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Financial Instruments and Risk Management (Tables)
6 Months Ended
Sep. 30, 2024
Disclosure of detailed information about financial instruments [abstract]  
Schedule of classified as financial assets and liabilities [Table Text Block]
    As at September 30, 2024           As at March 31, 2024  
                                           
Assets    Level 1       Level 2       Level 3             Level 1       Level 2       Level 3   
Cash  $ -   $ 7,241   $ -         $ -   $ 9,678   $ -  
Digital currencies   -     165,177     -           -     161,645     -  
Investments   22,858     -     1,588           5,356     -     1,618  
  $ 22,858   $ 172,418   $ 1,588         $ 5,356   $ 171,323   $ 1,618  
                                           
Liabilities                                          
Convertible loan -derivative component   $ -   $ -   $ 32         $ -   $ -   $ 120  
  $ -   $ -   $ 32         $ -   $ -   $ 120  
Schedule of reconciliation of Level 3 assets and liabilities [Table Text Block]
    Fair value at                  Change       Fair Value at,     
Level 3 Continuity    March 31, 2024      Additions       Disposals       in fair value      September 30, 2024  
Assets                               
Investments  $ 1,618   $ -   $ -   $ (30 ) $ 1,588  
  $ 1,618   $ -   $ -   $ (30 ) $ 1,588  
Liabilities                              
Convertible loan -derivative component $ 120   $ -   $ -   $ (88 ) $ 32  
  $ 120   $ -   $ -   $ (88 ) $ 32  
                               
Schedule of liquidity risk [Table Text Block]
    Contractual
cash flows
    within 1 year     1 to 3 years     3 to 5 years     5+ years  
Accounts payable $ 17,550   $ 17,550   $ -   $ -   $ -  
Term loan   4,631     4,631     -     -     -  
Convertible loan   4,063     3,216     847     -     -  
Lease commitments   8,398     3,244     4,375     779     -  
Loans payable and interest   14,578     1,427     4,015     2,499     6,637  
Total $ 49,220   $ 30,068   $ 9,237   $ 3,278   $ 6,637  
Schedule of effect of changes in foreign exchange rates [Table Text Block]
    Net Monetary Position
September 30, 2024
(USD$ equivalent) ($)
    Impact of 10% variance
in foreign exchange rate
(in foreign currency) ($)
 
US Dollars   (3,651 )   332  
Canadian Dollars   214     14  
Euro Dollars   38     4  
Swiss Francs   78     8  
Swedish Krona   (493 )   4  
Icelandic Krona   827     1