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Consolidated Statements of Changes in Equity - CAD ($)
$ in Thousands
Share capital
Share purchase warrants
Contributed surplus
Deficit
Accumulated other comprehensive income
Total
Balance-beginning of period at Dec. 31, 2017 $ 1,310,473 $ 435 $ 61,799 $ (1,144,086) $ 1,140 $ 229,761
Shares issued for cash-net of issue costs 4,549         4,549
Flow-through share premium (1,337)         (1,337)
Shares issued on acquisition of additional mineral property interest (note 12) 17,529         17,529
Share options exercised - cash 0         0
Share options exercised - fair value adjustment 0   0     0
Share units exercised - fair value adjustment           0
Share-based compensation expense (note 20)     1,835     1,835
Net loss       (30,077)   (30,077)
Foreign currency translation         (13) (13)
Balance-end of period at Dec. 31, 2018 1,331,214 435 63,634 (1,174,163) 1,127 222,247
Balance-beginning of period at Dec. 31, 2018 1,331,214 435 63,634 (1,174,163) 1,127 222,247
Shares issued for cash-net of issue costs 4,292         4,292
Flow-through share premium (902)         (902)
Shares issued on acquisition of additional mineral property interest (note 12) 19         19
Share options exercised - cash 405         405
Share options exercised - fair value adjustment 140   (140)     0
Share units exercised - fair value adjustment 299   (299)     0
Share-based compensation expense (note 20)     2,222     2,222
Net loss       (18,141)   (18,141)
Foreign currency translation         7 7
Balance-end of period at Dec. 31, 2019 $ 1,335,467 $ 435 $ 65,417 $ (1,192,304) $ 1,134 $ 210,149