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VITAL INTELLIGENCE ACQUISITION (Details Narrative)
9 Months Ended 12 Months Ended
Aug. 19, 2021
CAD ($)
shares
Mar. 25, 2021
CAD ($)
$ / shares
shares
Dec. 31, 2021
CAD ($)
shares
Dec. 31, 2021
CAD ($)
shares
Dec. 31, 2020
CAD ($)
Dec. 31, 2019
CAD ($)
Reserve Quantities [Line Items]            
Shares held in escrow | shares 900,000          
Derivative financial liabilities $ 4,797,717          
Increase (decrease) in credit derivative, fair value       $ 694,230    
Revenue       7,053,865 $ 4,363,511 $ 1,380,427
Profit (loss)       $ (16,202,972) $ (8,015,813) $ (11,095,057)
Vital Intelligence Inc [Member]            
Reserve Quantities [Line Items]            
Revenue     $ 115,369      
Profit (loss)     $ 203,231      
Escrow Agreement One [Member]            
Reserve Quantities [Line Items]            
Stock issued, shares | shares 300,000          
Escrow Agreement Two [Member]            
Reserve Quantities [Line Items]            
Stock issued, shares | shares 300,000          
Shares issued, amount $ 2,000,000          
Escrow Agreement Three [Member]            
Reserve Quantities [Line Items]            
Stock issued, shares | shares 300,000          
Shares issued, amount $ 4,000,000          
Escrow Agreement Four [Member]            
Reserve Quantities [Line Items]            
Stock issued, shares | shares 300,000          
Shares issued, amount $ 6,000,000          
Vital Intelligence Inc [Member]            
Reserve Quantities [Line Items]            
Number of shares issued | shares     1,200,000 1,200,000    
Vital Intelligence Inc [Member] | Brand [Member]            
Reserve Quantities [Line Items]            
Royalty Percentage   0.0025        
Royalty discount percentage   0.144        
Vital Intelligence Inc [Member] | Software [Member]            
Reserve Quantities [Line Items]            
Royalty Percentage   0.050        
Royalty discount percentage   0.144        
Vital Intelligence Inc [Member] | Asset Purchase Agreement [Member]            
Reserve Quantities [Line Items]            
Payment to acquire assets   $ 500,000        
Number of shares issued | shares   1,200,000        
Explanation of nature and amount of significant transactions   the Company with each unit being comprised of one common share and one warrant (the “Acquisition”). Each warrant will entitle the holder to acquire one common share for a period of 24 ‎months following closing for $13.35 and the Company will be able ‎to accelerate the expiry date of the warrants after one year in the event the underlying common shares ‎have a value of at least 30% greater than the exercise price of the warrants. The units will be held in ‎escrow with 300,000 units being released at closing and the remainder to be released ‎upon the Company reaching certain revenue milestones received from the purchased assets.        
Warrant exercise price per share | $ / shares   $ 13.35        
Warrant expiration term   1 year        
Escrow deposit units | shares   300,000        
Description for Number of Shares Issued   The units were issued on March 22, 2021        
Vital Intelligence Inc [Member] | Asset Purchase Agreement [Member] | Maximum [Member]            
Reserve Quantities [Line Items]            
Final payment 250,000          
Vital Intelligence Inc [Member] | Asset Purchase Agreement [Member] | Minimum [Member]            
Reserve Quantities [Line Items]            
Final payment $ 227,984