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SCHEDULE OF COMPONENTS OF EQUITY DEFICIENCY, LOANS AND BORROWING, OTHER CURRENT LIABILITIES, NET OF CASH (Details) - CAD ($)
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Risk Management      
Shareholder’s equity (deficiency) $ 27,188,344 $ (4,316,964) $ (2,654,845)
Current liabilities 12,462,372 580,486  
Total liabilities and equity 39,650,716 (3,736,478)  
Cash (5,162,991) (1,990,203) $ (108,853)
Total $ 34,487,725 $ (5,726,681)