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Consolidated Statements of Changes in Equity - CAD ($)
$ in Thousands
Total
Share Capital [member]
Reserves [member]
Accumulated Other Comprehensive Income (loss)
Retained earnings [member]
Attributable to shareholder's of NexGen Energy Ltd [member]
Non-controlling Interests [member]
Beginning balance at Dec. 31, 2021 $ 461,348 $ 695,856 $ 68,837 $ 1,895 $ (332,980) $ 433,608 $ 27,740
Beginning balance, shares at Dec. 31, 2021   479,198,233          
Statement [LineItems]              
Share-based payments (Note 12) 41,510   32,103     32,103 9,407
Shares issued on exercise of stock options (Note 12) $ 10,001 $ 16,261 (6,260)     10,001  
Shares issued on exercise of stock options (Note 12) shares 3,247,332 3,247,332          
Shares issued for convertible debenture interest payments (Note 10) $ 486 $ 486       486  
Shares issued for convertible debenture interest payments (Note 10), shares   84,580          
Ownership changes relating to non-controlling interests 5,270       (300) (300) 5,570
Net income (loss) for the year (60,268)       (56,587) (56,587) (3,681)
Other comprehensive loss (2,930)     (1,435)   (1,435) (1,495)
Ending balance at Dec. 31, 2022 455,417 $ 712,603 94,680 460 (389,867) 417,876 37,541
Ending balance, shares at Dec. 31, 2022   482,530,145          
Statement [LineItems]              
At-the-market equity program, net of issuance costs (Note 12) 175,176 $ 175,176       175,176  
At-the-market equity program, net of issuance costs (Note 12), shares   24,724,125          
Share-based payments (Note 12) 44,009   38,542     38,542 5,467
Shares issued on exercise of stock options (Note 12) 26,349 $ 42,637 (16,288)     26,349  
Shares issued on exercise of stock options (Note 12) shares   8,608,816          
Shares issued on convertible debentures conversion (Note 10) 72,773 $ 72,773       72,773  
Shares issued on convertible debentures conversion (Note 10), shares   8,663,461          
Shares issued for convertible debenture interest payments (Note 10) 1,498 $ 1,498       1,498  
Shares issued for convertible debenture interest payments (Note 10), shares   179,363          
Shares issued for convertible debenture establishment fee (Note 10) 4,443 $ 4,443       4,443  
Shares issued for convertible debenture establishment fee (Note 10). shares   634,615          
Ownership changes relating to non-controlling interests (27,392)       5,408 5,408 (32,800)
Net income (loss) for the year 70,168       80,816 80,816 (10,648)
Reclass accumulated other comprehensive income related to converted debentures (Note 10)       361 (361)    
Other comprehensive loss (2,422)     (2,862)   (2,862) 440
Ending balance at Dec. 31, 2023 $ 820,019 $ 1,009,130 $ 116,934 $ (2,041) $ (304,004) $ 820,019 $ 0
Ending balance, shares at Dec. 31, 2023   525,340,525