v3.26.1
Consolidated Statements of Loss and Comprehensive Loss - CAD ($)
12 Months Ended
Jan. 31, 2026
Jan. 31, 2025
Jan. 31, 2024
Expenses      
Consulting fees $ 169,982 $ 1,122,455 $ 399,810
Foreign exchange (gain) loss (200,861) 275,182 30,352
General and administrative 203,883 260,500 271,731
Professional fees 265,483 499,307 526,503
Research and development 85,672 424,337 570,947
Wages, salaries and employment expenses 1,083,580 2,418,332 1,440,898
Total expenses 1,607,739 5,000,113 3,240,241
Loss from operations (1,607,739) (5,000,113) (3,240,241)
Other income (expenses)      
Accretion expense (Notes 5 and 6) (77,547) (154,387) (5,353)
Changes in fair values of warrant liabilities (Notes 9(a) and 9(b)) 197,923 (33,436) (137,764)
Financial guarantee recovery (expense) (Note 16(c)) (30,426) 758,834 (34,050)
Gain on extinguishment/forgiveness of debts (Note 14) 149,993 110,219 469,129
Gain on loan extinguishment (Note 6) 9,949 0 0
Interest expense (154,392) (165,087) (45,544)
Other (679) 9 (945)
Penalties recovery (expense) 0 305,437 (33,742)
Settlements and legal provisions, net (Notes 14, 16(a) and 16(d)) 0 556,640 130,000
Total other income 94,821 1,378,229 341,731
Net loss for the year (1,512,918) (3,621,884) (2,898,510)
Other comprehensive loss to be reclassified to profit and loss subsequently      
Foreign currency translation adjustment of foreign operations 5,092 (30,584) (4,941)
Comprehensive loss for the year (1,507,826) (3,652,468) (2,903,451)
Net loss attributable to:      
Company's shareholders (1,495,492) (3,520,288) (2,889,032)
Non-controlling interests (Note 12) (17,426) (101,596) (9,478)
Net loss (1,512,918) (3,621,884) (2,898,510)
Company's shareholders (1,490,675) (3,550,856) (2,957,017)
Non-controlling interests (Note 12) (17,151) (101,612) 53,566
Comprehensive loss $ (1,507,826) $ (3,652,468) $ (2,903,451)
Net loss per share, basic and diluted $ (0.01) $ (0.03) $ (0.03)
Weighted average shares outstanding, basic and diluted 145,880,325 123,865,739 109,285,957