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Consolidated Statements of Shareholders' Deficit - USD ($)
Common Stock [Member]
Additional Paid-in Capital [Member]
AOCI Attributable to Parent [Member]
Retained Earnings [Member]
Total
Beginning balance, value at Apr. 30, 2019 $ 24,380 $ 2,520 $ (33,091) $ (6,191)
Balance, shares at Apr. 30, 2019 24,380,000        
Shares issued for conversion of convertible debt $ 369 182,476 182,845
Shares issued for conversion of convertible debt, shares 369,354        
Share-based compensation 3,741,746 3,741,746
Contribution of Slinger Bag Limited (2) (967,678) (967,680)
Shares issuable related to note payable 1,492,188 1,492,188
Distribution to shareholder (332,239) (332,239)
Forgiveness of net liabilities owed to former majority shareholder 15,289 15,289
Warrants issued with note payable 112,990 112,990
Foreign currency translation (5,034) (5,034)
Net loss (9,227,744) (9,227,744)
Ending balance, value at Apr. 30, 2020 $ 24,749 5,214,970 (5,036) (10,228,513) (4,993,830)
Balance, shares at Apr. 30, 2020 24,749,354        
Shares issued related to note payable $ 1,217 (1,217)
Shares issued related to note payable, shares 1,216,560        
Shares issued in connection with services $ 244 65,582 65,826
Shares issued in connection with services, shares 243,800        
Foreign currency translation (1,393) (1,393)
Net loss (1,374,026) (1,374,026)
Ending balance, value at Jul. 31, 2020 $ 26,210 5,279,335 (6,429) (11,602,539) (6,303,423)
Balance, shares at Jul. 31, 2020 26,209,714        
Beginning balance, value at Apr. 30, 2020 $ 24,749 5,214,970 (5,036) (10,228,513) (4,993,830)
Balance, shares at Apr. 30, 2020 24,749,354        
Net loss         (3,898,152)
Ending balance, value at Oct. 31, 2020 $ 26,610 7,705,020 (7,973) (14,126,665) (6,403,008)
Balance, shares at Oct. 31, 2020 26,609,714        
Beginning balance, value at Apr. 30, 2020 $ 24,749 5,214,970 (5,036) (10,228,513) (4,993,830)
Balance, shares at Apr. 30, 2020 24,749,354        
Shares issued related to note payable $ 1,217 (1,217)
Shares issued related to note payable, shares 1,216,560        
Shares issued in connection with conversion of notes payable $ 772 1,749,232 1,750,004
Shares issued in connection with conversion of note payable, shares 772,332        
Shares issued in connection with services $ 570 849,559 850,129
Shares issued in connection with services, shares 569,582        
Shares issued for conversion of convertible debt $ 300 238,149 238,449
Shares issued for conversion of convertible debt, shares 300,000        
Warrants issued related to notes payable - related party 2,157,818 2,157,818
Share-based compensation 70,997 70,997
Forgiveness of net liabilities owed to former majority shareholder        
Shares issued in connection with purchase of trademark $ 35 35,316 35,351
Shares issued in connection with purchase of trademark, shares 35,000        
Warrants issued in connection with purchase of trademark 50,232 50,232
Foreign currency translation (15,134) (15,134)
Net loss (18,594,760) (18,594,760)
Ending balance, value at Apr. 30, 2021 $ 27,643 10,365,056 (20,170) (28,823,273) (18,450,744)
Balance, shares at Apr. 30, 2021 27,642,828        
Beginning balance, value at Jul. 31, 2020 $ 26,210 5,279,335 (6,429) (11,602,539) (6,303,423)
Balance, shares at Jul. 31, 2020 26,209,714        
Shares issued in connection with services $ 100 117,919 118,019
Shares issued in connection with services, shares 100,000        
Shares issued for conversion of convertible debt $ 300 238,149 238,449
Shares issued for conversion of convertible debt, shares 300,000        
Warrants issued related to notes payable - related party 2,069,617 2,069,617
Foreign currency translation (1,544) (1,544)
Net loss (2,524,126) (2,524,126)
Ending balance, value at Oct. 31, 2020 $ 26,610 7,705,020 (7,973) (14,126,665) (6,403,008)
Balance, shares at Oct. 31, 2020 26,609,714        
Beginning balance, value at Apr. 30, 2021 $ 27,643 10,365,056 (20,170) (28,823,273) (18,450,744)
Balance, shares at Apr. 30, 2021 27,642,828        
Shares issued in connection with conversion of notes payable $ 1,637 6,218,366 6,220,003
Shares issued in connection with conversion of note payable, shares 1,636,843        
Shares issued in connection with acquisition $ 540 3,549,460 3,550,000
Shares issued in connection with acquisition, shares 540,000        
Shares issued in connection with services $ 110 618,444 618,554
Shares issued in connection with services, shares 109,687        
Share-based compensation $ 50 187,753 187,803
Share-based compensation, shares 50,215        
Foreign currency translation (13,028) (13,028)
Net loss (3,435,312) (3,435,312)
Ending balance, value at Jul. 31, 2021 $ 29,980 20,939,079 (33,198) (32,258,585) (11,322,724)
Balance, shares at Jul. 31, 2021 29,979,573        
Beginning balance, value at Apr. 30, 2021 $ 27,643 10,365,056 (20,170) (28,823,273) (18,450,744)
Balance, shares at Apr. 30, 2021 27,642,828        
Net loss         (42,260,669)
Ending balance, value at Oct. 31, 2021 $ 41,870 62,871,881 (12,346) (71,083,942) (8,182,537)
Balance, shares at Oct. 31, 2021 41,869,622        
Beginning balance, value at Jul. 31, 2021 $ 29,980 20,939,079 (33,198) (32,258,585) (11,322,724)
Balance, shares at Jul. 31, 2021 29,979,573        
Shares issued for conversion of warrants $ 4,950 (2,200) 2,750
Shares issued for conversion of warrants, shares 4,950,000        
 Shares issued for conversion of common shares issuable $ 6,921 6,921
 Shares issued for conversion of common shares issuable, shares 6,921,299        
Elimination of related party derivative liabilities 8,754,538 8,754,538
Shares issued in connection with services $ 19 799,155 799,174
Shares issued in connection with services, shares 18,750        
Share-based compensation 32,381,309 32,381,309
Foreign currency translation 20,852 20,852
Net loss (38,825,357) (38,825,357)
Ending balance, value at Oct. 31, 2021 $ 41,870 $ 62,871,881 $ (12,346) $ (71,083,942) $ (8,182,537)
Balance, shares at Oct. 31, 2021 41,869,622