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Interim Condensed Consolidated Statements of Changes in Stockholders' Equity - USD ($)
Common Shares [Member]
Additional Paid-in Capital [Member]
Share Subscription Payable [Member]
Stock Compensation Reserve [Member]
Accumulated Deficit [Member]
Accumulated Other Comprehensive Loss [Member]
Total
Beginning Balance at Dec. 31, 2017 $ 3,740 $ 3,576,111 $ 178,200 $ 330,000 $ (4,660,296) $ (148,093) $ (720,338)
Beginning Balance (Shares) at Dec. 31, 2017 37,393,031            
Shares issued for proceeds previously received $ 19 178,181 (178,200)        
Shares issued for proceeds previously received (Shares) 190,000            
Shares issued on vesting of 2017 & 2018 stock award $ 200 1,329,800   (330,000)     1,000,000
Shares issued on vesting of 2017 & 2018 stock award (Shares) 2,000,000            
Shares issued to directors $ 2 19,998         20,000
Shares issued to directors (Shares) 20,000            
Shares issued on private placement, net of share issue costs $ 70 650,170         $ 650,240
Shares issued on private placement, net of share issue costs (Shares) 696,500           696,500
Stock compensation expensed on vesting of stock award       1,330,000     $ 1,330,000
Proceeds received on shares yet to be issued     4,600       4,600
Other comprehensive income (loss)           67,266 67,266
Net loss         (3,894,016)   (3,894,016)
Ending Balance at Dec. 31, 2018 $ 4,031 5,754,260 4,600 1,330,000 (8,554,312) (80,827) (1,542,248)
Ending Balance (Shares) at Dec. 31, 2018 40,299,531            
Shares issued for proceeds previously received $ 1 4,599 $ (4,600)        
Shares issued for proceeds previously received (Shares) 5,000            
Shares issued on vesting of 2017 & 2018 stock award $ 100 999,900   (1,000,000)      
Shares issued on vesting of 2017 & 2018 stock award (Shares) 1,000,000            
Shares issued for professional services $ 10 52,990         $ 53,000
Shares issued for professional services (Shares) 100,000            
Shares issued on private placement, net of share issue costs (Shares)             0
Stock compensation expensed on vesting of stock award       332,500     $ 332,500
Other comprehensive income (loss)           (27,505) (27,505)
Net loss         (1,080,544)   (1,080,544)
Ending Balance at Mar. 31, 2019 $ 4,142 $ 6,811,749   $ 662,500 $ (9,634,856) $ (108,332) $ (2,264,797)
Ending Balance (Shares) at Mar. 31, 2019 41,404,531