v3.26.1
SCHEDULE OF SEGMENTED INFORMATION (Details) - CAD ($)
3 Months Ended 6 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Jun. 30, 2026
Dec. 31, 2025
Jun. 30, 2025
IfrsStatementLineItems [Line Items]          
Sales of goods $ 2,560,378 $ 1,901,585 $ 4,792,509   $ 3,443,396
Provision of services 103,859 213,670 184,081   219,574
Total revenue 2,664,237 2,115,255 4,976,590   3,662,970
Segment loss (income)     14,386,929   8,006,064
Finance and other costs 1,141,588 10,464 1,819,740   44,494
Depreciation     263,117   148,464
Amortization     3,611   4,514
Change in fair value of derivative liability (8,931) (180,318) 1,038,800   (22,489)
Loss on write-off of notes receivable 8,233   34,185
Loss on write down of inventory     149,503   (28,246)
Net loss for the period $ 12,032,834 $ 4,762,161 17,661,700 $ 14,794,093 8,186,986
Drones [member]          
IfrsStatementLineItems [Line Items]          
Sales of goods     4,792,509   3,443,396
Provision of services     184,081   219,574
Total revenue     4,976,590   3,662,970
Segment loss (income)     3,251,589   4,301,973
Finance and other costs     1,819,740   44,494
Depreciation     261,685   142,374
Amortization     3,611   4,514
Change in fair value of derivative liability      
Loss on write-off of notes receivable      
Loss on write down of inventory     149,503   (28,246)
Net loss for the period     5,486,128   4,465,109
Corporates [member]          
IfrsStatementLineItems [Line Items]          
Sales of goods      
Provision of services      
Total revenue      
Segment loss (income)     11,135,340   3,704,091
Finance and other costs      
Depreciation     1,432   6,090
Amortization      
Change in fair value of derivative liability     1,038,800   (22,489)
Loss on write-off of notes receivable       34,185
Loss on write down of inventory      
Net loss for the period     $ 12,175,572   $ 3,721,877