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

Warrant Derivative - Reconciliation of Change in Fair Value of Warrant Derivative (Details)

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Warrant Derivative - Reconciliation of Change in Fair Value of Warrant Derivative (Details) - CAD ($)
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Fair Value of Warrant Derivative      
Issued, beginning balance $ 3,617,570 $ 3,617,570  
Change in fair value 17,117 3,491,928 $ (12,608,808)
Foreign exchange impact (1,173) (9,391)  
Issued, ending balance $ 3,617,570 $ 3,617,570 $ 3,617,570
Warrants      
Number of Warrants Outstanding      
Issued, beginning balance (shares) 265,757 1,684,126  
Exercised (shares) (201,722) (1,418,369) (2,935,647)
Issued, ending balance (shares) 64,035 265,757 1,684,126
Fair Value of Warrant Derivative      
Issued, beginning balance $ 531,228 $ 8,508,764  
Exercised (455,670) (4,636,317) $ (5,687,003)
Change in fair value (17,117) (3,491,928)  
Foreign exchange impact (2,424) 150,709  
Issued, ending balance $ 56,017 $ 531,228 $ 8,508,764