v3.26.1
COMMON SHARES (Tables)
6 Months Ended
Jun. 30, 2026
Share-Based Payment Arrangement [Abstract]  
Schedule of Stockholders Equity Issued shares:
NoteNumber of
shares
Amount
Balance as at December 31, 2025827,230,192 $799,855 
2023 Convertible Debenture redemption(i)8,133,983 13,354 
Orion Convertible Loan repayment (ii)2,993,307 5,177 
Offtake termination(iii)3,453,237 4,796 
Share-based compensation1,987,517 3,298 
Exercise of warrants(iv)22,103,447 16,727 
Balance as at June 30, 2026865,901,683 $843,207 
Balance as at December 31, 2024409,786,957 $606,505 
Private Placement(iv)25,240,000 11,790 
Brokered placement(iv)345,760,000 153,158 
Private placement(v)29,210,464 16,015 
ATM program(vi)4,341,390 2,426 
Share-based compensation358,480 289 
Balance as at June 30, 2025814,697,291 $790,183 
In connection with the 2023 Convertible Debenture redemption the Company issued 8.1 million common shares with a fair value of $13.4 million.
(ii)In connection with the Orion Convertible Loan repayment the Company issued 3.0 million common shares with a fair value of $5.3 million and net proceeds of $5.2 million.
(iii)On June 26, 2026, the Company entered into a termination and settlement agreement with Vox Royalty Corp. to terminate its gold offtake agreement eliminating the fixed obligation to deliver up to 40,000 ounces of refined gold per year from the Granite Creek and Ruby Hill properties through December 31, 2028, and subject to pricing based upon a lookback period. In consideration for the termination, the Company issued 3.5 million common shares valued at $4.8 million (Note 13).

(iv)On May 16, 2025, the Company closed a bought deal public offering of 345.8 million units of the Company at a price of $0.50 per unit for aggregate gross proceeds of $172.9 million and net proceeds of $162.5 million. In addition to the bought deal public offering, the Company closed a private placement of 25.2 million units to certain directors, officers and other shareholders of the Company at a price of $0.50 per unit for aggregate gross proceeds of $12.6 million and net proceeds of $12.5 million. Each unit for both offerings is comprised of one common share and one-half of one common share purchase warrant. Each warrant entitles the holder to purchase one common share at a price of $0.70 until November 16, 2027. The total number of warrants issued were 185.5 million.

The Company has assessed the warrants to meet the requirements to be recorded as equity. The net proceeds from the bought deal offering and the private placement were allocated to the warrants in the amount of $10.5 million and $164.9 million based upon the relative fair values of the shares and warrants issued.

During the six months ended June 30, 2026, 22.1 million warrants were exercised at an exercise price of $0.70 per share, resulting in the issuance of common shares of the Company for cash proceeds of $15.5 million and a reclassification of $1.3 million from additional paid-in-capital.

(v)On January 31, 2025, the Company closed a prospectus offering of 28.2 million common shares of the Company at a price of C$0.80 per share for aggregate gross proceeds of $15.6 million (C$22.6 million). On February 28, 2025, in connection with the prospectus offering, the Company closed a concurrent private placement of 1.0 million common shares to certain directors and officers of the Company at a price of C$0.80 per share for aggregate gross proceeds of $0.6 million (C$0.8 million).

(vi)During the three months ended March 31, 2025, the Company issued 4.3 million common shares under the at-the-market equity program ("ATM Program") for total gross proceeds of $2.5 million. The ATM Program expired on March 31, 2025.
Schedule of Share-Based Payment Arrangement, Expensed and Capitalized, Amount
The following table summarizes share-based compensation expense included in the Condensed Consolidated Statement of Operations and Comprehensive Loss:

Three months ended
June 30,
Six months ended
June 30,
2026202520262025
Restricted share units$1,753$724$4,368$1,226
Deferred share units1819903661,132
Performance share units5528580685
Stock options10559
Total$2,486$1,809$5,545$2,502