v3.26.1
SCHEDULE OF SEGMENTED INFORMATION (Details) - CAD ($)
3 Months Ended 9 Months Ended
Mar. 31, 2026
Mar. 31, 2025
Dec. 31, 2025
IfrsStatementLineItems [Line Items]      
Sales of goods $ 2,232,132 $ 1,541,811  
Provision of services 80,221 5,904  
Total revenue 2,312,353 1,547,715  
Segment loss 3,674,087 3,168,006  
Finance and other costs 678,152 34,031  
Depreciation 121,251 75,416  
Amortization 1,805 2,257  
Change in fair value of derivative liability 1,047,731 157,830  
Recovery of write down of inventory (note 5) 105,840 (38,666)  
Net loss for the period 5,628,866 3,424,825 $ 19,556,254
Loss on write-off of notes receivable 25,951  
Drones [member]      
IfrsStatementLineItems [Line Items]      
Sales of goods 2,232,132 1,541,811  
Provision of services 80,221 5,904  
Total revenue 2,312,353 1,547,715  
Segment loss 430,012 1,872,918  
Finance and other costs 678,152 34,031  
Depreciation 120,536 72,221  
Amortization 1,805 2,257  
Change in fair value of derivative liability  
Recovery of write down of inventory (note 5) 105,840 (38,666)  
Net loss for the period 1,336,345 1,942,761  
Loss on write-off of notes receivable    
Corporates [member]      
IfrsStatementLineItems [Line Items]      
Sales of goods  
Provision of services  
Total revenue  
Segment loss 3,244,075 1,295,088  
Finance and other costs  
Depreciation 715 3,195  
Amortization  
Change in fair value of derivative liability 1,047,731 157,830  
Recovery of write down of inventory (note 5)  
Net loss for the period $ 4,292,521 1,482,064  
Loss on write-off of notes receivable   $ 25,951