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CONDENSED CONSOLIDATED INTERIM STATEMENTS OF STOCKHOLDERS' EQUITY (Unaudited) - USD ($)
Capital Stock [Member]
Additional Paid-In Capital [Member]
Shared subscribed in advance [Member]
Cumulative Translation Adjustment [Member]
Deficit [Member]
Total
Beginning Balance at Jul. 31, 2022 $ 32,788 $ 26,678,566 $ 0 $ (104,084) $ (23,008,604) $ 3,598,666
Beginning Balance (in shares) at Jul. 31, 2022 32,787,798          
Loss for the period         (684,538) (684,538)
Ending Balance at Oct. 31, 2022 $ 32,788 26,678,566 0 (104,084) (23,693,142) 2,914,128
Ending Balance (in shares) at Oct. 31, 2022 32,787,798          
Beginning Balance at Jul. 31, 2022 $ 32,788 26,678,566 0 (104,084) (23,008,604) 3,598,666
Beginning Balance (in shares) at Jul. 31, 2022 32,787,798          
Loss for the period           (3,499,357)
Share-based compensation           466,527
Ending Balance at Apr. 30, 2023 $ 40,363 30,283,219 0 (104,084) (26,507,962) 3,711,536
Ending Balance (in shares) at Apr. 30, 2023 40,362,800          
Beginning Balance at Jul. 31, 2022 $ 32,788 26,678,566 0 (104,084) (23,008,604) $ 3,598,666
Beginning Balance (in shares) at Jul. 31, 2022 32,787,798          
Options exercise (in shares)           75,000
Ending Balance at Jul. 31, 2023 $ 40,363 30,304,568 0 (104,084) (26,668,986) $ 3,571,861
Ending Balance (in shares) at Jul. 31, 2023 40,362,800          
Beginning Balance at Oct. 31, 2022 $ 32,788 26,678,566 0 (104,084) (23,693,142) 2,914,128
Beginning Balance (in shares) at Oct. 31, 2022 32,787,798          
Loss for the period         (1,461,478) (1,461,478)
Shares issued for cash, net of issuance cost $ 4,449 1,767,521 50,000     1,821,970
Shares issued for cash, net of issuance cost (in shares) 4,449,066          
Ending Balance at Jan. 31, 2023 $ 37,237 28,446,087 50,000 (104,084) (25,154,620) 3,274,620
Ending Balance (in shares) at Jan. 31, 2023 37,236,864          
Loss for the period         (1,353,342) (1,353,342)
Shares issued for cash, net of issuance cost $ 3,051 1,210,402 (50,000)     1,163,453
Shares issued for cash, net of issuance cost (in shares) 3,050,936          
Share-based compensation   466,527       466,527
Options exercise $ 75 27,334       27,409
Options exercise (in shares) 75,000          
Warrants issued for loan modification   132,869       132,869
Ending Balance at Apr. 30, 2023 $ 40,363 30,283,219 0 (104,084) (26,507,962) 3,711,536
Ending Balance (in shares) at Apr. 30, 2023 40,362,800          
Beginning Balance at Jul. 31, 2023 $ 40,363 30,304,568 0 (104,084) (26,668,986) 3,571,861
Beginning Balance (in shares) at Jul. 31, 2023 40,362,800          
Loss for the period         (1,378,425) (1,378,425)
Shares subscribed in advance     440,868     440,868
Share-based compensation   90,361       90,361
Ending Balance at Oct. 31, 2023 $ 40,363 30,394,929 440,868 (104,084) (28,047,411) 2,724,665
Ending Balance (in shares) at Oct. 31, 2023 40,362,800          
Beginning Balance at Jul. 31, 2023 $ 40,363 30,304,568 0 (104,084) (26,668,986) 3,571,861
Beginning Balance (in shares) at Jul. 31, 2023 40,362,800          
Loss for the period           (2,868,722)
Share-based compensation           230,985
Ending Balance at Apr. 30, 2024 $ 55,785 32,546,064 0 (104,084) (29,537,708) 2,960,057
Ending Balance (in shares) at Apr. 30, 2024 55,785,106          
Beginning Balance at Oct. 31, 2023 $ 40,363 30,394,929 440,868 (104,084) (28,047,411) 2,724,665
Beginning Balance (in shares) at Oct. 31, 2023 40,362,800          
Loss for the period         (597,486) (597,486)
Shares issued for cash, net of issuance cost $ 5,378 945,476 (440,868)     509,986
Shares issued for cash, net of issuance cost (in shares) 5,377,541          
Share-based compensation   140,624       140,624
Ending Balance at Jan. 31, 2024 $ 45,741 31,481,029 0 (104,084) (28,644,897) 2,777,789
Ending Balance (in shares) at Jan. 31, 2024 45,740,341          
Loss for the period         (892,811) (892,811)
Shares issued for cash, net of issuance cost $ 10,044 937,698       947,742
Shares issued for cash, net of issuance cost (in shares) 10,044,765          
Share-based compensation           0
Warrants Issued For Credit Facility   127,337       127,337
Ending Balance at Apr. 30, 2024 $ 55,785 $ 32,546,064 $ 0 $ (104,084) $ (29,537,708) $ 2,960,057
Ending Balance (in shares) at Apr. 30, 2024 55,785,106