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Condensed Consolidated Statements of Stockholders' Deficiency (Unaudited) - USD ($)
3 Months Ended 9 Months Ended 12 Months Ended
Dec. 31, 2020
Dec. 31, 2019
Dec. 31, 2020
Dec. 31, 2019
Mar. 31, 2020
Preferred Stock [Member]          
Balance $ 9 $ 1 $ 9 $ 1 $ 1
Balance, shares 8,046 1 7,831 1 1
Issuance of preferred stock   $ 6 $ 6  
Issuance of preferred stock, shares   6,000 215 6,000  
Net Issuance of shares for services  
Net Issuance of shares for services, shares  
Issuance of warrants for services  
Issuance of warrants pursuant to promissory notes    
Stock based compensation - ESOP  
Translation adjustment  
Derivative liabilities adjustment    
Issuance of shares on exercise of warrants      
Issuance of shares on exercise of warrants, shares      
Issuance of shares for private placement        
Issuance of shares for private placement, shares        
Preferred stock dividends      
Net loss before dividends        
Net loss for the period  
Balance $ 9 $ 7 $ 9 $ 7 $ 9
Balance, shares 8,046 6,001 8,046 6,001 7,831
Common Stock and Exchangeable Common Shares [Member]          
Balance $ 37,257 $ 36,092 $ 36,382 $ 35,362 $ 35,362
Balance, shares 37,256,315 36,091,753 36,381,815 35,361,656 35,361,656
Issuance of preferred stock    
Issuance of preferred stock, shares      
Net Issuance of shares for services $ 540 $ 200 $ 1,415 $ 883  
Net Issuance of shares for services, shares 540,000 200,000 1,414,500 882,512  
Issuance of warrants for services  
Issuance of warrants pursuant to promissory notes    
Stock based compensation - ESOP  
Translation adjustment  
Derivative liabilities adjustment    
Issuance of shares on exercise of warrants      
Issuance of shares on exercise of warrants, shares      
Issuance of shares for private placement       $ 48  
Issuance of shares for private placement, shares       47,585  
Preferred stock dividends      
Net loss before dividends        
Net loss for the period  
Balance $ 37,797 $ 36,292 $ 37,797 $ 36,292 $ 36,382
Balance, shares 37,796,315 36,291,753 37,796,315 36,291,753 36,381,815
Shares to be Issued [Member]          
Balance $ 400,591 $ 3,625 $ 169,490 $ 91,497 $ 91,497
Balance, shares 412,500 6,250 178,750 62,085 62,085
Issuance of preferred stock    
Issuance of preferred stock, shares      
Net Issuance of shares for services $ (149,876) $ 60,687 $ 13,284 $ (27,186)  
Net Issuance of shares for services, shares (73,000) 96,328 63,250 40,493  
Issuance of warrants for services  
Issuance of warrants pursuant to promissory notes    
Stock based compensation - ESOP  
Translation adjustment  
Derivative liabilities adjustment    
Issuance of shares on exercise of warrants   $ 67,941    
Issuance of shares on exercise of warrants, shares   97,500    
Issuance of shares for private placement        
Issuance of shares for private placement, shares        
Preferred stock dividends      
Net loss before dividends        
Net loss for the period  
Balance $ 250,715 $ 64,312 $ 250,715 $ 64,312 $ 169,490
Balance, shares 339,500 102,578 339,500 102,578 178,750
Additional Paid in Capital [Member]          
Balance $ 46,100,177 $ 34,993,295 $ 44,015,397 $ 33,889,917 $ 33,889,917
Issuance of preferred stock   5,999,994 215,000 5,999,994  
Net Issuance of shares for services 519,916 97,800 1,862,857 579,151  
Issuance of warrants for services 73,329 25,752 173,523 125,376  
Issuance of warrants pursuant to promissory notes   68,057   68,057  
Stock based compensation - ESOP 13,781 155,702 482,175 649,587  
Translation adjustment  
Derivative liabilities adjustment   (793,129) (41,749) (793,129)  
Issuance of shares on exercise of warrants      
Issuance of shares for private placement       28,518  
Preferred stock dividends      
Net loss before dividends        
Net loss for the period  
Balance 46,707,203 40,547,471 46,707,203 40,547,471 44,015,397
Accumulated Other Comprehensive (loss) Income [Member]          
Balance (1,036,848) (793,878) (857,307) (754,963) (754,963)
Issuance of preferred stock    
Net Issuance of shares for services  
Issuance of warrants for services  
Issuance of warrants pursuant to promissory notes      
Stock based compensation - ESOP  
Translation adjustment 366,788 (234,820) 187,247 (273,735)  
Derivative liabilities adjustment    
Issuance of shares on exercise of warrants      
Issuance of shares for private placement        
Preferred stock dividends      
Net loss before dividends        
Net loss for the period  
Balance (670,060) (1,028,698) (670,060) (1,028,698) (857,307)
Accumulated Deficit [Member]          
Balance (52,914,182) (39,137,210) (46,364,364) (35,039,496) (35,039,496)
Issuance of preferred stock    
Net Issuance of shares for services  
Issuance of warrants for services  
Issuance of warrants pursuant to promissory notes      
Stock based compensation - ESOP  
Translation adjustment    
Derivative liabilities adjustment    
Issuance of shares on exercise of warrants      
Issuance of shares for private placement        
Preferred stock dividends (218,904)   (649,336)    
Net loss before dividends (3,900,245)   (10,019,631)    
Net loss for the period (2,394,676) (6,492,391)  
Balance (57,033,331) (41,531,886) (57,033,331) (41,531,886) (46,364,364)
Balance (4,985,151) (4,898,075) (3,000,393) (1,777,681) (1,777,681)
Issuance of preferred stock   6,000,000 215,000 6,000,000  
Net Issuance of shares for services 370,580 158,687 1,877,556 552,848  
Issuance of warrants for services 73,329 25,752 173,523 125,376  
Issuance of warrants pursuant to promissory notes   68,057   68,057  
Stock based compensation - ESOP 13,781 155,702 482,175 649,587  
Translation adjustment 366,788 (234,820) 187,247 (273,735)  
Derivative liabilities adjustment   (793,129) (41,749) (793,129)  
Issuance of shares on exercise of warrants   67,941    
Issuance of shares for private placement       28,566  
Preferred stock dividends (218,904)   (649,336)    
Net loss before dividends (3,900,245)   (10,019,631)    
Net loss for the period (4,119,149) (2,394,676) (10,668,968) (6,492,391)  
Balance $ (10,707,667) $ (1,912,502) $ (10,707,667) $ (1,912,502) $ (3,000,393)