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Note 10 - Other Current and Non-current Assets (Tables)
12 Months Ended
Mar. 31, 2019
Statement Line Items [Line Items]  
Disclosure of the components of prepayments and other assets [text block]
    As at
March 31, 2019
    As at
March 31, 2018
 
Prepaid expenses and deposits   $
45,709
    $
35,078
 
Customer acquisition costs    
75,707
     
31,852
 
Green certificates    
39,749
     
42,230
 
Gas delivered in excess of consumption    
3,121
     
2,715
 
Inventory    
4,954
     
339
 
    $
169,240
    $
112,214
 
    As at
March 31, 2019
    As at
March 31, 2018
 
Customer acquisition costs   $
46,416
    $
17,101
 
Income taxes recoverable    
3,096
     
2,336
 
Other long-term assets    
-
     
550
 
    $
49,512
    $
19,987