15.
SUPPLEMENTAL CASH FLOW INFORMATION
Schedule
of supplemental
cash flow information
| Supplemental
cash flow information |
|
|
| |
June
30, 2026 |
June
30, 2025 |
| Fair
value of finders’ warrants |
— |
65,750 |
| Shares
issued for mineral properties |
31,161 |
— |
| Shares
issued for debt settlement |
— |
134,118 |
| Fair
value of warrants exercised |
231,764 |
8,516 |
| Fair
value of options exercised |
5,078 |
— |
| Mineral
properties included in accounts payable |
1,753,222 |
578,874 |
| Cash
paid for income taxes |
— |
— |
| Cash
paid for interest |
— |
— |
|