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CONVERTIBLE DEBT (Details 3) - 9 months ended Mar. 31, 2018 - Tranche Second [Member] - Lind Asset Management IV, LLC [Member]
$ in Thousands
USD ($)
shares
$ / shares
Face Value | $ [1] $ 3,000  
Warrants issued | shares [2] 2,617,661  
Warrant 1 [Member]    
Funding Date Jan. 30, 2018  
Face Value | $ [1] $ 1,800  
Warrants issued | shares [2] 1,546,882  
Warrant expiry date Jan. 30, 2021  
Risk-free Rate 1.78%  
Yield 0.00%  
Volatility 56.50%  
Expected life 3 years  
Warrant 1 [Member] | Canada    
Issue price (in dollars per share) | $ / shares [3]   $ 0.72
Warrant 2 [Member]    
Funding Date Feb. 05, 2018  
Face Value | $ [1] $ 600  
Warrants issued | shares [2] 529,344  
Warrant expiry date Feb. 05, 2021  
Risk-free Rate 1.78%  
Yield 0.00%  
Volatility 56.60%  
Expected life 3 years  
Warrant 2 [Member] | Canada    
Issue price (in dollars per share) | $ / shares [3]   0.70
Warrant 3 [Member]    
Funding Date Feb. 07, 2018  
Face Value | $ [1] $ 600  
Warrants issued | shares [2] 541,435  
Warrant expiry date Feb. 07, 2021  
Risk-free Rate 1.78%  
Yield 0.00%  
Volatility 56.70%  
Expected life 3 years  
Warrant 3 [Member] | Canada    
Issue price (in dollars per share) | $ / shares [3]   $ 0.69
[1] Includes implied interest
[2] The value of warrants issued totaled $425, which was expensed to Change in Financial Instrument Fair Value
[3] The price to convert one warrant into one Common Share