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CONSOLIDATED STATEMENTS OF LOSS AND COMPREHENSIVE LOSS - CAD ($)
12 Months Ended
Mar. 31, 2022
Mar. 31, 2021
REVENUE    
Sales $ 339,666 $ 0
Other income 7,517 2,355
Revenue 347,183 2,355
EXPENSES    
Amortization 614,710 126,799
Consulting fees 898,208 392,752
Investor relations and promotion 280,740 175,932
Listing and filing fees 325,167 52,466
Professional fees 1,849,888 548,922
Rent 196,994 51,570
Research and development 1,541,902 0
Salaries and benefits 1,436,708 516,784
Stock-based compensation 4,726,840 2,018,416
Supplies and materials 376,787 196,028
Other expenses 661,904 236,406
Expenses, Total 12,909,848 4,316,075
Loss from continuing operations (12,562,665) (4,313,720)
Discontinued operations    
Impairment of exploration and evaluation assets 26,671,935 0
Loss from discontinued operations 26,671,935 0
Loss before the undernoted (39,234,600) (4,313,720)
Interest and other income 20,597 4,107
Interest expense (63,777) (6,460)
Premium on flow-through shares 1,884 109,795
Government grants 581,848 337,628
Total other items 540,552 445,070
Net and comprehensive loss for the year $ (38,694,048) $ (3,868,650)
Basic and diluted net loss per share    
Continuing operations $ 0.13 $ 0.05
Discontinued operations 0.29 0
Basic and diluted net loss per share $ 0.42 $ 0.05