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CONSOLIDATED STATEMENTS OF CASH FLOWS - CAD ($)
12 Months Ended
Dec. 31, 2019
Dec. 31, 2018
OPERATING ACTIVITIES    
Loss and comprehensive loss $ (1,766,448) $ (2,856,160)
ITEMS NOT AFFECTING CASH    
Share-based payments 406,399 574,974
Unrealized loss on marketable securities 91,700 33,500
Flow-through premium recovery (767,435)
ITEMS NOT AFFECTING CASH (269,336) 608,474
Change in non-cash working capital items (1,736) 120,156
OPERATING ACTIVITIES (2,037,520) (2,127,530)
FINANCING ACTIVITIES    
Private placement proceeds 3,354,300 3,340,826
Private placement issuance costs (341,660) (152,825)
Exercise of stock options 72,000 732,500
FINANCING ACTIVITIES 3,084,640 3,920,501
INVESTING ACTIVITIES    
Redemption of short-term investments 1,500,000 2,186,861
Mineral property expenditures (3,892,871) (1,348,817)
Acquisition of mineral claims (38,913)
INVESTING ACTIVITIES (2,431,784) 838,044
CHANGE IN CASH AND CASH EQUIVALENTS (1,384,664) 2,631,015
Cash and cash equivalents - Beginning 3,026,385 395,370
CASH AND CASH EQUIVALENTS - ENDING $ 1,641,721 $ 3,026,385