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Financial Instruments and Risk Management - Schedule of reconciliation of Level 3 assets and liabilities (Details)
12 Months Ended
Mar. 31, 2022
USD ($)
Assets  
Openning assets balance $ 178,330,730
Ending assets balance 452,274,331
Liabilities and equity  
Openning liabilities balance 50,176,964
Ending liabilities balance 63,221,766
Level 1 of fair value hierarchy [Member]  
Assets  
Openning assets balance 981,736
Ending assets balance 12,524,161
Liabilities and equity  
Openning liabilities balance 0
Ending liabilities balance 0
Level 2 of fair value hierarchy [Member]  
Assets  
Openning assets balance 97,790,233
Ending assets balance 175,319,334
Liabilities and equity  
Openning liabilities balance 0
Ending liabilities balance 0
Level 3 of fair value hierarchy [Member]  
Assets  
Openning assets balance 0
Additions 3,579,581
Disposals 0
Change in fair value 896,670
Ending assets balance 4,476,251
Liabilities and equity  
Openning liabilities balance 15,737,578
Additions 0
Disposals 0
Change in fair value of liability (10,751,225)
Ending liabilities balance 4,986,354
Level 3 of fair value hierarchy [Member] | Investments [Member]  
Assets  
Openning assets balance 0
Additions 3,579,581
Disposals 0
Change in fair value 896,670
Ending assets balance 4,476,251
Level 3 of fair value hierarchy [Member] | Convertible loan - derivative component [Member]  
Liabilities and equity  
Openning liabilities balance 15,737,578
Additions 0
Disposals 0
Change in fair value of liability (10,751,225)
Ending liabilities balance $ 4,986,353