v3.26.1
Statements of Financial Position - CAD ($)
Mar. 31, 2026
Mar. 31, 2025
Current Assets    
Cash $ 330,676 $ 951,807
Amounts receivable and prepaid expenses 142,457 155,835
Marketable securities 123,912
Total Current Assets 473,133 1,231,554
Non-current Assets    
Reclamation deposits 11,000 11,000
Equipment 850 1,336
Exploration and evaluation assets 5,143,314 5,956,076
Total Non-current Assets 5,155,164 5,968,412
Total Assets 5,628,297 7,199,966
Current Liabilities    
Accounts payable and accrued liabilities 878,180 558,765
Due to related parties 237,535 142,889
Flow-through share premium liability 15,000 218,207
Total Liabilities 1,130,715 919,861
SHAREHOLDERS' EQUITY    
Share capital 60,683,777 59,917,903
Warrants reserve 2,969,647 2,834,521
Share-based payments reserve 3,020,382 3,020,382
Deficit (62,176,224) (59,492,701)
Total Shareholders’ Equity 4,497,582 6,280,105
Total Liabilities and Shareholders’ Equity $ 5,628,297 $ 7,199,966