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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]
Common Stock Issuable [Member]
Retained Earnings [Member]
Total
Beginning balance at Jun. 30, 2020 $ 300 $ 365,191 $ 55,452,951 $ 2,450,000 $ (63,208,946) $ (4,940,504)
Beginning balance, shares at Jun. 30, 2020 300,000 365,191,213        
Shares issued for exercise of warrants $ 57,671 804,829 $ 862,500
Shares issued for exercise of warrants, shares     57,670,677       10,100,000
Shares issued from private placement, net of issuance costs $ 2,414,500 $ 69,716 14,873,784 (2,450,000) $ 14,908,000
Shares issued from private placement, net of issuance costs, shares   241,450 69,715,910        
Shares issued pursuant to Series C preferred shares conversion $ (737,500) $ 5,900 731,600
Shares issued pursuant to Series C preferred shares conversion, shares   (73,750) 5,900,000        
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        
Net loss for the period (41,760,064) (41,760,064)
Dividends declared (104,641) (104,641)
Shares issued for services $ 200 $ 34,535 29,090,231 229,000 29,353,966
Shares issued for services, shares 200,000   34,534,830        
Shares issued pursuant to note conversion $ 400,000 $ 22,686 7,890,707 8,313,393
Shares issued pursuant to note conversion, shares   40,000 22,685,750        
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        
Share subscriptions received 18,750 18,750
Beneficial conversion feature on convertible debts 271,000 271,000
Share purchase warrants issued 83,724 83,724
Ending balance at Jun. 30, 2021 $ 500 $ 2,077,000 $ 573,268 121,615,738 247,750 (105,073,651) 19,440,605
Ending balance, shares at Jun. 30, 2021 500,000 207,700 573,267,632        
Shares issued to non-employees for services $ 14,378 20,569,566 (154,000) 20,429,944
Shares issued to non-employees for services, shares     14,378,728        
Shares issued to employees for services $ 1,892 1,231,263 1,233,155
Shares issued to employees for services, shares     1,891,930        
Shares withheld from employees for tax remittance $ (434) (312,900) (313,334)
Shares withheld from employees for tax remittance, shares     (433,981)        
Shares reclaimed from former executive     $ (1,000) 1,000
Shares reclaimed from former executive, shares     (1,000,000)        
Net shares reclaimed as part of legal settlements   $ (4,200) 564,200 560,000
Net shares reclaimed as part of legal settlements, shares     (4,200,000)        
Shares issued for exercise of warrants $ 15,228 922,272 (18,750) 918,750
Shares issued for exercise of warrants, shares     15,228,711        
Shares issued from private placement, net of issuance costs $ 25,390 36,913,261 36,938,651
Shares issued from private placement, net of issuance costs, shares     25,389,611        
Shares issued pursuant to Series C preferred shares conversion $ (2,077,000) $ 16,616 2,060,384
Shares issued pursuant to Series C preferred shares conversion, shares   (207,700) 16,616,000        
Redemption of Series A preferred shares $ (500) 500
Redemption of Series A preferred shares, shares (500,000)            
Shares issued pursuant to share purchase agreement $ 3,000 3,985,005 3,988,005
Shares issued pursuant to share purchase agreement, shares     3,000,000        
Net loss for the period (33,539,962) (33,539,962)
Dividends declared (21,755) (21,755)
Shares issued pursuant to note conversion, shares     16,616,000        
Ending balance at Jun. 30, 2022 $ 644,139 $ 187,550,288 $ 75,000 $ (138,635,368) $ 49,634,059
Ending balance, shares at Jun. 30, 2022 644,138,631