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Consolidated Statement of Changes in Shareholders' Equity - USD ($)
Total
Clear RF [Member]
Share Capital Amount
Share Capital Amount
Clear RF [Member]
Reserves
Accumulated other comprehensive Income (loss)
Deficit
Balance at Dec. 31, 2018 $ 6,630,005   $ 21,246,401   $ 2,923,511 $ 105,638 $ (17,645,545)
Balance (in Shares) at Dec. 31, 2018     715,269        
Exercise of Warrants 4,418,377   $ 4,418,377        
Exercise of Warrants (in Shares)     80,865        
Shares issued on acquisition of Signifi 346,673   $ 346,673        
Shares issued on acquisition of Signifi (in Shares)     6,897        
Exercise of agents' options 247,764   $ 345,832   (98,068)    
Exercise of agents' options (in Shares)     5,668        
Non-brokered private placement 2,290,916   $ 2,290,916        
Non-brokered private placement (in Shares)     51,724        
Share Issuance costs on capital raise (186,854)   $ (186,854)        
Shares issued as agent compensation for debenture 118,560   $ 118,560        
Shares issued as agent compensation for debenture (in Shares)     3,324        
Expiry of agent's options     $ 12,757   (12,757)    
Equity portion of debenture bifurcated 446,053       446,053    
Issuance of agents' warrants 47,209       47,209    
Issuance of warrants to debentureholders 666,428       666,428    
Share based payments 1,123,154       1,123,154    
Translation adjustment (8,500)         (8,500) 0
Loss for the period (7,657,208)           (7,657,208)
Balance at Dec. 31, 2019 8,482,577   $ 28,592,662   5,095,530 97,138 25,302,753
Balance (in Shares) at Dec. 31, 2019     863,747        
Share Issuance costs on capital raise (3,793,976)   $ (4,774,484)   980,508    
Shares issued for debts 710,970   $ 710,970        
Shares issued for debts (in Shares)     85,659        
Share issuance on conversion of convertible debt 57,692   $ 57,692   0    
Share issuance on conversion of convertible debt (in Shares)     1,149        
Equity portion of debenture bifurcated 62,986       62,986    
Share based payments 517,678       517,678    
Share issuance on capital raise 28,829,358   $ 25,501,529   3,327,829    
Share issuance on capital raise (in Shares)     3,712,776        
Translation adjustment 2,887         2,887  
Loss for the period (13,591,117)           (13,591,117)
Balance at Dec. 31, 2020 21,279,055   $ 50,088,369   9,984,531 100,025 (38,893,870)
Balance (in Shares) at Dec. 31, 2020     4,663,331        
Exercise of Warrants (385,190)            
Shares issued for debts 36,050   $ 36,050        
Shares issued for debts (in Shares)     5,000        
Share based payments 1,338,931       1,338,931    
Translation adjustment (138,764)         (138,764)  
Issuance of shares to be issued     $ 560,000   (560,000)    
Issuance of shares to be issued (in Shares)     40,000        
Shares issued on acquisition of ClearRF   $ 194,985   $ 194,985      
Shares issued on acquisition of ClearRF (in Shares)       23,949      
Shares issued on warrant exercises 3,401,933   $ 3,775,840   (373,907)    
Shares issued on warrant exercises (in Shares)     544,415        
Loss for the period (23,625,542)           (23,625,542)
Balance at Dec. 31, 2021 $ 2,486,648   $ 54,655,244   $ 10,389,555 $ (38,739) $ (62,519,412)
Balance (in Shares) at Dec. 31, 2021     5,276,695