v3.26.1
Consolidated Statements of Financial Position - CAD ($)
Dec. 31, 2025
Sep. 30, 2024
Oct. 01, 2023
Current assets      
Cash and cash equivalents $ 108,198,015 $ 2,500,894 $ 229,702
Receivables 90,288 275,000
Prepaids and other 202,928 25,536 14,268
Value-added tax receivable 214,462 15,357 8,904
Total current assets 108,705,693 2,816,787 252,874
Reclamation deposit 59,951 59,052 11,096
Property and equipment 298,658 94,523
Mineral property interests 12,188,048 10,758,885 44,013
Value-added tax receivable 339,013 89,730
Total assets 121,591,363 13,818,977 307,983
Current liabilities      
Accounts payable and accrued liabilities 2,459,902 372,481 234,986
Consideration payable 1,713,250 1,687,375
Lease liabilities 12,412
Total current liabilities 4,185,564 2,059,856 234,986
Non-current liabilities      
Consideration payable 1,687,375
Reclamation provision 650,439 492,426
Total liabilities 4,836,003 4,239,657 234,986
Equity      
Common shares 140,014,858 19,524,567 7,219,766
Reserves 3,402,702 1,724,026 1,385,293
Commitment to issue shares 750,000 46,319 46,319
Foreign currency reserve 670,276 (432,731) (63,899)
Deficit (28,082,476) (11,282,861) (8,514,482)
Total equity 116,755,360 9,579,320 72,997
Total liabilities and equity $ 121,591,363 $ 13,818,977 $ 307,983