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Consolidated Statements of Changes in Equity - USD ($)
Share capital [Member]
Equity reserve [Member]
Accumulated other comprehensive income [Member]
Accumulated deficit [Member]
Total
Beginning Balance at Mar. 31, 2020 $ 188,542,547 $ 5,974,398 $ (263,108) $ (173,167,402) $ 21,086,435
Beginning Balance (shares) at Mar. 31, 2020 65,429,113        
Share-based compensation   1,654,346     1,654,346
Shares offering $ 64,543,080       $ 64,543,080
Shares offering (shares) 3,272,700       3,272,700
Share issuance costs $ (1,842,480)       $ (1,842,480)
Quebec acquisition $ 2,458,470       2,458,470
Quebec acquisition (shares) 3,000,000        
Exercise of options $ 5,836,600 (2,056,713)     3,779,887
Exercise of options (shares) 1,495,394        
Vesting of restricted stock units $ 342,742 (476,717)     $ (133,975)
Vesting of restricted stock units (shares) 325,200       325,200
Shares issued for services $ 24,448       $ 24,448
Shares issued for services (shares) 20,000       20,000
Income for the year       24,144,242 $ 24,144,242
Translation adjustment     363,118   363,118
Revaluation gain on digital currencies     12,076,195   12,076,195
Realized gain on digital currencies     (2,118,613) 2,118,613  
Ending Balance at Mar. 31, 2021 $ 259,905,407 5,095,314 10,057,592 (146,904,547) 128,153,766
Ending Balance (shares) at Mar. 31, 2021 73,542,407        
Share-based compensation   5,982,187     5,982,187
Warrants issued for asset purchase   2,030,045     2,030,045
Shares offering $ 34,956,134       $ 34,956,134
Shares offering (shares) 2,174,503       2,174,503
Special warrants $ 89,917,917       $ 89,917,917
Special warrants (shares) 3,834,100        
Share issuance costs $ (6,982,899)       (6,982,899)
Atlantic acquisition $ 17,191,332       17,191,332
Atlantic acquisition (shares) 1,000,000        
Shares and warrants issued for investment $ 14,576,439 393,723     14,970,162
Shares and warrants issued for investment (shares) 1,013,354        
Exercise of options $ 3,255,049 (1,195,058)     2,059,991
Exercise of options (shares) 386,824        
Vesting of restricted stock units $ 841,105 (70,042)     $ 771,063
Vesting of restricted stock units (shares) 290,800       290,800
Income for the year       79,622,129 $ 79,622,129
Translation adjustment     1,087,338   1,087,338
Revaluation gain on digital currencies     19,293,400   19,293,400
Realized gain on digital currencies     (7,038,862) 7,038,862  
Ending Balance at Mar. 31, 2022 $ 413,660,484 $ 12,236,169 $ 23,399,468 $ (60,243,556) $ 389,052,565
Ending Balance (shares) at Mar. 31, 2022 82,241,988