v3.25.4
Condensed Consolidated Interim Statements of Cash Flows (Unaudited) - USD ($)
3 Months Ended 9 Months Ended 12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2025
Dec. 31, 2024
Mar. 31, 2025
CASH FLOWS FROM OPERATING ACTIVITIES          
Net loss $ (717,067) $ (1,229,154) $ (2,079,957) $ (6,485,442)  
Adjustments to reconcile net loss to net cash used in operations          
Stock based compensation     17,937 172,802  
Issuance of shares for services     3,770 111,120  
Issuance of warrants for services, at fair value     38,078    
Accretion and amortization expenses 185,470 291,128 541,183 1,775,744  
Change in fair value of derivative liabilities 134,335 (32,339) 168,306 468,280  
Loss (Gain) on debt and share conversion and redemption     (1,252) 149,658  
Property, plant and equipment depreciation     4,465 4,465  
Right of use assets amortization     343,626 302,199  
Changes in operating assets and liabilities:          
Accounts receivable, net     28,818 300,088  
Inventory     (419,373) 309,317  
Deposits and other receivables     (111,865) (1,237,306)  
Advance from Customers     745,920  
Accounts payable and accrued liabilities     22,294 2,149,683  
Net cash generated (used) in operating activities     (698,050) (1,979,392)  
CASH FLOWS FROM INVESTING ACTIVITIES          
property, plant and equipment      
Net cash used in investing activities      
CASH FLOWS FROM FINANCING ACTIVITIES          
Issuance of common shares, net     125,220  
Issuance of preferred shares, net     1,732,532 $ 1,732,532
Redemption of preferred shares     (200,000)  
Proceeds from (repayment to) convertible debentures, net     (77,003) 1,337,898  
Proceeds from (repayment to) short term loan and promissory notes, net     1,544,318 (1,407,544)  
Term Loan, net     (600,000)  
Preferred Stock Dividend     (18,033) (23,868)  
Net cash provided (used) in financing activities     649,282 1,764,239  
Effect of foreign currency translation     (60,020) (215,153)  
Net decrease in cash during the period     (48,768) (61,305)  
Cash, beginning of period     365,145 786,060 786,060
Cash, end of period $ 256,357 $ 509,602 256,357 509,602 $ 365,145
Supplemental disclosure of cash flow information:          
Cash paid for interest     2,494,036 2,432,947  
Cash paid for taxes