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CONSOLIDATED STATEMENTS OF SHAREHOLDERS' EQUITY - CAD ($)
Capital stock [Member]
Commitment to issue shares [Member]
Share-based payments [Member]
Accumulated other comprehensive gain (loss) [Member]
Deficit [Member]
Total
Beginning Balance at Dec. 31, 2015 $ 117,000,052 $ 139,138 $ 10,362,229 $ 10,125,295 $ (94,305,878) $ 43,320,836
Beginning Balance (Shares) at Dec. 31, 2015           73,534,710
Statements 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 from 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   27,462 943,334     970,796
Reclassification of fair value of options exercised 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
Income (Loss) for the year         (2,683,482) (2,683,482)
Ending Balance at Dec. 31, 2016 117,504,585   11,607,230 10,049,150 (96,989,360) $ 42,171,605
Ending Balance (Shares) at Dec. 31, 2016           74,089,710
Statements Line Items            
Share - based payments 358,490 23,825 1,033,324     $ 1,415,639
Share - based payments (Shares)           313,873
Shares issued from exercise of options 85,700         $ 85,700
Shares issued for exercise of options (Shares)           75,000
Shares issued for private placement 6,200,000   800,000     $ 7,000,000
Shares issued for private placement (Shares)           5,000,000
Finder's fees in units 305,789   39,457     $ 345,246
Finder's fees in units (Shares)           246,604
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
Income (Loss) for the year         (7,393,384) (7,393,384)
Ending Balance at Dec. 31, 2017 124,062,091 23,825 13,434,466 9,234,069 (104,382,744) $ 42,371,707
Ending Balance (Shares) at Dec. 31, 2017           79,725,187
Statements Line Items            
Adoption of IFRS 9       (740,685) 740,685  
Shares issued pursuant to a loan agreement 602,487         $ 602,487
Shares issued pursuant to a loan agreement (shares)           381,321
Share - based payments 290,277 $ (23,825) 1,572,242     $ 1,838,694
Share - based payments (Shares)           226,047
Shares issued from exercise of options 186,100         $ 186,100
Shares issued for exercise of options (Shares)           192,500
Reclass of reserves on exercise of options 90,254   (90,254)      
Reclass of reserves for options forfeited     (17,970)     $ (17,970)
Equity investment share-based payments     246,718     246,718
Foreign currency translation adjustment       1,208,463   1,208,463
Change in fair value of financial instruments       (49,108)   (49,108)
Income (Loss) for the year         62,117,601 62,117,601
Ending Balance at Dec. 31, 2018 $ 125,231,209   $ 15,145,202 $ 9,652,739 $ (41,524,458) $ 108,504,692
Ending Balance (Shares) at Dec. 31, 2018           80,525,055