v3.25.2
Consolidated Statements of Financial Position - CAD ($)
Mar. 31, 2025
Mar. 31, 2024
Current ASSETS    
Cash $ 5,005,346 $ 998,262
Receivables 231,857 146,209
Prepaid expenses and deposits 123,337 340,742
Current assets 5,360,540 1,485,213
Non-Current ASSETS    
Prepaid expenses and deposits 151,981 19,231
Promissory note receivable (Note 5) (520,000) 0
Investment in associate (Note 4) 383,733 0
Exploration and evaluation assets (Note 6) 21,324,785 15,094,413
Total Assets 27,741,039 16,598,857
Current LIABILITIES    
Accounts payable and accrued liabilities (Notes 7 and 10) 306,118 1,582,188
Term loans payable (Note 8) 521,368 1,138,520
Flow-through premium liability (Notes 9 and 15) 1,791,526 11,666
Deferred gain on spin-out transaction (Note 17) 477,000 0
Derivative liability (Note 9) 152,765 656,946
Total Liabilities 3,248,777 3,389,320
Shareholders' Equity    
Capital stock (Note 9) 45,666,733 32,123,613
Subscriptions received (Note 9) 0 105,000
Reserves (Note 9) 3,280,933 2,462,047
Deficit (24,455,404) (21,481,123)
Total Shareholders’ Equity 24,492,262 13,209,537
Total Liabilities and Shareholders’ Equity $ 27,741,039 $ 16,598,857