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Consolidated Statements of Financial Position - CAD ($)
Dec. 31, 2022
Dec. 31, 2021
Current assets:    
Cash $ 10,309,000 $ 3,259,000
Marketable securities 582,000 605,000
Accounts receivable 369,000 322,000
Prepaid expenses and deposits 602,000 502,000
Total current assets 11,862,000 4,688,000
Non-current assets:    
Restricted cash 144,000 130,000
Accounts receivable 0 50,000
Property and equipment 931,000 1,191,000
Prepaid expenses and deposits 42,000 266,000
Mineral property interests 145,190,000 160,693,000
Investments in associates 42,430,000 0
Non Current Assets 188,737,000 162,330,000
Total assets 200,599,000 167,018,000
Current liabilities:    
Accounts payable and accrued liabilities 1,148,000 1,888,000
Lease liability 160,000 104,000
Flow-through share premium liability 0 3,124,000
Total current liabilities 1,308,000 5,116,000
Non-current liabilities:    
Lease liability 227,000 357,000
Provision for site reclamation and closure 4,271,000 4,190,000
Total liabilities 5,806,000 9,663,000
Equity:    
Share capital 306,328,000 295,464,000
Share option and warrant reserve 20,309,000 18,640,000
Accumulated other comprehensive loss 3,000 0
Deficit 131,841,000 156,749,000
Total equity 194,793,000 157,355,000
Total liabilities and equity $ 200,599,000 $ 167,018,000