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Schedule of common shares issued and outstanding (Details) - CAD ($)
12 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2023
IfrsStatementLineItems [Line Items]      
Beginning balance, value $ 25,497,455 $ 22,504,352 $ 35,325,716
Shares issued from the exercise of warrants, value     31,578
Ending balance, value $ 66,006,596 $ 25,497,455 $ 22,504,352
Issued capital [member]      
IfrsStatementLineItems [Line Items]      
Balance at beginning (in shares) 1,982,003 1,398,908 1,378,827
Beginning balance, value $ 50,127,974 $ 40,570,773 $ 39,733,633
Issuance of shares on debt settlement, shares     18,462
Shares issued on debt settlement, value     $ 800,366
Shares issued from the exercise of warrants, shares     1,619
Shares issued from the exercise of warrants, value     $ 36,774
Shares issued on private placement financing, shares   164,152  
Shares issued on private placement financing, value   $ 7,707,292  
Flow-through premium, shares    
Flow-through premium, value   $ (3,637,149)  
Share issue costs, shares  
Share issue costs, value $ (16,672,731) $ (355,016)  
Shares issued per agreements, shares 776,535 298,944  
Shares issued per agreements, value $ 8,325,336 $ 3,934,189  
Shares issued per option agreements, shares 155,730 115,384  
Shares issued per option agreements, value $ 1,490,860 $ 1,728,380  
Shares issued on vested RSUs, shares   4,615  
Shares issued on vested RSUs, value   $ 179,505  
Shares issued on ATM financings, shares 5,842,892    
Shares issued on ATM financings, value $ 63,274,574    
Share based compensation, shares 14,615    
Share based compensation, value $ 186,031    
Treasury shares held for cancellation, shares (22,919)    
Treasury shares held for cancellation, value $ (191,898)    
Cash paid in lieu on shares consolidation, shares (689)    
Cash paid in lieu on shares consolidation, value $ (3,740)    
Balance at ending (in shares) 8,748,167 1,982,003 1,398,908
Ending balance, value $ 106,536,406 $ 50,127,974 $ 40,570,773