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CONSOLIDATED STATEMENTS OF LOSS AND COMPREHENSIVE LOSS - CAD ($)
12 Months Ended
Mar. 31, 2025
Mar. 31, 2024
REVENUE    
Net sales $ 872,495 $ 29,816
COST OF SALES 644,610 289,011
GROSS MARGIN 227,885 (259,195)
EXPENSES    
Depreciation and amortisation 600,322 613,714
Consulting fees 127,480 629,655
Directors fees 252,500 173,125
Insurance 354,186 396,657
Investor relations and promotion 94,411 199,131
Listing and filing fees 222,945 180,495
Office Expenses 106,698 142,822
Professional fees 2,288,633 1,380,611
Rent 311,556 359,651
Research and development 465,653 1,775,495
Salaries and benefits 3,023,656 3,819,843
Share-based compensation 1,529,934 1,786,453
Supplies and materials 35,400 42,069
Travel 165,741 137,833
Other expenses 254,183 504,680
Total expenses, by nature 9,833,298 12,142,234
Loss before other income (expenses) (9,605,413) (12,401,429)
Interest income 101,613 405,483
Interest expense (91,323) (107,373)
Loss on disposal of equipment (14,544) (156,531)
Other income (expense) (429,991) 37,863
Income tax credit received 0 99,784
Government grants 0 418,213
Total other income (expense) (434,245) 697,439
Net loss and comprehensive loss for the period $ (10,039,658) $ (11,703,990)
Basic and diluted net loss per share    
Basic net loss per share $ (0.1) $ (0.12)
Diluted net loss per share $ (0.1) $ (0.12)