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Consolidated Statement of Changes in Shareholders' Equity (Deficit) - USD ($)
Common Stock [Member]
Common Stock [Member]
Gameface Ltd [Member]
Common Stock [Member]
Play Sight Interactive Ltd [Member]
Additional Paid-in Capital [Member]
Additional Paid-in Capital [Member]
Gameface Ltd [Member]
Additional Paid-in Capital [Member]
Play Sight Interactive Ltd [Member]
AOCI Attributable to Parent [Member]
AOCI Attributable to Parent [Member]
Gameface Ltd [Member]
AOCI Attributable to Parent [Member]
Play Sight Interactive Ltd [Member]
Retained Earnings [Member]
Retained Earnings [Member]
Gameface Ltd [Member]
Retained Earnings [Member]
Play Sight Interactive Ltd [Member]
Total
Gameface Ltd [Member]
Play Sight Interactive Ltd [Member]
Balance - May 1, 2022 at Apr. 30, 2021 $ 2,764     $ 10,389,935     $ (20,170)     $ (28,823,273)     $ (18,450,744)    
Balance, shares at Apr. 30, 2021 2,764,283                            
Stock issued for:                              
Conversion of notes payable - related parties $ 164     6,219,838             6,220,002    
Conversion of notes payable - related parties, shares 163,694                            
Acquisition $ 54 3,549,946 $ 9,700,000 $ 39,950,000 3,550,000 $ 9,700,000 $ 39,950,000
Acquisitions, shares 54,000                            
Conversion of shares issuanble (liability) $ 692     6,229             6,921    
Conversion of shares issuable (liability), shares 692,130                            
Fractional share issuance $ 495     2,255             2,750    
Fractional share issuance, shares 495,000                            
Services $ 21     2,003,362             2,003,383    
Services, shares 20,719                            
Share-based compensation $ 5     32,473,597             32,473,602    
Share-based compensation, shares 5,022                            
Elimination of related party derivative liability     8,754,538             8,754,538    
Change in comprehensive income (loss)         75,132         75,132    
Net loss for the period             (51,773,652)     (51,773,652)    
Balance - April 30, 2023 at Apr. 30, 2022 $ 4,195     113,049,700     54,962     (80,596,925)     32,511,932    
Balance, shares at Apr. 30, 2022 4,194,848                            
Stock issued for:                              
Acquisition $ 2,829     912,716             915,545    
Acquisitions, shares 2,829,055                            
Fractional share issuance $ 2     (2)                
Fractional share issuance, shares 1,535                            
Services $ 31     37,055             37,086    
Services, shares 31,000                            
Share-based compensation     746,511             746,511    
Change in comprehensive income (loss)         87,550         87,550    
Net loss for the period             (71,153,685)     (71,153,685)    
Conversion of notes payable $ 4,389     14,041,911             14,046,300    
Conversion of notes payable, shares 4,389,469                            
Cash $ 2,068     4,192,932             4,195,000    
Cash, shares 2,067,260                            
Cashless exercise of warrants $ 30     (30)                
Cashless exercise of warrants, shares 30,000                            
Balance - April 30, 2023 at Apr. 30, 2023 $ 13,544     $ 132,980,793     $ 142,512     $ (151,750,610)     $ (18,613,761)    
Balance, shares at Apr. 30, 2023 13,543,155