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Interim Condensed Consolidated Statements of Capital Equity (Deficit) - 6 months ended Sep. 30, 2015 - USD ($)
Common Stock [Member]
Additional Paid-In Capital [Member]
Shares to be Issued [Member]
Accumulated Deficit [Member]
Accumulated other comprehensive income (loss)[Member]
Total
Beginning Balance at Mar. 31, 2015 $ 16,358,093 $ 2,434,552 $ (19,423,451) $ 39,545 $ (971,640) $ (1,562,901)
Beginning Balance (Shares) at Mar. 31, 2015 63,104,788          
Exercise of finders' warrants $ 11,926         11,926
Exercise of finders' warrants (Shares) 14,400          
Issuance of common stock for private placement $ 1,465,524         1,465,524
Issuance of common stock for private placement (Shares) 849,273          
Issuance of common stock for private placement 2 $ 585,702     $ (39,545)   546,157
Issuance of common stock for private placement 2 (Shares) 335,463          
Issuance of common stock for private placement 3 $ 233,806         233,806
Issuance of common stock for private placement 3 (Shares) 125,756          
Stock option exercise $ 42,500         42,500
Stock option exercise (Shares) 94,640          
Fair value of options exercised $ 20,454 (20,454)        
Share issuance cost (141,100)         (141,100)
Stock-based compensation on 2,570,000 options granted   (146,717)       (146,717)
Stock-based compensation on 400,000 options granted   198,151       198,151
Stock-based compensation on 100,000 options granted 1   21,644       21,644
Stock-based compensation on 100,000 options granted 2   21,021       21,021
Stock-based compensation on 50,000 options granted   6,418       6,418
Fair value of non-employee vested options reallocated to derivative liability   (690,885)       (690,885)
Net loss for the period     (619,057)     (619,057)
Translation adjustments         (526,893) (526,893)
Ending Balance at Sep. 30, 2015 $ 18,576,905 $ 1,823,730 $ (20,042,508)   $ (1,498,533) $ (1,140,406)
Ending Balance (Shares) at Sep. 30, 2015 64,524,320