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CONSOLIDATED STATEMENTS OF CHANGES IN SHAREHOLDERS' EQUITY - CAD ($)
Total
LPC Purchase Agreement
Share capital
Share capital
LPC Purchase Agreement
Warrants
Options
Contributed surplus
Deficit
Accumulated other comprehensive loss
Balance (in shares) at Mar. 31, 2023     5,279,846            
Balance at Mar. 31, 2023 $ 48,234,000   $ 158,162,000   $ 10,873,000 $ 27,283,000 $ 2,102,000 $ (148,151,000) $ (2,035,000)
Changes in equity [abstract]                  
At-the-market offering - net of share issuance costs (in shares)     898,434            
At-the-market offering - net of share issuance costs 14,700,000   $ 14,700,000            
Shares issued through common share purchase agreement - net of share issuance costs (in shares)     11,572,858            
Shares issued through common share purchase agreement - net of share issuance costs 239,753,000   $ 217,311,000   22,442,000        
Share issuance on business acquisition (in shares)     2,130,138 50,658          
Share issuance on business acquisition 53,481,000 $ 147,000 $ 53,481,000 $ 147,000          
Issuance of common shares as commitment fee for equity financing (in shares)     66,812            
Options expired 0         (1,992,000) 1,992,000    
Warrants exercised (in shares)     2,658            
Warrants exercised 56,000   $ 76,000   (20,000)        
Warrants expired 0       (7,656,000)   7,656,000    
Share-based compensation 13,886,000         13,886,000      
Unrealized gain (loss) on translation of foreign operations (250,000)               (250,000)
Net loss for the year (78,080,000)             (78,080,000)  
Balance (in shares) at Mar. 31, 2024     20,001,404            
Balance at Mar. 31, 2024 291,927,000   $ 443,877,000   25,639,000 39,177,000 11,750,000 (226,231,000) (2,285,000)
Changes in equity [abstract]                  
At-the-market offering - net of share issuance costs (in shares)     1,609,298            
At-the-market offering - net of share issuance costs 20,983,000   $ 20,983,000            
Share issuance costs (496,000)   (496,000)            
Adjustment for fractional shares upon share consolidation (in shares)     $ 2            
Options forfeited/expired 0         (32,664,000) 32,664,000    
Share-based compensation 42,869,000       1,955,000 40,914,000      
Unrealized gain (loss) on translation of foreign operations (4,946,000)               (4,946,000)
Net loss for the year (113,137,000)             (113,137,000)  
Balance (in shares) at Mar. 31, 2025     21,610,704            
Balance at Mar. 31, 2025 $ 237,200,000   $ 464,364,000   $ 27,594,000 $ 47,427,000 $ 44,414,000 $ (339,368,000) $ (7,231,000)