,851
Compensation options       111,971
Shares issued for interest payable     1,833,002 2,308,191
Shares issued for RSUs vested    
Shares issued for warrant exercise       907,090
Special warrant shares issued for $0.15 CAD       7,425,377
OCI     (2,552,092) 502,335
Net (loss) for the period $ (8,078,972) $ 7,447,860 (17,563,412) (7,618,775)
Balance (43,979,973) (21,191,903) (43,979,973) (21,191,903)
Common Stock [Member]        
Balance     $ 321 $ 228
Balance, shares     322,661,482 229,501,661
Stock-based compensation      
Shares issued for interest payable     $ 18 $ 20
Shares issued for interest payable, shares     18,444,707 20,125,209
Shares issued for RSUs vested     $ 3 $ 6
Shares issued for RSUs vested, shares     2,646,436 5,767,218
Shares issued for warrant exercise       $ 10
Shares issued for warrant exercise, shares       10,416,667
Special warrant shares issued for $0.15 CAD       $ 52
Special warrant shares issued for $0.15 CAD, shares       51,633,727
OCI    
Net (loss) for the period    
Balance $ 342 $ 316 $ 342 $ 316
Balance, shares 343,752,625 317,444,482 343,752,625 317,444,482
Additional Paid-in Capital [Member]        
Balance     $ 57,848,953 $ 45,161,513
Stock-based compensation     669,691 1,348,851
Compensation options       111,971
Shares issued for interest payable     1,832,984 2,308,171
Shares issued for RSUs vested     (3) (6)
Shares issued for warrant exercise       907,080
Special warrant shares issued for $0.15 CAD       7,425,325
OCI    
Net (loss) for the period    
Balance $ 60,351,625 $ 57,262,905 60,351,625 57,262,905
AOCI Attributable to Parent [Member]        
Balance     808,662 253,875
Stock-based compensation    
Compensation options      
Shares issued for interest payable    
Shares issued for RSUs vested    
Shares issued for warrant exercise      
Special warrant shares issued for $0.15 CAD      
OCI     (2,552,092) 502,335
Net (loss) for the period    
Balance (1,743,430) 756,210 (1,743,430) 756,210
Retained Earnings [Member]        
Balance     (85,025,098) (71,592,559)
Stock-based compensation    
Compensation options      
Shares issued for interest payable    
Shares issued for RSUs vested    
Shares issued for warrant exercise      
Special warrant shares issued for $0.15 CAD      
OCI    
Net (loss) for the period     (17,563,412) (7,618,775)
Balance $ (102,588,510) $ (79,211,334) $ (102,588,510) $ (79,211,334)