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Convertible Debentures - Schedule of convertible debentures (Details) - USD ($)
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Convertible Debentures (Details) - Schedule of convertible debentures (Parentheticals) [Line Items]    
Balance, Beginning of Period   $ 5,097,010
Interest and accretion expense $ 1,893,494 1,744,120
Interest paid or accrued (746,145) (831,203)
Rollover to the 10% convertible debenture   (186,359)
Issuance of the 10% convertible debenture   1,113,657
Repayment of 10.5% convertible debenture   (890,794)
Foreign exchange adjustment   155,318
Convert $75,000 debentures into share capital   (40,980)
Issuance of the $6MM debenture 4,395,881  
Repayment of 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 111,830  
Change in fair value of debenture 177,530  
Balance, End of Year 3,343,293 6,160,769
Current portion of debenture (1,421,911) (6,160,769)
Long term portion of debenture 1,921,382  
Convertible Debentures One [Member]    
Convertible Debentures (Details) - Schedule of convertible debentures (Parentheticals) [Line Items]    
Balance, Beginning of Period   4,049,349
Interest and accretion expense 1,893,494 1,536,081
Interest paid or accrued (746,145) (715,763)
Rollover to the 10% convertible debenture  
Issuance of the 10% convertible debenture  
Repayment of 10.5% convertible debenture  
Foreign exchange adjustment   186,165
Convert $75,000 debentures into share capital   (40,980)
Issuance of the $6MM debenture  
Repayment of 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  
Balance, End of Year 5,014,852
Current portion of debenture  
Long term portion of debenture  
Convertible Debentures Two [Member]    
Convertible Debentures (Details) - Schedule of convertible debentures (Parentheticals) [Line Items]    
Balance, Beginning of Period   0
Interest and accretion expense 91,149
Interest paid or accrued (58,889)
Rollover to the 10% convertible debenture  
Issuance of the 10% convertible debenture   1,113,657
Repayment of 10.5% convertible debenture  
Foreign exchange adjustment  
Convert $75,000 debentures into share capital  
Issuance of the $6MM debenture  
Repayment of 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  
Balance, End of Year 1,145,917
Current portion of debenture  
Long term portion of debenture  
Convertible Debentures Three [Member]    
Convertible Debentures (Details) - Schedule of convertible debentures (Parentheticals) [Line Items]    
Balance, Beginning of Period   1,047,661
Interest and accretion expense 116,890
Interest paid or accrued (56,551)
Rollover to the 10% convertible debenture   (186,359)
Issuance of the 10% convertible debenture  
Repayment of 10.5% convertible debenture   (890,794)
Foreign exchange adjustment   (30,847)
Convert $75,000 debentures into share capital  
Issuance of the $6MM debenture  
Repayment of 10% convertible debenture  
Repayment of the 12% debenture  
Unamortized fair value difference-opening  
Change in fair value of debenture  
Balance, End of Year
Current portion of debenture  
Long term portion of debenture  
Convertible Debentures Four [Member]    
Convertible Debentures (Details) - Schedule of convertible debentures (Parentheticals) [Line Items]    
Balance, Beginning of Period  
Interest and accretion expense
Interest paid or accrued
Rollover to the 10% convertible debenture  
Issuance of the 10% convertible debenture  
Repayment of 10.5% convertible debenture  
Foreign exchange adjustment  
Convert $75,000 debentures into share capital  
Issuance of the $6MM debenture 4,395,881  
Repayment of 10% convertible debenture  
Repayment of the 12% debenture  
Unamortized fair value difference-opening (1,341,948)  
Amortization of fair value difference 111,830  
Change in fair value of debenture 177,530  
Balance, End of Year 3,343,293
Current portion of debenture (1,421,911)  
Long term portion of debenture $ 1,921,382