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Property and Equipment (Details) - CAD ($)
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Statement [Line Items]      
Net book value $ 1,191,000 $ 931,000  
Balance, beginning of the year 1,191,000    
Impairment of assets 5,506,000 42,000  
Balance, end of the year 931,000 1,191,000  
Accumulated depreciation and amortisation      
Statement [Line Items]      
Balance, beginning of the year (1,883,000) (1,542,000) $ (1,193,000)
Disposal of assets   (9,000)  
Impairment of assets   13,000  
Balance, end of the year   (1,883,000) (1,542,000)
Depreciation (341,000) (371,000)  
Gross carrying amount      
Statement [Line Items]      
Balance, beginning of the year 2,814,000 2,733,000 2,415,000
Additions 81,000 398,000  
Disposal of assets   25,000  
Impairment of assets   (55,000)  
Balance, end of the year   2,814,000 2,733,000
Gross carrying amount | Office Leases      
Statement [Line Items]      
Balance, beginning of the year 531,000 531,000 236,000
Additions 0 295,000  
Disposal of assets 0 0  
Impairment of assets   0  
Balance, end of the year   531,000 531,000
Other      
Statement [Line Items]      
Net book value 4,000 8,000  
Other | Accumulated depreciation and amortisation      
Statement [Line Items]      
Balance, beginning of the year (7,000) (3,000)  
Disposal of assets   (9,000)  
Impairment of assets   13,000  
Balance, end of the year   (7,000) (3,000)
Depreciation (4,000) (25,000)  
Other | Gross carrying amount      
Statement [Line Items]      
Balance, beginning of the year 11,000 11,000 23,000
Additions 0 68,000  
Disposal of assets 0 25,000  
Impairment of assets   (55,000)  
Balance, end of the year   11,000 11,000
Machinery and Equipment      
Statement [Line Items]      
Net book value 679,000 802,000  
Machinery and Equipment | Accumulated depreciation and amortisation      
Statement [Line Items]      
Balance, beginning of the year (1,593,000) (1,389,000) (1,176,000)
Disposal of assets   0  
Impairment of assets   0  
Balance, end of the year   (1,593,000) (1,389,000)
Depreciation (204,000) (213,000) (17,000)
Machinery and Equipment | Gross carrying amount      
Statement [Line Items]      
Balance, beginning of the year 2,272,000 2,191,000 2,156,000
Additions 81,000 35,000 35,000
Disposal of assets   0  
Impairment of assets   0  
Balance, end of the year   2,272,000 2,191,000
Office Lease      
Statement [Line Items]      
Net book value 248,000 381,000  
Office Lease | Accumulated depreciation and amortisation      
Statement [Line Items]      
Balance, beginning of the year (283,000) (150,000) (17,000)
Disposal of assets   0  
Balance, end of the year   (283,000) $ (150,000)
Depreciation $ (133,000) $ (133,000)