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Restatement (Tables)
12 Months Ended
Mar. 31, 2022
Disclosure Of Restatement [Abstract]  
Schedule of restated consolidated financial statements [Table Text Block]
    As previously     Adjustments     As Restated  
    reported              
                   
Consolidated Statements of Financial Position                  
                   
   Convertible loan - derivative component $ 9,418,331   $ 6,319,247   $ 15,737,578  
   Accumulated other comprehensive income   -     9,957,582     9,957,582  
   Deficit   (130,627,718 )   (16,276,829 )   (146,904,547 )
                   
Consolidated Statements of income and Comprehensive income                  
                   
Other Items                  
   Change in fair value of derivative liability $ (857,702 ) $ (6,319,247 ) $ (7,176,949 )
   Revaluation of digital currencies $ 24,725,838   $ (9,957,582 ) $ 14,768,256  
   Gain on sale of digital currencies $ 7,998,493   $ (2,118,613 ) $ 5,879,880  
                   
Net income for the year $ 42,539,684   $ (18,395,442 ) $ 24,144,242  
                   
Other comprehensive income                  
   Revaluation gain on digital currencies $ -   $ 9,957,582   $ 9,957,582  
                   
Net income and comprehensive income for the year $ 42,902,802   $ (8,437,860 ) $ 34,464,942  
                   
Basic income per share $ 0.60   $ (0.25 ) $ 0.35  
Diluted income per share $ 0.60   $ (0.27 ) $ 0.33  
                   
Consolidated Statements of Changes in Equity                  
                   
Net income for the year $ 42,539,684   $ (18,395,442 ) $ 24,144,242  
                   
Revaluation of digital currencies $ -   $ 12,076,195   $ 12,076,195  
                   
Total equity $ 134,473,013   $ (6,319,247 ) $ 128,153,766  
                   
Consolidated Statements of Cashflows                  
                   
Operating activities                  
   Net income for the year $ 42,539,684   $ (18,395,442 ) $ 24,144,242  
   Change in fair value of derivative liability $ 857,702   $ 6,319,247   $ 7,176,949  
   Digital currencies $ (52,483,621 ) $ 12,076,195   $ (40,407,426 )
                   
Cash providing by operating activities $ 22,949,449   $ 743,559   $ 23,693,008