Annual and transition report of foreign private issuers pursuant to Section 13 or 15(d)

Consolidated Statements of Changes in Shareholders' Equity

v3.23.1
Consolidated Statements of Changes in Shareholders' Equity - CAD ($)
Number of common shares
Share capital
Reserves
Obligation to issue shares
Share subscriptions received in advance
Equity component on convertible loans
Deficit
Total
Beginning balance, value at Dec. 31, 2019 $ 5,359,444 $ 5,863,872 $ 607,803   $ 70,000 $ 5,202 $ (6,758,598) $ (211,721)
Statement                
Share issuance costs   (70,500) 11,066         (59,434)
Convertible loan debt forgiveness           $ (5,202) 5,202  
Obligation to issue shares       $ 32,238       32,238
Share-based payments     293,443         293,443
Net losses for the year             (1,284,602) (1,284,602)
Shares issued pursuant to private placement   2,465,023 91,297   $ (70,000)     2,486,320
Shares issued pursuant to private placement (shares) 1,555,314              
Ending balance, Value at Dec. 31, 2020   8,258,395 1,003,609 32,238     (8,037,998) 1,256,244
Ending balance, Share at Dec. 31, 2020 6,914,758              
Statement                
Share issuance costs   (1,377,364) 521,251         (856,113)
Share-based payments     499,158         499,158
Net losses for the year             (1,652,282) (1,652,282)
Shares issued pursuant to private placement   763,572           763,572
Shares issued pursuant to private placement (shares) 2,085,687              
Shares issued pursuant to public listing   9,252,009           9,252,009
Shares issued pursuant to public listing (in shares) 3,261,000              
Pre-funded warrants exercised   2,888,370 (32,387)         2,855,983
Pre-funded warrants exercised (in shares) 651,583              
Reclassification of derivative warrant liability     4,460,000         4,460,000
Options exercised   149,172 (65,172)         84,000
Options exercised (in shares) 51,106              
Shares issued for services   75,000           75,000
Shares issued for services (in shares) 25,553              
Ending balance, Value at Dec. 31, 2021   20,009,154 6,386,459 32,238     (9,690,280) 16,737,571
Ending balance, Share at Dec. 31, 2021 12,989,687              
Statement                
Share issuance costs   (121,852) (58,528)         (180,380)
Share-based payments     632,548         632,548
Net losses for the year             (9,485,309) (9,485,309)
Shares issued pursuant to private placement   493,474           493,474
Shares issued pursuant to private placement (shares) 1,400,000              
Pre-funded warrants issued     1,268,439         1,268,439
Pre-funded warrants exercised   225,929 (225,842)         87
Pre-funded warrants exercised (in shares) 641,000              
Ending balance, Value at Dec. 31, 2022   $ 20,606,705 $ 8,003,076 $ 32,238     $ (19,175,589) $ 9,466,430
Ending balance, Share at Dec. 31, 2022 15,030,687             872,055