FINANCIAL INSTRUMENTS - Company's financial instruments according to the fair value hierarchy (Details) - Recurring fair value measurement - CAD ($) |
Dec. 31, 2025 |
Dec. 31, 2024 |
|---|---|---|
| Level 1 | Investments | ||
| SECURED NOTES | ||
| Financial assets fair value | $ 8,895,559 | $ 779,019 |
| Level 2 | Investments | ||
| SECURED NOTES | ||
| Financial assets fair value | 147,000 | |
| Level 2 | Secured notes | ||
| SECURED NOTES | ||
| Financial assets fair value | $ 2,817,554 |