v3.26.1
Condensed Interim Consolidated Statements of Changes in Shareholders' Deficiency (Unaudited)
1 Months Ended 3 Months Ended 6 Months Ended 12 Months Ended
Jan. 31, 2026
USD ($)
shares
Jun. 30, 2026
USD ($)
shares
Dec. 31, 2024
USD ($)
shares
Jun. 30, 2026
USD ($)
shares
Jun. 30, 2025
USD ($)
shares
Dec. 31, 2025
USD ($)
shares
Balance, December 31, 2024 $ (56,071,042)     $ (56,071,042) $ (52,135,365) $ (52,135,365)
Stock-based compensation       357,764   386,732
Shares issued share consolidation          
Shares issued for interest payable       556,015   2,799,134
Initial Recognition of CD1, CD2, CD3           9,970,069
Shares issued for debt           26,516,595
Shares issued for mine acquisition           4,216,359
Shares issued for services           3,156,988
Shares issued for deferred share units           81,115
Shares issued September private placement           16,939,079
Shares issued for restricted share units vested        
Shares issued for warrant exercises       13,027,623   547,424
Shares issued for compensation option exercises       25,220   52,081
Shares issued private placement       13,327,426   19,500,271
Compensation options       635,755   2,309,056
Other comprehensive income       850,414   2,721,435
Income (Loss) for the year   $ 18,189,266   38,313,956 14,113,675 (93,132,015)
Balance, December 31, 2025   11,023,131 $ (52,135,365) 11,023,131   (56,071,042)
Common Stock [Member]            
Balance, December 31, 2024 $ 1,392     $ 1,392 $ 348 $ 348
Balance, shares | shares 39,834,023     39,834,023 9,991,391 9,991,391
Stock-based compensation        
Shares issued share consolidation          
Shares issued share consolidation, shares | shares       71    
Shares issued for interest payable       $ 1   $ 30
Shares issued for interest payable, shares | shares       117,213   852,509
Initial Recognition of CD1, CD2, CD3          
Shares issued for debt           $ 259
Shares issued for debt, shares | shares           7,401,361
Shares issued for mine acquisition           $ 23
Shares issued for mine acquisition, shares | shares           666,667
Shares issued for services           $ 39
Shares issued for services, shares | shares     17,758     1,088,201
Shares issued for deferred share units           $ 1
Shares issued for deferred share units, shares | shares           17,583
Shares issued September private placement           $ 431
Shares issued September private placement, shares | shares           12,321,429
Shares issued for restricted share units vested         $ 5
Shares issued for restricted share units vested, shares | shares       122,277   159,169
Shares issued for warrant exercises       $ 38   $ 3
Shares issued for warrant exercises, shares | shares 145,714     2,013,178   103,115
Shares issued for compensation option exercises       $ 1   $ 1
Shares issued for compensation option exercises, shares | shares       34,673   26,433
Shares issued private placement       $ 119   $ 252
Shares issued private placement, shares | shares       4,563,858   7,206,165
Compensation options        
Other comprehensive income        
Income (Loss) for the year        
Balance, December 31, 2025   $ 1,551 $ 348 $ 1,551   $ 1,392
Balance, shares | shares   46,685,293 9,991,391 46,685,293   39,834,023
Additional Paid-in Capital [Member]            
Balance, December 31, 2024 $ 147,707,228     $ 147,707,228 $ 61,233,369 $ 61,233,369
Stock-based compensation       357,764   386,732
Shares issued share consolidation          
Shares issued for interest payable       556,014   2,799,104
Initial Recognition of CD1, CD2, CD3           9,970,069
Shares issued for debt           26,516,336
Shares issued for mine acquisition           4,216,336
Shares issued for services           3,156,949
Shares issued for deferred share units           81,114
Shares issued September private placement           16,938,648
Shares issued for restricted share units vested         (5)
Shares issued for warrant exercises       13,027,585   547,421
Shares issued for compensation option exercises       25,219   52,080
Shares issued private placement       13,327,307   19,500,019
Compensation options       635,755   2,309,056
Other comprehensive income        
Income (Loss) for the year        
Balance, December 31, 2025   $ 175,636,872 $ 61,233,369 175,636,872   147,707,228
AOCI Attributable to Parent [Member]            
Balance, December 31, 2024 (280,926)     (280,926) (3,002,361) (3,002,361)
Stock-based compensation        
Shares issued share consolidation          
Shares issued for interest payable        
Initial Recognition of CD1, CD2, CD3          
Shares issued for debt          
Shares issued for mine acquisition          
Shares issued for services          
Shares issued for deferred share units          
Shares issued September private placement          
Shares issued for restricted share units vested        
Shares issued for warrant exercises        
Shares issued for compensation option exercises        
Shares issued private placement        
Compensation options        
Other comprehensive income       850,414   2,721,435
Income (Loss) for the year        
Balance, December 31, 2025   569,488 (3,002,361) 569,488   (280,926)
Retained Earnings [Member]            
Balance, December 31, 2024 $ (203,498,736)     (203,498,736) $ (110,366,721) (110,366,721)
Stock-based compensation        
Shares issued share consolidation          
Shares issued for interest payable        
Initial Recognition of CD1, CD2, CD3          
Shares issued for debt          
Shares issued for mine acquisition          
Shares issued for services          
Shares issued for deferred share units          
Shares issued September private placement          
Shares issued for restricted share units vested        
Shares issued for warrant exercises        
Shares issued for compensation option exercises        
Shares issued private placement        
Compensation options        
Other comprehensive income        
Income (Loss) for the year       38,313,956   (93,132,015)
Balance, December 31, 2025   $ (165,184,780) $ (110,366,721) $ (165,184,780)   $ (203,498,736)