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Condensed Consolidated Statements of Stockholders' Deficiency - USD ($)
3 Months Ended 9 Months Ended 12 Months Ended
Dec. 31, 2023
Mar. 31, 2023
Dec. 31, 2022
Sep. 30, 2022
Dec. 31, 2023
Dec. 31, 2022
Mar. 31, 2023
Mar. 31, 2022
Balance $ (26,729,036) $ (15,481,707) $ (10,623,636)   $ (19,845,385) $ (2,144,736) $ (2,144,736) $ (6,833,164)
Conversion of convertible notes into common shares [Note 9] 354,519   211,602   354,519 843,922   15,678,454
Preferred stock purchased back via cash     (431,129)     (777,175)    
Issuance of shares for services [Note 9] 45,947   $ 112,631 $ 30,287 45,947 150,418   1,414,449
Issuance of shares for services [Note 9], shares     105,263 22,772        
Issuance of warrants for services [Note 9]     $ 77,780     232,526   740,156
Exercise of warrants for cash [Note 9]           $ (30,000)   976,242
Exercise of warrants for cash [Note 9], shares           17,544    
Exchange of warrants for promissory notes     (71,768)     $ (71,768)    
Issuance of shares in lieu of convertible note interest [Note 9]             221,621  
Issuance of common stock         119,285     250,000
Issuance of preferred shares for private placement investors [Note 9]               100,000
Derivative liabilities adjustment pursuant to issuance of preferred shares [Note 8] [Note 9]               (17,084)
Issuance of shares from uplisting [Note 9]               14,545,805
Issuance of warrants for private placement holders [Note 9] 1,524,719       1,524,719      
Issuance of warrants for brokers [Note 9] 127,853       127,853      
Conversion of preferred shares into common shares [Note 9]               633,805
Preferred stock purchased back via cash               (193,448)
Cashless exercise of warrants               360
Stock based compensation - ESOP [Note 9] 170,140   63,125   544,655 365,653   913,613
Translation adjustment (204,501)   (72,823)   (99,091) 625,698   (134,470)
Net loss before dividends for the period (2,808,091)   (4,517,115)   (9,911,813) (13,985,915) (18,658,143) (29,130,477)
Preferred stock dividends (237,904)   (230,374)   (617,043) (690,330)   (1,088,977)
Balance (27,756,354) (19,845,385) (15,481,707) $ (10,623,636) (27,756,354) (15,481,707) (19,845,385) (2,144,736)
Preferred Stock [Member]                
Balance $ 7 $ 7 $ 8   $ 7 $ 8 $ 8 $ 9
Balance, shares 6,305 6,305 6,802   6,305 7,201 7,201 8,046
Conversion of convertible notes into common shares [Note 9]      
Preferred stock purchased back via cash     $ (1)     $ (1)    
Preferred stock purchased back via cash, shares     (497)     (896) (896)  
Issuance of shares for services [Note 9]      
Issuance of warrants for services [Note 9]          
Exercise of warrants for cash [Note 9]            
Exchange of warrants for promissory notes            
Issuance of common stock            
Issuance of preferred shares for private placement investors [Note 9]              
Issuance of preferred shares for private placement investors [Note 9], shares               100
Derivative liabilities adjustment pursuant to issuance of preferred shares [Note 8] [Note 9]              
Issuance of shares from uplisting [Note 9]              
Conversion of preferred shares into common shares [Note 9]               $ (1)
Conversion of preferred shares into common shares [Note 9], shares               (715)
Preferred stock purchased back via cash              
Preferred stock purchased back via cash, shares               (230)
Cashless exercise of warrants              
Stock based compensation - ESOP [Note 9]      
Translation adjustment      
Net loss before dividends for the period        
Preferred stock dividends      
Balance $ 7 $ 7 $ 7 $ 8 $ 7 $ 7 $ 7 $ 8
Balance, shares 6,305 6,305 6,305 6,802 6,305 6,305 6,305 7,201
Common Stock [Member]                
Balance $ 8,811 $ 8,707 $ 8,650   $ 8,753 $ 8,546 $ 8,546 $ 39,015
Balance, shares 8,810,253 8,707,095 8,649,721   8,752,510 8,546,261 8,546,261 39,014,942
Conversion of convertible notes into common shares [Note 9] $ 562   $ 40   $ 562 $ 127   $ 4,715
Conversion of convertible notes into common shares [Note 9], shares 562,251   39,830   562,251 126,833 761,038 4,715,346
Preferred stock purchased back via cash            
Issuance of shares for services [Note 9] $ 47   $ 17   $ 47 $ 22   $ 702
Issuance of shares for services [Note 9], shares 47,125   17,544   47,125 22,035 132,202 701,688
Issuance of warrants for services [Note 9]          
