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Condensed Consolidated Statements of Changes in Shareholders' Deficit (Unaudited) - USD ($)
Common Stock [Member]
Additional Paid-in Capital [Member]
AOCI Attributable to Parent [Member]
Retained Earnings [Member]
Total
Beginning balance, value at Apr. 30, 2020 $ 24,749 $ 5,214,970 $ (5,036) $ (10,228,513) $ (4,993,830)
Beginning balance, shares at Apr. 30, 2020 24,749,354        
Shares issued related to note payable $ 1,217 (1,217)
Shares issued related to note payable, shares 1,216,560        
Shares and warrants issued in connection with services $ 244 65,582 65,826
Shares and warrants issued in connection with services, shares 243,800        
Foreign currency translation (1,393) (1,393)
Net loss (1,374,026) (1,374,026)
Ending balance, value at Jul. 31, 2020 $ 26,210 5,279,335 (6,429) (11,602,539) (6,303,423)
Ending balance, shares at Jul. 31, 2020 26,209,714        
Beginning balance, value at Apr. 30, 2020 $ 24,749 5,214,970 (5,036) (10,228,513) (4,993,830)
Beginning balance, shares at Apr. 30, 2020 24,749,354        
Net loss         (5,189,238)
Ending balance, value at Jan. 31, 2021 $ 27,347 8,743,458 (7,157) (15,417,751) (6,654,103)
Ending balance, shares at Jan. 31, 2021 27,346,746        
Beginning balance, value at Jul. 31, 2020 $ 26,210 5,279,335 (6,429) (11,602,539) (6,303,423)
Beginning balance, shares at Jul. 31, 2020 26,209,714        
Shares and warrants issued in connection with services $ 100 117,919 118,019
Shares and warrants issued in connection with services, shares 100,000        
Foreign currency translation (1,544) (1,544)
Net loss (2,524,126) (2,524,126)
Shares issued for conversion of convertible debt $ 300 238,149 238,449
Shares issued for conversion of convertible debt, shares 300,000        
Warrants issued related to notes payable – related party 2,069,617 2,069,617
Ending balance, value at Oct. 31, 2020 $ 26,610 7,705,020 (7,973) (14,126,665) (6,403,008)
Ending balance, shares at Oct. 31, 2020 26,609,714        
Shares and warrants issued in connection with services $ 202 328,459 328,661
Shares and warrants issued in connection with services, shares 202,032        
Foreign currency translation 816 816
Net loss (1,291,086) (1,291,086)
Warrants issued related to notes payable – related party 124,931 124,931
Shares issued in connection with purchase of trademark $ 35 35,316 35,351
Shares issued in connection with purchase of trademark, shares 35,000        
Shares issued for conversion of notes payable – related party $ 500 499,500 500,000
Shares issued for conversion of notes payable - related party, shares 500,000        
Warrants issued in connection with purchase of trademark 50,232 50,232
Ending balance, value at Jan. 31, 2021 $ 27,347 8,743,458 (7,157) (15,417,751) (6,654,103)
Ending balance, shares at Jan. 31, 2021 27,346,746        
Beginning balance, value at Apr. 30, 2021 $ 27,643 10,365,056 (20,170) (28,823,273) (18,450,744)
Beginning balance, shares at Apr. 30, 2021 27,642,828        
Shares and warrants issued in connection with services $ 110 618,444 618,554
Shares and warrants issued in connection with services, shares 109,687        
Foreign currency translation (13,028) (13,028)
Net loss (3,435,312) (3,435,312)
Shares issued for conversion of notes payable – related party $ 1,637 6,218,366 6,220,003
Shares issued for conversion of notes payable - related party, shares 1,636,843        
Shares issued in connection with acquisition $ 540 3,549,460 3,550,000
Shares issued in connection with acquisition,Shares 540,000        
Share-based compensation $ 50 187,753 187,803
Share-based compensation, shares 50,215        
Ending balance, value at Jul. 31, 2021 $ 29,980 20,939,079 (33,198) (32,258,585) (11,322,724)
Ending balance, shares at Jul. 31, 2021 29,979,573        
Beginning balance, value at Apr. 30, 2021 $ 27,643 10,365,056 (20,170) (28,823,273) (18,450,744)
Beginning balance, shares at Apr. 30, 2021 27,642,828        
Net loss         (44,630,793)
Ending balance, value at Jan. 31, 2022 $ 41,888 63,166,203 (46,976) (73,454,066) (10,292,951)
Ending balance, shares at Jan. 31, 2022 41,888,372        
Beginning balance, value at Jul. 31, 2021 $ 29,980 20,939,079 (33,198) (32,258,585) (11,322,724)
Beginning balance, shares at Jul. 31, 2021 29,979,573        
Shares and warrants issued in connection with services $ 19 799,155 799,174
Shares and warrants issued in connection with services, shares 18,750        
Foreign currency translation 20,852 20,852
Net loss (38,825,357) (38,825,357)
Share-based compensation 32,381,309 32,381,309
Shares issued for conversion of warrants $ 4,950 (2,200) 2,750
Shares issued for conversion of warrants, shares 4,950,000        
Shares issued for conversion of common shares issuable $ 6,921 6,921
Shares issued for conversion of common shares issuable, shares 6,921,299        
Elimination of related party derivative liabilities 8,754,538 8,754,538
Ending balance, value at Oct. 31, 2021 $ 41,870 62,871,881 (12,346) (71,083,942) (8,182,537)
Ending balance, shares at Oct. 31, 2021 41,869,622        
Shares and warrants issued in connection with services $ 18 294,322 294,340
Shares and warrants issued in connection with services, shares 18,750        
Foreign currency translation (34,630) (34,630)
Net loss (2,370,124) (2,370,124)
Ending balance, value at Jan. 31, 2022 $ 41,888 $ 63,166,203 $ (46,976) $ (73,454,066) $ (10,292,951)
Ending balance, shares at Jan. 31, 2022 41,888,372