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Condensed Interim Consolidated Statements of Shareholder's Equity (Unaudited) - CAD ($)
$ in Thousands
Total
February 2025 ATM Program
Common Shares
Common Shares
February 2025 ATM Program
Additional Paid-in capital
Share-based Reserve
Additional Paid-in capital
Warrants
Additional Paid-in capital
Ownership Changes
Accumulated Other Comprehensive Income (Loss)
Deficit
Beginning balance at Mar. 31, 2025 $ 478,566   $ 8,782,405   $ 503,409 $ 2,590,485 $ (522,949) $ 535 $ (10,875,319)
Common shares issued from ATM Program   $ 38,261   $ 38,261          
Other issuances of common shares and share issue costs (1,585)   (1,585)            
Share-based compensation (99)       (99)        
Issuance and vesting of restricted share units and performance share units     3,449   (3,449)        
Comprehensive income (loss) (38,148)             6,713 (44,861)
Ending balance at Jun. 30, 2025 476,995   8,822,530   499,861 2,590,485 (522,949) 7,248 (10,920,180)
Beginning balance at Mar. 31, 2026 697,594   9,233,577   502,032 2,612,631 (522,949) 10,530 (11,138,227)
Other issuances of common shares and share issue costs (571)   (571)            
Share-based compensation 1,359       1,359        
Issuance and vesting of restricted share units and performance share units     2,463   (2,463)        
Comprehensive income (loss) (9,749)             4,830 (14,579)
Ending balance at Jun. 30, 2026 $ 688,633   $ 9,235,469   $ 500,928 $ 2,612,631 $ (522,949) $ 15,360 $ (11,152,806)