Exercise of warrants for cash [Note 9]           $ 12   $ 658
Exercise of warrants for cash [Note 9], shares           11,966 71,792 658,355
Exchange of warrants for promissory notes            
Issuance of shares in lieu of convertible note interest [Note 9], shares             270,270  
Issuance of common stock         $ 58     $ 69
Issuance of common stock, shares         57,743     69,252
Issuance of preferred shares for private placement investors [Note 9]              
Derivative liabilities adjustment pursuant to issuance of preferred shares [Note 8] [Note 9]              
Issuance of shares from uplisting [Note 9]               $ 5,382
Issuance of shares from uplisting [Note 9], shares               5,382,331
Conversion of preferred shares into common shares [Note 9]               $ 289
Conversion of preferred shares into common shares [Note 9], shares               288,756
Preferred stock purchased back via cash              
Cashless exercise of warrants               $ 447
Cashless exercise of warrants, shares               446,370
Stock based compensation - ESOP [Note 9]      
Cashless exercise of options [Note 9], shares             2,240  
Translation adjustment      
Net loss before dividends for the period        
Preferred stock dividends      
Balance $ 9,420 $ 8,753 $ 8,707 $ 8,650 $ 9,420 $ 8,707 $ 8,753 $ 8,546
Balance, shares 9,419,629 8,752,510 8,707,095 8,649,721 9,419,629 8,707,095 8,752,510 8,546,261
Shares To Be Issued [Member]                
Balance $ 24,999 $ 24,999 $ 24,999   $ 24,999 $ 102,299 $ 102,299 $ 280,960
Balance, shares 3,955 3,955 3,955   3,955 20,638 20,638 268,402
Conversion of convertible notes into common shares [Note 9]       $ (38,460)
Conversion of convertible notes into common shares [Note 9], shares               (19,263)
Preferred stock purchased back via cash            
Issuance of shares for services [Note 9]       $ (242,500)
Issuance of shares for services [Note 9], shares               (250,000)
Issuance of warrants for services [Note 9]          
Exercise of warrants for cash [Note 9]           $ (77,300) $ (77,300) $ 102,299
Exercise of warrants for cash [Note 9], shares           (16,683) (100,094) 123,678
Exchange of warrants for promissory notes            
Issuance of common stock            
Issuance of preferred shares for private placement investors [Note 9]              
Derivative liabilities adjustment pursuant to issuance of preferred shares [Note 8] [Note 9]              
Issuance of shares from uplisting [Note 9]              
Conversion of preferred shares into common shares [Note 9]              
Preferred stock purchased back via cash              
Cashless exercise of warrants              
Cashless exercise of warrants, shares               1,000
Stock based compensation - ESOP [Note 9]      
Translation adjustment      
Net loss before dividends for the period        
Preferred stock dividends      
Balance $ 24,999 $ 24,999 $ 24,999 $ 24,999 $ 24,999 $ 24,999 $ 24,999 $ 102,299
Balance, shares 3,955 3,955 3,955 3,955 3,955 3,955 3,955 20,638
Additional Paid-in Capital [Member]                
Balance $ 93,338,220 $ 92,340,925 $ 92,378,740   $ 92,844,478 $ 91,550,209 $ 91,550,209 $ 56,298,726
Conversion of convertible notes into common shares [Note 9] 353,957   211,562   353,957 843,795   15,712,199
Preferred stock purchased back via cash     (431,128)     (777,174)    
Issuance of shares for services [Note 9] 45,900   112,614   45,900 150,396   1,656,247
Issuance of warrants for services [Note 9]     77,780     232,526   740,156
Exercise of warrants for cash [Note 9]           47,288   873,285
Exchange of warrants for promissory notes     (71,768)     (71,768)    
Issuance of common stock         119,227     249,931
Issuance of preferred shares for private placement investors [Note 9]               100,000
Derivative liabilities adjustment pursuant to issuance of preferred shares [Note 8] [Note 9]               (17,084)
Issuance of shares from uplisting [Note 9]               14,540,423
Issuance of warrants for private placement holders [Note 9] 1,524,719       1,524,719      
Issuance of warrants for brokers [Note 9] 127,853       127,853      
Conversion of preferred shares into common shares [Note 9]               633,517
Preferred stock purchased back via cash               (193,448)
Cashless exercise of warrants               (87)
Stock based compensation - ESOP [Note 9] 170,140   63,125   544,655 365,653   913,613
Translation adjustment      
