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CONSOLIDATED STATEMENTS OF CASH FLOWS - CAD ($)
12 Months Ended
Dec. 31, 2020
Dec. 31, 2019
Cash flows provided by (used in)    
Loss and comprehensive loss $ (2,033,357) $ (1,766,448)
ITEMS NOT AFFECTING CASH    
Share-based payments 557,101 406,399
Unrealized loss on marketable securities (576,460) 91,700
Flow-through premium recovery (128,367) (767,435)
ITEMS NOT AFFECTING CASH (147,726) (269,336)
Change in non-cash working capital items (188,509) (1,736)
OPERATING ACTIVITIES (2,369,592) (2,037,520)
FINANCING ACTIVITIES    
Proceeds from issuing other equity instruments 6,430,000 3,354,300
Private placement issuance costs (179,147) (341,660)
Exercise of stock options 854,834 72,000
Equity offering 28,751,035  
Equity offering costs (1,170,636)  
FINANCING ACTIVITIES 34,686,086 3,084,640
INVESTING ACTIVITIES    
Redemption of short-term investments   1,500,000
Mineral property expenditures (5,311,025) (3,892,871)
Acquisition of mineral claims   (38,913)
INVESTING ACTIVITIES (5,311,025) (2,431,784)
CHANGE IN CASH AND CASH EQUIVALENTS 27,005,469 (1,384,664)
Cash and cash equivalents - Beginning 1,641,721 3,026,385
CASH AND CASH EQUIVALENTS - ENDING $ 28,647,190 $ 1,641,721