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Convertible Debentures (Details) - Schedule of convertible debentures - USD ($)
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Convertible Debentures (Details) - Schedule of convertible debentures [Line Items]    
Balance beginning   $ 6,160,769
Interest and accretion expense   1,893,494
Interest paid or accrued   (746,145)
Issuance of the $6MM debenture   4,395,881
Repayment of the 10% convertible debenture   (1,145,917)
Repayment of the 12% debenture   (6,162,201)
Unamortized fair value difference - opening   (1,341,948)
Amortization of fair value difference $ 1,230,118 111,830
Change in fair value of debenture 2,626,589 177,530
Cash repayment (4,000,000)  
Repayment through issuance of common shares (3,200,000)  
Balance ending 3,343,293
SCA7.866MM [Member]    
Convertible Debentures (Details) - Schedule of convertible debentures [Line Items]    
Balance beginning   5,014,852
Interest and accretion expense   1,893,494
Interest paid or accrued   (746,145)
Issuance of the $6MM debenture  
Repayment of the 10% convertible debenture  
Repayment of the 12% debenture   (6,162,201)
Unamortized fair value difference - opening  
Amortization of fair value difference
Change in fair value of debenture
Cash repayment  
Repayment through issuance of common shares  
Balance ending
SCAS1.58MM [Member]    
Convertible Debentures (Details) - Schedule of convertible debentures [Line Items]    
Balance beginning   1,145,917
Interest and accretion expense  
Interest paid or accrued  
Issuance of the $6MM debenture  
Repayment of the 10% convertible debenture   (1,145,917)
Repayment of the 12% debenture  
Unamortized fair value difference - opening  
Amortization of fair value difference
Change in fair value of debenture
Cash repayment  
Repayment through issuance of common shares  
Balance ending
November Two 6.0MM [Member]    
Convertible Debentures (Details) - Schedule of convertible debentures [Line Items]    
Balance beginning  
Interest and accretion expense  
Interest paid or accrued  
Issuance of the $6MM debenture   4,395,881
Repayment of the 10% convertible debenture  
Repayment of the 12% debenture  
Unamortized fair value difference - opening   (1,341,948)
Amortization of fair value difference 1,230,118 111,830
Change in fair value of debenture 2,626,589 177,530
Cash repayment (4,000,000)  
Repayment through issuance of common shares (3,200,000)  
Balance ending $ 3,343,293