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CAPITAL STOCK (Narrative) (Details)
12 Months Ended
Dec. 31, 2018
CAD ($)
Year
$ / shares
shares
Dec. 31, 2018
USD ($)
Year
shares
Dec. 31, 2017
CAD ($)
Year
shares
Dec. 31, 2017
CAD ($)
Year
$ / shares
Dec. 31, 2016
CAD ($)
shares
Dec. 31, 2015
CAD ($)
shares
Statements Line Items            
Shares issued for private placement     $ 7,000,000      
Shares issued for private placement (Shares) | shares     5,000,000      
Equity Issuance, Price per Unit | $ / shares       $ 1.40    
Weighted average exercise price of warrants granted in share-based payment arrangement     $ 2.00      
Finder's fees in units (Shares) | shares     246,604      
Finder's fees in units     $ 345,246      
Total amount of finder feed paid     $ 356,986      
Shares issued pursuant to an incentive stock grant program (shares) | shares 204,963 204,963 245,000   140,000 163,000
Shares issued pursuant to an incentive stock grant program $ 266,452   $ 279,300   $ 166,600 $ 233,950
Amount of incentive stock issued to employees included in exploration expenditures $ 166,476          
Shares issued for exercise of options (shares) | shares 192,500 192,500 75,000   165,000
Shares issued for exercise of options $ 186,100   $ 85,700   $ 127,800
Employment and consulting agreements (Shares) | shares 21,084 21,084 68,873      
Employment and consulting agreements $ 23,825   $ 79,190      
Commitment to issue shares     $ 23,825 $ 23,825    
Shares issued for property (shares) | shares       250,000
Shares issued for property       $ 145,000
Description of stock option plan     The maximum number of shares that may be reserved for issuance under the plan is limited to 10% of the issued common shares of the Company at any time.      
Weighted average remaining contractual life of outstanding share options | Year 2.80 2.80 3.10 3.10    
Share-based Payments $ 1,820,724   $ 1,415,639   970,796  
Weighted average fair value of the stock options granted 0.78   0.70   0.74  
Shares issued pursuant to credit facility $ 602,487 $ 465,212        
Shares issued pursuant to credit facility (Shares) | shares 381,321 381,321        
Shares issued pursuant to credit facility, value per share | $ / shares $ 1.58          
Non-Executive Chairman [Member]            
Statements Line Items            
Directors fees   $ 5,000        
Discretionary bonus paid   $ 1,000,000        
Granted July 20, 2018 [Member]            
Statements Line Items            
Description of option vesting schedule 25,000 Options granted for investor relations services vest 25% every 3 months from the date of grant. 25,000 Options granted for investor relations services vest 25% every 3 months from the date of grant.        
Capital stock [Member]            
Statements Line Items            
Shares issued for private placement     $ 6,200,000      
Finder's fees in units, percentage of units sold to investors introduced by finders     6.00%      
Finder's fees in units     $ 305,789      
Share issuance costs in cash $ 11,740          
Shares issued for exercise of options $ 186,100   85,700   $ 127,800  
Share-based payments [Member]            
Statements Line Items            
Shares issued for private placement     800,000      
Finder's fees in units     $ 39,457