v3.25.4
Fair Value Measurements (Tables)
9 Months Ended
Dec. 31, 2025
Fair Value Disclosures [Abstract]  
Schedule of financial assets and liabilities measured at fair value [Table Text Block]
    December 31, 2025     March 31, 2025  
Assets   Level 1     Level 2     Level 3     Level 1     Level 2     Level 3  
Cash $ -   $ 14,069   $ -   $ -   $ 23,375   $ -  
(i) Digital currencies (Note 6)   -     42,101     -     -     181,146     -  
(ii) Investments (Note 4)   9,001     -     467     21,016     -     429  
Derivative asset (Note 6)   -     -     7,796     -     -     1,300  
  $ 9,001   $ 56,170   $ 8,263   $ 21,016   $ 204,521   $ 1,729  
                                     
Liabilities                                    
Warrant liability $ -   $ -   $ 1,344   $ -   $ -   $ 760  
Convertible loan-derivative component   -     -     -     -     -     -  
  $ -   $ -   $ 1,344   $ -   $ -   $ 760  
Schedule of reconciliation of Level 3 assets and liabilities [Table Text Block]
Level 3 Continuity      
Investments      
Balance, at April 1, 2024 $ 576  
Transfer to Level 1   (133 )
Foreign exchange   (2 )
Change in fair value   (12 )
Balance, at March 31, 2025   429  
       

Additions

  725  

Transfer to Level 1

  (725 )
Change in fair value   28  
Foreign exchange   10  
Balance, at December 31, 2025 $ 467  
       
Derivative asset      
Balance, at April 1, 2024 $ -  
Additions   2,000  
Change in fair value   (700 )
Balance, at March 31, 2025   1,300  
       
Additions   33,675  
Exercised   (10,364 )
Change in fair value   (16,815 )
Balance, at December 31, 2025 $ 7,796  
       
Warrant liability      
Balance, at April 1, 2024 $ -  
Additions - reclassification from equity   5,112  
Change in fair value   (4,352 )
Balance, at March 31, 2025   760  
       
Change in fair value   584  
Balance, at December 31, 2025 $ 1,344