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Note 13 - Non-controlling Interests (Tables)
12 Months Ended
Nov. 30, 2023
Statement Line Items [Line Items]  
Statement of subsidiary financial position [text block]
  

November 30,

 
  

2023

 
  

($)

 

Assets

    

Cash and cash equivalents

  15,461 

Restricted cash

  118 

Prepaid expenses and deposits

  510 

Other receivables

  156 

Other assets

  37 

Land, property and equipment

  1,504 

Exploration and evaluation assets

  82 
   17,868 
     

Liabilities

    

Accounts payable and accrued liabilities

  420 

Income taxes payable

  7 

Withholdings taxes payable

  245 

Rehabilitation provisions

  416 

Lease liability

  184 
   1,272 
Statement of subsidiary cash flows [text block]
  

For the year ended

 
  

November 30,

 
  

2023

 
  

($)

 

Cash used in operating activities

  (12,657)

Cash used in investing activities

  (1,328)

Cash generated from financing activities

  29,491 
     

Net increase in cash and cash equivalents and restricted cash

  15,506 

Cash and cash equivalents and restricted cash

    

Beginning of year

  73 

End of year

  15,579 
Disclosure of number and weighted average exercise prices of warrants [text block]
  

Number of

Warrants

  

Weighted Average

Exercise Price

 
      

(US$)

 

Balance at November 30, 2022

  -   - 

Common share purchase warrants issued at the IPO

  2,000,000   13.00 

Exercised

  (258,708)  13.00 

Balance at November 30, 2023

  1,741,292   13.00