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SCHEDULE OF SEGMENTED INFORMATION (Details) - CAD ($)
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
IfrsStatementLineItems [Line Items]      
Sales of goods $ 5,287,093 $ 5,550,432 $ 5,103,399
Provision of services 1,267,749 2,054,627 1,950,466
Total revenue 6,554,842 7,605,059 7,053,865
Segment loss 22,926,541 23,459,253 18,575,560
Finance and other costs (83,280) (44,345) (5,074)
Depreciation 510,677 593,277 175,098
Amortization 35,960 179,482 135,966
Impairment of goodwill and intangibles   6,454,914 4,579,763
Change in fair value of derivative liability (211,110) (5,502,688) (8,149,812)
Loss on write-off of notes receivable 101,351 309,385 891,471
Loss on write down of inventory 331,671 1,976,514  
Write down of deposit 228,572
Net loss for the year 23,611,810 27,654,364 16,202,972
Drones [member]      
IfrsStatementLineItems [Line Items]      
Sales of goods 4,905,417 5,388,262 4,957,134
Provision of services 1,267,749 2,054,627 1,950,466
Total revenue 6,173,166 7,442,889 6,907,600
Segment loss 14,743,176 9,929,789 7,819,739
Finance and other costs (80,211) (3,529) 16,272
Depreciation 499,530 586,185 175,098
Amortization 35,960 179,482 135,966
Impairment of goodwill and intangibles   2,166,563
Change in fair value of derivative liability
Loss on write-off of notes receivable 1,080,645
Loss on write down of inventory 331,671 251,754  
Write down of deposit    
Net loss for the year 15,530,126 14,190,889 8,147,075
Vital [member]      
IfrsStatementLineItems [Line Items]      
Sales of goods 381,676 162,170 146,265
Provision of services
Total revenue 381,676 162,170 146,265
Segment loss (140,366) 602,580 257,656
Finance and other costs
Depreciation
Amortization
Impairment of goodwill and intangibles   4,288,351 4,579,763
Change in fair value of derivative liability
Loss on write-off of notes receivable
Loss on write down of inventory 1,724,760  
Write down of deposit   228,572  
Net loss for the year (140,366) 6,844,263 4,837,419
Corporates [member]      
IfrsStatementLineItems [Line Items]      
Sales of goods
Provision of services
Total revenue
Segment loss 8,323,731 12,926,884 10,498,164
Finance and other costs (3,069) (40,186) (21,346)
Depreciation 11,148
Amortization
Impairment of goodwill and intangibles  
Change in fair value of derivative liability (211,110) (5,502,688) (8,149,812)
Loss on write-off of notes receivable 101,351 (771,260) 891,471
Loss on write down of inventory  
Write down of deposit    
Net loss for the year $ 8,222,051 $ 6,619,212 $ 3,218,477