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Share Capital, Warrants and Options (Details Narrative)
6 Months Ended 12 Months Ended
Dec. 18, 2019
CAD ($)
$ / shares
shares
Dec. 09, 2019
CAD ($)
shares
Oct. 04, 2019
shares
Jun. 30, 2020
CAD ($)
Option
Int
$ / shares
shares
Jun. 30, 2019
CAD ($)
shares
Dec. 31, 2019
CAD ($)
Option
shares
Dec. 31, 2018
shares
Jun. 30, 2018
shares
Issue of Equity [Line items]                
Expected dividend yield       0.00%      
Risk-free interest rate       1.21%      
Expected volatility       121.55%      
Eligible exploration expenditures | $       $ 38,711,000   $ 38,633,000    
Reserve [Member]                
Issue of Equity [Line items]                
Transfer to deficit for expired options and warrants | $       199,971      
Transfer to deficit for expired warrants | $       $ 2,571,514      
Stock Option Plan [Member]                
Issue of Equity [Line items]                
Period of options granted       5 years        
Number of stock option granted | Option       6,650,000        
Stock options exercisable price per share | $ / shares       $ 0.16        
Expense from share-based payment transactions on grant of options | $       $ 884,247      
Maximum [Member]                
Issue of Equity [Line items]                
Percentage of beneficially owns, issued and outstanding       10.00%        
Period of options granted       10 years        
Sentient Executive GP IV Limited [Member]                
Issue of Equity [Line items]                
Beneficially owned of common shares in total           36,980,982    
Percentage of beneficially owns, issued and outstanding           41.70%    
Contemporary Amperex Technology Limited [Member]                
Issue of Equity [Line items]                
Beneficially owned of common shares in total           22,944,444    
Percentage of beneficially owns, issued and outstanding           25.87%    
Post-consolidation Basis [Member] | Stock Option Plan [Member]                
Issue of Equity [Line items]                
Number of stock option granted | Option       6,650,000      
Post-consolidation Basis [Member] | Sentient Executive GP IV Limited [Member]                
Issue of Equity [Line items]                
Beneficially owned of common shares in total             36,980,982  
Percentage of beneficially owns, issued and outstanding             46.93%  
Post-consolidation Basis [Member] | Contemporary Amperex Technology Limited [Member]                
Issue of Equity [Line items]                
Beneficially owned of common shares in total             20,000,000  
Percentage of beneficially owns, issued and outstanding             25.38%  
Series 1 Convertible Preferred Shares [Member]                
Issue of Equity [Line items]                
Authorized capital       100,000,000        
Par value per share | $ / shares              
Common Stock [Member]                
Issue of Equity [Line items]                
Number of shares issued       88,690,791 78,792,860      
Number of shares outstanding       88,690,791 78,792,860      
Share capital | $       $ 89,006,000   $ 89,006,000    
Common Stock [Member] | Non Brokered Private Placement [Member]                
Issue of Equity [Line items]                
Number of units issued 7,373,265              
Price of unit issued | $ / shares $ 0.18              
Number of flow-through common shares 2,224,666              
Flow-through common shares price | $ / shares $ 0.18              
Total gross proceeds | $ $ 1,727,628              
Number of common shares in unit 1              
Exercise price of warrant | $ / shares $ 0.25              
Share issuance costs in cash | $ $ 343,639              
Fair value of warrants issued | $ 265,217              
Flow-through share premium paid | $ 88,987              
Share capital | $ 311,453              
Eligible exploration expenditures | $              
Common Stock [Member] | Non Brokered Private Placement [Member] | Agent's Warrants [Member]                
Issue of Equity [Line items]                
Fair value of warrants issued | $ $ 21,445              
Common Stock [Member] | Non Brokered Private Placement [Member] | Warrants [Member]                
Issue of Equity [Line items]                
Expected life 2 years              
Expected dividend yield 0.00%              
Risk-free interest rate 1.73%              
Expected volatility 147.26%              
Common Stock [Member] | Post-consolidation Basis [Member]                
Issue of Equity [Line items]                
Number of shares issued   300,000       88,690,791 78,792,850  
Number of shares outstanding           88,690,791 78,792,850  
Fair value of common shares issued | $   $ 51,000            
Common Stock [Member] | Non-adjusting Events After Reporting Period [Member]                
Issue of Equity [Line items]                
Number of shares issued     787,928,500          
Consolidation of share issued and outstanding description     The Company completed a share consolidation of the Company's issued and outstanding common shares whereby for every ten (10) pre-consolidation common shares issued and outstanding, one (1) post-consolidation common share exists without par value. Share capital outstanding prior to the share consolidation was 787,928,500 common shares and 78,792,860 on a post-consolidation basis.          
Common Stock [Member] | Non-adjusting Events After Reporting Period [Member] | Post-consolidation Basis [Member]                
Issue of Equity [Line items]                
Number of shares outstanding     78,792,860          
Series 1 Preferred Shares [Member]                
Issue of Equity [Line items]                
Number of shares outstanding         590,931     590,931
Preferred Stock [Member]                
Issue of Equity [Line items]                
Share capital | $       $ 591,000   $ 591,000    
Conversion value of share | $ / shares       $ 1        
Factor by which number of shares on conversion is calculated | $ / shares       $ 9.00        
Number of votes per share at meeting of holders of preference shares | Int       1        
Period from date of issuance when shares become convertible       6 months        
Period of notice to convert shares       10 days