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Consolidated Statements of Financial Position
Dec. 31, 2021
CAD ($)
Dec. 31, 2020
USD ($)
Dec. 31, 2020
CAD ($)
Current assets:      
Cash $ 3,259,000   $ 15,361,000
Marketable securities 605,000 $ 2,675,000 2,675,000
Accounts receivable 322,000   827,000
Prepaid expenses and deposits 502,000   785,000
Total current assets 4,688,000   19,648,000
Non-current assets:      
Restricted cash 130,000   165,000
Accounts receivable 50,000   0
Prepaid expenses and deposits 266,000   243,000
Property and equipment 1,191,000   1,222,000
Mineral property interests 160,693,000   160,772,000
Total noncurrent assets 162,330,000 162,402,000  
Total assets 167,018,000   182,050,000
Current liabilities:      
Accounts payable and accrued liabilities 1,888,000   3,280,000
Lease liability 104,000   55,000
Flow-through share premium liability 3,124,000   7,644,000
Advances received for exploration 0   316,000
Total current liabilities 5,116,000 11,295,000  
Non-current liabilities:      
Lease liability 357,000   193,000
Provision for site reclamation and closure 4,190,000   4,290,000
Total liabilities 9,663,000   15,778,000
Equity:      
Share capital 295,464,000   294,710,000
Share option and warrant reserve 18,640,000   11,521,000
Deficit (156,749,000)   (139,959,000)
Total equity 157,355,000 $ 166,272,000 166,272,000
Total liabilities and equity $ 167,018,000   $ 182,050,000