v3.26.1
Consolidated Statements of Financial Position - CAD ($)
Mar. 31, 2026
Mar. 31, 2025
Current ASSETS    
Cash $ 6,342,205 $ 5,005,346
Receivables 526,765 231,857
Prepaid expenses 225,425 123,337
Current assets 7,094,395 5,360,540
Non-Current ASSETS    
Prepaid expenses and mineral deposits 54,994 151,981
Promissory notes receivable (Note 6) 276,304 520,000
Marketable securities (Note 5) 1,262,376 0
Investment in associate (Note 4) 0 383,733
Exploration and evaluation assets (Note 7) 30,653,428 21,324,785
Total Assets 39,341,497 27,741,039
Current LIABILITIES    
Accounts payable and accrued liabilities (Notes 8 and 11) 1,180,515 306,118
Term loans payable (Note 9) 0 521,368
Flow-through premium liability (Notes 10 and 16) 1,605,690 1,791,526
Deferred gain on spin-out transaction (Note 17) 0 477,000
Derivative liability (Note 10) 1,052,094 152,765
Total Liabilities 3,838,299 3,248,777
Shareholders' Equity    
Capital stock (Note 10) 62,825,096 45,666,733
Reserves (Note 10) 3,294,831 3,280,933
Deficit (30,616,729) (24,455,404)
Total Shareholders’ Equity 35,503,198 24,492,262
Total Liabilities and Shareholders’ Equity $ 39,341,497 $ 27,741,039