v3.26.1
Fair Value Measurements (Tables)
3 Months Ended
Jun. 30, 2026
Fair Value Disclosures [Abstract]  
Schedule of financial assets measured at fair value [Table Text Block]
    As at June 30, 2026     As at March 31, 2026  
Assets   Level 1     Level 2     Level 3     Level 1     Level 2     Level 3  
Cash $ -   $ 208,039   $ -   $ -   $ 23,113   $ -  
(i) Digital currencies (Note 6)   11,248     -     -     10,822     -     -  
(ii) Investments (Note 4)   7,637     -     3,221     6,624     -     3,117  
Derivative asset (Note 10)   -     30,994     -     -     606     -  
  $ 18,885   $ 239,033   $ 3,221   $ 17,446   $ 23,719   $ 3,117  
                                     
Liabilities                                    
Warrant liability $ -   $ -   $ 2,154   $ -   $ -   $ 413  
  $ -   $ -   $ 2,154   $ -   $ -   $ 413  
Schedule of reconciliation of Level 3 assets and liabilities [Table Text Block]
Level 3 Continuity  

Fair value at

June 30, 2026

   

Fair value at

March 31, 2026

 
Investments            
Balance, at April 1 $ 3,117   $ 3,120  
Additions   -     725  
Transfer to Level 1   -     (725 )
Foreign exchange   (4 )   6  
Change in fair value   108     (9 )
Balance, at June 30 $ 3,221   $ 3,117  
             
Warrant liability            
Balance, at April 1 $ 413   $ 760  
Change in fair value   1,741     (347 )
Balance, at June 30 $ 2,154   $ 413