Net loss before dividends for the period        
Preferred stock dividends      
Balance 95,560,789 92,844,478 92,340,925 $ 92,378,740 95,560,789 92,340,925 92,844,478 91,550,209
AOCI Attributable to Parent [Member]                
Balance (47,387) (142,958) (70,135)   (152,797) (768,656) (768,656) (634,186)
Conversion of convertible notes into common shares [Note 9]      
Preferred stock purchased back via cash            
Issuance of shares for services [Note 9]      
Issuance of warrants for services [Note 9]          
Exercise of warrants for cash [Note 9]            
Exchange of warrants for promissory notes            
Issuance of common stock            
Issuance of preferred shares for private placement investors [Note 9]              
Derivative liabilities adjustment pursuant to issuance of preferred shares [Note 8] [Note 9]              
Issuance of shares from uplisting [Note 9]              
Conversion of preferred shares into common shares [Note 9]              
Preferred stock purchased back via cash              
Cashless exercise of warrants              
Stock based compensation - ESOP [Note 9]      
Translation adjustment (204,501)   (72,823)   (99,091) 625,698   (134,470)
Net loss before dividends for the period        
Preferred stock dividends      
Balance (251,888) (152,797) (142,958) (70,135) (251,888) (142,958) (152,797) (768,656)
Retained Earnings [Member]                
Balance (120,053,686) (107,713,387) (102,965,898)   (112,570,825) (93,037,142) (93,037,142) (62,817,688)
Conversion of convertible notes into common shares [Note 9]      
Preferred stock purchased back via cash            
Issuance of shares for services [Note 9]      
Issuance of warrants for services [Note 9]          
Exercise of warrants for cash [Note 9]            
Exchange of warrants for promissory notes            
Issuance of common stock            
Issuance of preferred shares for private placement investors [Note 9]              
Derivative liabilities adjustment pursuant to issuance of preferred shares [Note 8] [Note 9]              
Issuance of shares from uplisting [Note 9]              
Conversion of preferred shares into common shares [Note 9]              
Preferred stock purchased back via cash              
Cashless exercise of warrants              
Stock based compensation - ESOP [Note 9]      
Translation adjustment      
Net loss before dividends for the period (2,808,091)   (4,517,115)   (9,911,813) (13,985,915)   (29,130,477)
Preferred stock dividends (237,904)   (230,374)   (617,043) (690,330)   (1,088,977)
Balance $ (123,099,681) (112,570,825) $ (107,713,387) $ (102,965,898) (123,099,681) (107,713,387) (112,570,825) (93,037,142)
Previously Reported [Member]                
Balance         (19,845,385) (2,144,736) (2,144,736)  
Conversion of convertible notes into common shares [Note 9]             843,922  
Preferred stock purchased back via cash             (777,175)  
Issuance of shares for services [Note 9]             150,418  
Issuance of warrants for services [Note 9]             232,526  
Exercise of warrants for cash [Note 9]             (30,000)  
Exchange of warrants for promissory notes             (71,768)  
Issuance of shares in lieu of convertible note interest [Note 9]             221,621  
Stock based compensation - ESOP [Note 9]             647,631  
Cashless exercise of options [Note 9]              
Translation adjustment             615,859  
Net loss before dividends for the period             (18,658,143)  
Preferred stock dividends             (875,540)  
Balance   (19,845,385)         (19,845,385) (2,144,736)
Previously Reported [Member] | Preferred Stock [Member]                
Balance         7 8 8  
Conversion of convertible notes into common shares [Note 9]              
Preferred stock purchased back via cash             (1)  
Issuance of shares for services [Note 9]              
Issuance of warrants for services [Note 9]              
Exercise of warrants for cash [Note 9]              
Exchange of warrants for promissory notes              
Issuance of shares in lieu of convertible note interest [Note 9]              
Stock based compensation - ESOP [Note 9]              
Cashless exercise of options [Note 9]              
Translation adjustment              
Net loss before dividends for the period              
Preferred stock dividends              
Balance   7         7 8
Previously Reported [Member] | Common Stock [Member]                
