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Supplemental Cash Flow Disclosures (Tables)
3 Months Ended
Apr. 30, 2019
Supplemental Cash Flow Disclosures  
Supplemental Cash Flow Information

   

Three Months

Ended

April 30,

2019

$

   

Three Months

Ended

April 30,

2018

$

 
Supplemental disclosures:            
Interest paid     65,124       41,096  
Income tax paid            
Non-cash investing and financing activities                
Stock issued for services (Note 10(c))     64,315       227,587  
Stock issuable for services           64,265  
Stock issued for settlement of accounts payable (Note 10(b))     338,064        
Stock issued for loan origination fees (Note 10(a))     20,000        
Stock issued for intangible assets (Note 4(a))           830,000  
Stock issued for acquisition of business (Note 4(b))           6,650,000  
Stock issued for finder’s fee (Note 10(d))     127,000        
Warrants granted for finder’s fee (Note 10(d))     19,804       262,400