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Restatement - Schedule of Consolidated Statements of Cashflows (Details) - USD ($)
12 Months Ended
Mar. 31, 2022
Mar. 31, 2021
Operating activities    
Net income for the year $ 79,622,129 $ 24,144,242
Change in fair value of derivative liability (10,751,224) 7,176,949
Digital currencies (92,119,954) (40,407,426)
Cash providing by operating activities $ 68,485,821 23,693,008
As previously reported [Member]    
Operating activities    
Net income for the year   42,539,684
Change in fair value of derivative liability   857,702
Digital currencies   (52,483,621)
Cash providing by operating activities   22,949,449
Adjustments [Member]    
Operating activities    
Net income for the year   (18,395,442)
Change in fair value of derivative liability   6,319,247
Digital currencies   12,076,195
Cash providing by operating activities   $ 743,559