Balance         $ 52,514 $ 51,277 $ 51,277  
Balance, shares         52,514,582 51,277,040 51,277,040  
Conversion of convertible notes into common shares [Note 9]             $ 761  
Preferred stock purchased back via cash              
Issuance of shares for services [Note 9]             132  
Issuance of warrants for services [Note 9]              
Exercise of warrants for cash [Note 9]             72  
Exchange of warrants for promissory notes              
Issuance of shares in lieu of convertible note interest [Note 9]             270  
Stock based compensation - ESOP [Note 9]              
Cashless exercise of options [Note 9]             2  
Translation adjustment              
Net loss before dividends for the period              
Preferred stock dividends              
Balance   $ 52,514         $ 52,514 $ 51,277
Balance, shares   52,514,582         52,514,582 51,277,040
Previously Reported [Member] | Shares To Be Issued [Member]                
Balance         $ 24,999 $ 102,299 $ 102,299  
Balance, shares         23,723 123,817 123,817  
Conversion of convertible notes into common shares [Note 9]              
Preferred stock purchased back via cash              
Issuance of shares for services [Note 9]              
Issuance of warrants for services [Note 9]              
Exercise of warrants for cash [Note 9]             (77,300)  
Exchange of warrants for promissory notes              
Issuance of shares in lieu of convertible note interest [Note 9]              
Stock based compensation - ESOP [Note 9]              
Cashless exercise of options [Note 9]              
Translation adjustment              
Net loss before dividends for the period              
Preferred stock dividends              
Balance   $ 24,999         $ 24,999 $ 102,299
Balance, shares   23,723         23,723 123,817
Previously Reported [Member] | Additional Paid-in Capital [Member]                
Balance         $ 92,800,717 $ 91,507,478 $ 91,507,478  
Conversion of convertible notes into common shares [Note 9]             843,161  
Preferred stock purchased back via cash             (777,174)  
Issuance of shares for services [Note 9]             150,286  
Issuance of warrants for services [Note 9]             232,526  
Exercise of warrants for cash [Note 9]             47,228  
Exchange of warrants for promissory notes             (71,768)  
Issuance of shares in lieu of convertible note interest [Note 9]             221,351  
Stock based compensation - ESOP [Note 9]             647,631  
Cashless exercise of options [Note 9]             (2)  
Translation adjustment              
Net loss before dividends for the period              
Preferred stock dividends              
Balance   $ 92,800,717         92,800,717 $ 91,507,478
Previously Reported [Member] | AOCI Attributable to Parent [Member]                
Balance         (152,797) (768,656) (768,656)  
Conversion of convertible notes into common shares [Note 9]              
Preferred stock purchased back via cash              
Issuance of shares for services [Note 9]              
Issuance of warrants for services [Note 9]              
Exercise of warrants for cash [Note 9]              
Exchange of warrants for promissory notes              
Issuance of shares in lieu of convertible note interest [Note 9]              
Stock based compensation - ESOP [Note 9]              
Cashless exercise of options [Note 9]              
Translation adjustment             615,859  
Net loss before dividends for the period              
Preferred stock dividends              
Balance   (152,797)         (152,797) (768,656)
Previously Reported [Member] | Retained Earnings [Member]                
Balance         $ (112,570,825) $ (93,037,142) (93,037,142)  
Conversion of convertible notes into common shares [Note 9]              
Preferred stock purchased back via cash              
Issuance of shares for services [Note 9]              
Issuance of warrants for services [Note 9]              
Exercise of warrants for cash [Note 9]              
Exchange of warrants for promissory notes              
Issuance of shares in lieu of convertible note interest [Note 9]              
Stock based compensation - ESOP [Note 9]              
Cashless exercise of options [Note 9]              
Translation adjustment              
Net loss before dividends for the period             (18,658,143)  
Preferred stock dividends             (875,540)  
Balance   $ (112,570,825)         $ (112,570,825) $ (93,037,142)