v3.25.2
Consolidated Statements of Changes In Shareholders' Equity - CAD ($)
Issued capital [member]
Subscriptions received in advance [member]
Capital reserve [member]
Retained earnings [member]
Total
Balance (in shares) at Mar. 31, 2022 3,608,519        
Balance at Mar. 31, 2022 $ 24,164,441 $ 0 $ 2,294,394 $ (19,717,089) $ 6,741,746
Statement Line Items [Line Items]          
Shares issued – exploration and evaluation assets (Notes 6 and 9) (in shares) 17,595       17,594
Shares issued – exploration and evaluation assets (Notes 6 and 9) $ 152,454 0 0 0 $ 152,454
Shares issued – private placement (Note 9) (in shares) 97,753        
Shares issued – private placement (Note 9) $ 1,661,807 0 0 0 1,661,807
Flow-through premium (Note 9) (977,534) 0 0 0 (977,534)
Share issue costs (99,624) 0 0 0 (99,624)
Share issue costs – agents warrants (Note 9) $ (22,000) 0 22,000 0 0
Shares issued – options exercised (Note 9) (in shares) 13,000        
Shares issued – options exercised (Note 9) $ 156,278 0 (78,528) 0 77,750
Shares issued – warrants exercised (Note 9) (in shares) 212,750        
Shares issued – warrants exercised (Note 9) $ 1,059,017 0 0 0 1,059,017
Shares issued – PSU redeemed (Note 9) (in shares) 20,000        
Shares issued – PSU redeemed (Note 9) $ 355,000 0 (355,000) 0 0
Share-based payments (Notes 9 and 10) 0 0 815,428 0 815,428
Transfer of cancelled/forfeited options 0 0 (891,400) 891,400 0
Net loss and comprehensive loss $ 0 0 0 956,578 956,578
Balance (in shares) at Mar. 31, 2023 3,969,617        
Balance at Mar. 31, 2023 $ 26,449,839 0 1,806,894 (17,869,111) $ 10,387,622
Statement Line Items [Line Items]          
Shares issued – exploration and evaluation assets (Notes 6 and 9) (in shares) 29,900       29,900
Shares issued – exploration and evaluation assets (Notes 6 and 9) $ 235,600 0 0 0 $ 235,600
Shares issued – private placement (Note 9) (in shares) 1,141,592        
Shares issued – private placement (Note 9) $ 7,047,668 0 0 0 7,047,668
Share issue costs $ (480,415) 0 0 0 (480,415)
Shares issued – options exercised (Note 9) (in shares) 36,000        
Shares issued – options exercised (Note 9) $ 184,800 0 (53,400) 0 131,400
Share-based payments (Notes 9 and 10) 0 0 910,700 0 910,700
Transfer of cancelled/forfeited options 0 0 (860,158) 860,158 0
Net loss and comprehensive loss 0 0 0 (4,472,170) (4,472,170)
Warrant premium on private placements (Note 9) (377,911) 0 377,911 0 0
Flow-through premium on private placements (Note 9) (20,143) 0 0 0 (20,143)
Finder fee warrants – private placement (Note 9) (280,100) 0 280,100 0 0
Derivative liability (Note 9) (823,597) 0 0 0 (823,597)
Subscriptions received in advance $ 0 105,000 0 0 $ 105,000
Shares issued – for services (Note 9) (in shares) 30,900       30,900
Shares issued – for services (Note 9) $ 187,872 0 0 0 $ 187,872
Balance (in shares) at Mar. 31, 2024 5,208,009        
Balance at Mar. 31, 2024 $ 32,123,613 105,000 2,462,047 (21,481,123) $ 13,209,537
Statement Line Items [Line Items]          
Shares issued – exploration and evaluation assets (Notes 6 and 9) (in shares) 1,836,416       1,836,416
Shares issued – exploration and evaluation assets (Notes 6 and 9) $ 6,866,449 0 0 0 $ 6,866,449
Shares issued – private placement (Note 9) (in shares) 3,292,971        
Shares issued – private placement (Note 9) $ 11,955,379 (105,000) 0 0 11,850,379
Share issue costs (675,557) 0 0 0 (675,557)
Share-based payments (Notes 9 and 10) 0 0 872,879 0 872,879
Transfer of cancelled/forfeited options 0 0 (619,093) 619,093 0
Net loss and comprehensive loss 0 0 0 (3,615,375) (3,615,375)
Warrant premium on private placements (Note 9) (761,375) 0 761,375 0 0
Flow-through premium on private placements (Note 9) (1,900,762) 0 0 0 (1,900,762)
Share issue costs – paid in finder’s warrants (Note 9) $ (201,500) 0 201,500 0 0
Shares issued – RSU redeemed (Note 9) (in shares) 82,570        
Shares issued – RSU redeemed (Note 9) $ 224,591 0 (224,591) 0 0
Warrants expired 0 0 (22,001) 22,001 0
Transfer of net assets pursuant to spin-out $ (1,964,105) 0 (151,183) 0 (2,115,288)
Balance (in shares) at Mar. 31, 2025 10,419,966        
Balance at Mar. 31, 2025 $ 45,666,733 $ 0 $ 3,280,933 $ (24,455,404) $ 24,492,262