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CONSOLIDATED STATEMENTS OF CASH FLOWS - CAD ($)
12 Months Ended
Mar. 31, 2022
Mar. 31, 2021
OPERATING ACTIVITIES    
Loss for the year $ (38,694,048) $ (3,868,650)
Loss from discontinued operations 26,671,935 0
Loss from continuing operations (12,022,113) (3,868,650)
Items not affecting cash    
Amortization 614,710 126,799
Premium on flow-through shares (1,884) (109,795)
Shares issued for license agreement 50,000 0
Stock-based compensation 4,726,840 2,018,416
Cash flows from operations before changes in working capital (6,632,447) (1,833,230)
Net change in non-cash working capital balances (1,356,425) 38,547
Cash flows from operating activities (7,988,872) (1,794,683)
INVESTING ACTIVITIES    
Government assistance received 0 132,732
Loan receivable advanced (2,950,000) 0
Purchase of property and equipment (3,985,910) (254,282)
Cash flows used in continuing investing activities (6,935,910) (121,550)
Cash flows used in discontinued investing activities (316,698) (1,111,693)
FINANCING ACTIVITIES    
Shares issued 33,014,082 0
Share issue costs (1,592,488) 0
Units issued 2,329,270 2,050,000
Unit issue costs (63,364) (37,661)
Unit subscriber deposits 0 2,008,728
Proceeds from stock options exercised 406,967 370,866
Proceeds from warrants exercised 4,866,415 995,493
Warrants issue costs (13,498) 0
Payments on lease liability (122,453) (73,898)
Cash flows from financing activities 38,824,931 5,313,528
Change in cash during the year 23,583,451 2,285,602
Cash, beginning of year 3,091,549 805,947
Cash, end of year $ 26,675,000 $ 3,091,549