v3.26.1
Condensed Consolidated Interim Statements of Financial Position - CAD ($)
Jun. 30, 2026
Dec. 31, 2025
Current Assets    
Cash $ 131,908,197 $ 90,156,821
Receivables 1,123,400 1,041,582
Inventory 10,460,765 3,903,139
Prepaids and Deposits 5,632,804 4,757,100
Total current assets  149,125,166 99,858,642
Non-current Assets    
Equipment 1,685,051 1,192,074
Intangible assets 32,501 36,112
Investments 28,571 71,429
Goodwill 2,961,303
Right of use assets 192,627 229,616
TOTAL ASSETS 154,025,219 101,387,873
Current Liabilities    
Trade payables and accrued liabilities 4,294,449 3,397,343
Customer deposits 124,788 417,641
Deferred income 139,759 165,237
Derivative liability 338,032 492,470
Lease liabilities 138,107 143,624
Total current liabilities 5,035,135 4,616,315
Non-current Liabilities    
Deferred Income 31,761 44,512
Lease liabilities 88,163 130,251
TOTAL LIABILITIES 5,155,059 4,791,078
SHAREHOLDERS’ EQUITY    
Share capital 295,905,990 229,698,507
Reserves – share-based payments 10,956,287 7,347,457
Reserves - warrants 126,534 126,534
Accumulated deficit (158,108,608) (140,446,908)
Accumulated other comprehensive income (10,043) (128,795)
TOTAL SHAREHOLDERS’ EQUITY 148,870,160 96,596,795
TOTAL LIABILITIES AND SHAREHOLDERS’ EQUITY $ 154,025,219 $ 101,387,873