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Note 13 - Flow-through Share Premium Liability - Schedule of Flow-through Share Funding and Expenditures (Details) - CAD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Statement Line Items [Line Items]      
Balance $ 544    
Flow-through funds raised 2,446 $ 3,949 $ 10,864
Balance 944 544  
Flow-through contractual expenditure obligations [member]      
Statement Line Items [Line Items]      
Balance 1,223 0 7,290
Flow-through eligible expenditures (1,223) (7,527) (7,290)
Flow-through funds raised 5,001 8,750  
Flowthrough eligible expenditures (2,666)    
Balance 2,335 1,223 0
Flow-through premium liability [member]      
Statement Line Items [Line Items]      
Balance 544 0 3,124
Flow-through eligible expenditures (544) (3,345) (3,124)
Flow-through funds raised 2,022 3,889  
Flowthrough eligible expenditures (1,078)    
Balance $ 944 $ 544 $ 0