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CONSOLIDATED STATEMENTS OF CHANGES IN EQUITY - CAD ($)
Share capital
Contributed surplus
Deficit
Accumulated other comprehensive income
Total
Balance-beginning of period at Dec. 31, 2021 $ 1,517,029,000 $ 67,496,000 $ (1,189,610,000) $ 1,776,000 $ 396,691,000
Shares issued for cash, net of issue costs 19,601,000        
Other shares issued, net of issue costs 169,000        
Share-based compensation expense   3,736,000     (3,736,000)
Share options exercised-cash 1,459,000       (1,459,000)
Share option exercises-transfer from contributed surplus 550,000 (550,000)      
Share units exercised-transfer from contributed surplus 401,000 (401,000)      
Foreign currency translation       6,000  
Net income     14,354,000   14,354,000
Balance-end of period at Dec. 31, 2022 1,539,209,000 70,281,000 (1,175,256,000) 1,782,000 436,016,000
Shares issued for cash, net of issue costs 107,884,000        
Other shares issued, net of issue costs 193,000        
Share-based compensation expense   3,746,000     (3,746,000)
Share options exercised-cash 3,534,000       (3,534,000)
Share option exercises-transfer from contributed surplus 1,474,000 (1,474,000)      
Share units exercised-transfer from contributed surplus 2,730,000 (2,730,000)      
Foreign currency translation       36,000  
Net income     90,375,000   90,375,000
Balance-end of period at Dec. 31, 2023 $ 1,655,024,000 $ 69,823,000 $ (1,084,881,000) $ 1,818,000 $ 641,784,000