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Consolidated Statements of Stockholders' Equity (Deficit) - USD ($)
Preferred Stock [Member]
Series A Preferred Stock [Member]
Preferred Stock [Member]
Series C Preferred Stock [Member]
Common Stock [Member]
Additional Paid-In Capital [Member]
Share Subscriptions Received [Member]
Deficit [Member]
Series A Preferred Stock [Member]
Series C Preferred Stock [Member]
Total
Balance at Sep. 30, 2019     $ 132,678 $ 44,970,398 $ (49,890,538)   $ (4,787,462)
Balance, shares at Sep. 30, 2019     132,678,133          
Shares issued for services   $ 24,111 1,048,267     1,072,378
Shares issued for services, shares   24,111,031            
Shares issued for exercise of warrants   $ 9,924 (9,924)    
Shares issued for exercise of warrants, shares   9,924,304            
Shares issued from private placement, net of issuance costs   $ 3,750 146,250     150,000
Shares issued from private placement, net of issuance costs, shares   3,750,000            
Shares issued pursuant to note conversion   $ 193,015 9,120,896     9,313,911
Shares issued pursuant to note conversion, shares   193,014,921            
Share subscriptions received   2,450,000     2,450,000
Warrant cancellations   $ 1,713 (1,713)    
Warrant cancellations, shares   1,712,824            
Fair value of share purchase warrants   179,077     179,077
Issuance of preferred shares $ 300   (300)    
Issuance of preferred shares, shares 300,000                
Net loss for the period   (13,318,408)     (13,318,408)
Balance at Jun. 30, 2020 $ 300 $ 365,191 55,452,951 $ 2,450,000 (63,208,946)     (4,940,504)
Balance, shares at Jun. 30, 2020 300,000 365,191,213            
Shares issued for services     $ 34,535 29,090,231   $ 200 29,353,966
Shares issued for services, shares     34,534,830       200,000  
Shares issued for exercise of warrants     $ 57,671 804,829   862,500
Shares issued for exercise of warrants, shares     57,670,677        
Shares issued from private placement, net of issuance costs     $ 69,716 14,873,784   $ 241,450 14,908,000
Shares issued from private placement, net of issuance costs, shares     69,715,910       2,414,500  
Shares issued pursuant to note conversion     $ 22,686 7,890,707   $ 40,000 8,313,393
Shares issued pursuant to note conversion, shares     22,685,750       400,000  
Share subscriptions received         18,750
Shares issued pursuant to Series C preferred shares conversion     $ 5,900 731,600   $ (73,750)
Shares issued pursuant to Series C preferred shares conversion, shares     5,900,000       (737,500)  
Shares issued pursuant to share purchase agreement     $ 16,750 11,006,701   11,023,451
Shares issued pursuant to share purchase agreement, shares     16,750,000        
Shares issued as a commitment fee     $ 750 1,138,500   1,139,250
Shares issued as a commitment fee, shares     750,000        
Shares issued pursuant to property purchase agreement     $ 69 271,711   271,780
Shares issued pursuant to property purchase agreement, shares     69,252        
Beneficial conversion feature on convertible debts     271,000   271,000
Share purchase warrants issued     83,724   83,724
Accrued dividends       (104,641) (104,641)
Net loss for the period       (41,760,064) (41,760,064)
Balance at Jun. 30, 2021   $ 207,700 $ 573,268 $ 121,615,738   $ (105,073,651)     $ 19,440,605
Balance, shares at Jun. 30, 2021 500,000 2,077,000 573,267,632