v3.26.1
Statements of Changes in Equity - CAD ($)
Common Shares
Warrants Reserve
Share Subscription (Receivable)
Share-based Payments Reserve
Deficit
Total
Balance at Mar. 31, 2023 $ 54,484,848 $ 2,705,754 $ 19,134 $ 1,833,998 $ (49,544,263) $ 9,499,471
Balance (in Shares) at Mar. 31, 2023 41,920,038          
Shares issued for exploration and evaluation assets $ 1,995,416 1,995,416
Shares issued for exploration and evaluation assets (in Shares) 3,058,333          
Private placements, net of flow-through premium $ 2,140,438 2,140,438
Private placements, net of flow-through premium (in Shares) 4,442,785          
Fair value of warrants from private placement $ (128,767) 128,767
Share issue costs $ (121,200) (121,200)
Share issue costs (in Shares)          
Share-based payments - Stock options 1,055,070 1,055,070
Share-based payments - RSUs 731,375 731,375
Share subscriptions (19,134) (19,134)
Share-based payments - RSUs (in Shares) 1,425,000          
Net loss for the year (6,635,073) (6,635,073)
Balance at Mar. 31, 2024 $ 59,102,110 2,834,521 2,889,068 (56,179,336) 8,646,363
Balance (in Shares) at Mar. 31, 2024 50,846,156          
Private placements, net of flow-through premium $ 881,793 881,793
Private placements, net of flow-through premium (in Shares) 10,489,130          
Share issue costs $ (66,000) (66,000)
Share-based payments - Stock options 131,314 131,314
Net loss for the year (3,313,365) (3,313,365)
Balance at Mar. 31, 2025 $ 59,917,903 2,834,521 3,020,382 (59,492,701) 6,280,105
Balance (in Shares) at Mar. 31, 2025 61,335,286          
Shares issued for exploration and evaluation assets $ 247,500 247,500
Shares issued for exploration and evaluation assets (in Shares) 6,000,000          
Private placements, net of flow-through premium $ 610,000 610,000
Private placements, net of flow-through premium (in Shares) 12,500,000          
Fair value of warrants from private placement $ (135,126) 135,126
Share issue costs (9,000) (9,000)
Share-based payments - RSUs $ 90,000 90,000
Share-based payments - RSUs (in Shares) 4,500,000          
Net loss for the year (2,683,523) (2,683,523)
Distribution of Pontax West property to Westlinear
Minerals Corp. (37,500) (37,500)
Balance at Mar. 31, 2026 $ 60,683,777 $ 2,969,647 $ 3,020,382 $ (62,176,224) $ 4,497,582
Balance (in Shares) at Mar. 31, 2026 84,335,286