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CONSOLIDATED STATEMENTS OF SHAREHOLDERS EQUITY - CAD ($)
Total
Capital stock [Member]
Commitment to issue shares [Member]
Share-based payments [Member]
Accumulated other comprehensive gain (loss) [Member]
Deficit [Member]
Beginning Balance at Dec. 31, 2014 $ 45,086,327 $ 116,766,102 $ 306,999 $ 9,562,905 $ 5,880,342 $ (87,430,021)
Beginning Balance (Shares) at Dec. 31, 2014 73,371,710          
Statement [Line Items]            
Shares issued as incentive stock grants   233,950 (233,950)      
Shares issued as incentive stock grants (Shares) 163,000          
Shares issued for exercise of options $ 0          
Shares issued for exercise of options (Shares) 0          
Equity investment share-based payments $ 322,900     322,900    
Commitment to issue shares 66,089   66,089      
Share - based payments 476,424     476,424    
Foreign currency translation adjustment 4,350,667       4,350,667  
Change in fair value of financial instruments (105,714)       (105,714)  
Permanent loss on financial instruments 0          
Loss for the year (6,875,857)         (6,875,857)
Ending Balance at Dec. 31, 2015 $ 43,320,836 117,000,052 139,138 10,362,229 10,125,295 (94,305,878)
Ending Balance (Shares) at Dec. 31, 2015 73,534,710          
Statement [Line Items]            
Shares issued for acquisition of a royalty interest $ 145,000 145,000        
Shares issued for acquisition of a royalty interest (Shares) 250,000          
Shares issued as incentive stock grants   166,600 (166,600)      
Shares issued as incentive stock grants (Shares) 140,000          
Shares issued for exercise of options $ 127,800 127,800        
Shares issued for exercise of options (Shares) 165,000          
Equity investment share-based payments $ 366,800     366,800    
Commitment to issue shares 970,796   27,462 943,334    
Reclass of reserves on exercise of options   65,133   (65,133)    
Foreign currency translation adjustment (862,335)       (862,335)  
Change in fair value of financial instruments 88,515       88,515  
Permanent loss on financial instruments 697,675       697,675  
Loss for the year (2,683,482)         (2,683,482)
Ending Balance at Dec. 31, 2016 $ 42,171,605 117,504,585   11,607,230 10,049,150 (96,989,360)
Ending Balance (Shares) at Dec. 31, 2016 74,089,710          
Statement [Line Items]            
Shares issued for exercise of options $ 85,700 85,700        
Shares issued for exercise of options (Shares) 75,000          
Shares issued for private placement $ 7,000,000 6,200,000   800,000    
Shares issued for private placement (Shares) 5,000,000          
Finder's fees in units $ 345,246 305,789   39,457    
Finder's fees in units (Shares) 246,604          
Share - based payments $ 1,415,639 358,490 23,825 1,033,324    
Share - based payments (Shares) 313,873          
Share issuance costs in units $ (345,246) (345,246)        
Share issuance costs in cash (92,772) (92,772)        
Reclass of reserves on exercise of options   45,545   (45,545)    
Foreign currency translation adjustment (1,424,814)       (1,424,814)  
Change in fair value of financial instruments 609,733       609,733  
Permanent loss on financial instruments 0          
Loss for the year (7,393,384)         (7,393,384)
Ending Balance at Dec. 31, 2017 $ 42,371,707 $ 124,062,091 $ 23,825 $ 13,434,466 $ 9,234,069 $ (104,382,744)
Ending Balance (Shares) at Dec. 31, 2017 79,725,187