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Financial Instruments and Risk Management - Schedule of net monetary position in significant foreign currencies (Details) - Mar. 31, 2022 - Currency risk [Member]
USD ($)
CAD ($)
CHF (SFr)
SEK (kr)
ISK (kr)
US Dollars [Member]          
Disclosure of detailed information about hedging instruments [Line Items]          
Net Monetary Position $ 2,906,380        
Impact of 10% variance in foreign exchange rate 264,216        
Canadian Dollars [Member]          
Disclosure of detailed information about hedging instruments [Line Items]          
Net Monetary Position 412,234        
Impact of 10% variance in foreign exchange rate   $ 29,981      
Swiss Francs [Member]          
Disclosure of detailed information about hedging instruments [Line Items]          
Net Monetary Position (153,987)        
Impact of 10% variance in foreign exchange rate | SFr     SFr 15,119    
Swedish Krona [Member]          
Disclosure of detailed information about hedging instruments [Line Items]          
Net Monetary Position 1,976,320        
Impact of 10% variance in foreign exchange rate | kr       kr 19,763  
Icelandic Krona [Member]          
Disclosure of detailed information about hedging instruments [Line Items]          
Net Monetary Position $ 2,930,437        
Impact of 10% variance in foreign exchange rate | kr         kr 2,078