v3.26.1
Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
12 Months Ended
Apr. 30, 2026
Apr. 30, 2025
Apr. 30, 2024
Operating activities      
Net income (loss) for the year $ 40,249 $ (4,509) $ 13,705
Adjustments for:      
Depletion, depreciation and amortization 111 47 0
Gain (loss) on revaluation of investments in equity securities (8,908) 1,848 (11,298)
Reinvestment of non-cash dividends 0 (158) (124)
Share-based compensation 746 561 547
Loss on subscription agreement 2,848 0 0
Deferred tax expense (recovery) 5,084 (1,135) 3,195
Unrealized net foreign exchange loss 130 834 1
Other 0 0 (14)
Net changes in operating assets and liabilities:      
Accounts receivable (27) 10,077 (10,052)
Inventories 126,154 (21,398) (73,902)
Prepaids and other receivables 199 44 16
Accounts payable and accrued liabilities 1,395 (167) 484
Income tax payable 9,307 0 0
Right-of-use assets and lease liability (2) 1 6
Other payables 1,170 (1,104) 1,002
Cash generated from (used in) operating activities 178,456 (15,059) (76,434)
Investing activities      
Investment in royalties (763) (8,336) (56)
Investment in short-term investments (25,000) (258) (569)
Net proceeds from sale of short-term investments 26,561 0 33,118
Cash generated from (used in) investing activities 798 (8,594) 32,493
Financing activities      
Proceeds from public offerings, net of issuance costs and tax benefits 52,920 0 51,938
Proceeds from subscription agreement 40,000 0 0
Proceeds from common shares issued upon exercise of warrants and options 776 18,750 4,378
Proceeds from finance payable 0 13,360 0
Repayment of finance payable 0 (13,664) 0
Net repayment of margin loan 0 0 (7,054)
Repayment of government loan 0 0 (22)
Cash generated from financing activities 93,696 18,446 49,240
Effect of exchange rate changes on cash (367) (733) (543)
Net increase (decrease) in cash, cash equivalents, and restricted cash 272,583 (5,940) 4,756
Beginning of year 9,454 15,394 10,638
End of year 282,037 9,454 15,394
Supplementary cash flow information:      
Interest received 1,989 413 513
Interest paid 0 (317) (124)
Income taxes paid 0 0 0
Non-cash investing and financing activities:      
Right of use asset and operating lease liability recognized $ 0 $ 45 $ 147