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Supplemental cashflow information (Narrative) (Details) - USD ($)
1 Months Ended 12 Months Ended
Jul. 02, 2021
May 31, 2021
Dec. 31, 2021
Dec. 31, 2020
Mar. 05, 2021
Disclosure Of Supplementary Cash Flow Information [Line Items]          
Issuance of member units for exploration and evaluation assets     3,499,995    
Acquisition for members units     $ 3,499,995 $ 0  
Issuance of member units exchanged for promissory notes     3,475,000    
Redemption of member units (shares)     8,680,786    
settlement of affiliate loans       4,629,324  
Interest payable       730,500  
Decommissioning liabilities     $ 0 74,000  
Account payable     500,000 500,000  
Carrying value of property plant and equipment       1,340,264  
Issuance of member units exchanged for promissory notes     $ 2,300,000    
Issuance of member units exchanged for promissory notes (shares)     2,300,000    
Property Plant And Equipment Used To Settle Loans       $ 1,360,264  
Origination Member Units [Member]          
Disclosure Of Supplementary Cash Flow Information [Line Items]          
Issuance of member units for exploration and evaluation assets     356,415    
Acquisition for members units     $ 3,499,995    
Per unit price $ 9.82 $ 9.82 $ 9.82    
Issuance of member units exchanged for promissory notes     353,870    
Redemption of member units (shares)     3,992,629    
Conversion of promissory note in exchange for asset backed preferred instruments     $ 1,000,000    
Fair value of asset backed preferred instrument     $ 21,565,700   $ 21,565,700
Issuance of member units exchanged for promissory notes $ 2,300,000        
Issuance of member units exchanged for promissory notes (shares) 234,216   234,216    
Stock Issued During Period, Share, Issued For Services   923,954