Annual report pursuant to Section 13 and 15(d)

Consolidated Statements of Changes in Shareholders' Equity

v3.19.2
Consolidated Statements of Changes in Shareholders' Equity - USD ($)
Total
Convertible Debt One [Member]
Convertible Debt Two [Member]
European Promissory notes tranche One [Member]
European Promissory notes tranche Two [Member]
European Promissory notes tranche Three [Member]
Special Voting [Member]
Special Voting [Member]
Convertible Debt One [Member]
Special Voting [Member]
Convertible Debt Two [Member]
Special Voting [Member]
European Promissory notes tranche One [Member]
Special Voting [Member]
European Promissory notes tranche Two [Member]
Special Voting [Member]
European Promissory notes tranche Three [Member]
Common Shares [Member]
Common Shares [Member]
Convertible Debt One [Member]
Common Shares [Member]
Convertible Debt Two [Member]
Common Shares [Member]
European Promissory notes tranche One [Member]
Common Shares [Member]
European Promissory notes tranche Two [Member]
Common Shares [Member]
European Promissory notes tranche Three [Member]
Additional Paid in Capital [Member]
Additional Paid in Capital [Member]
Convertible Debt One [Member]
Additional Paid in Capital [Member]
Convertible Debt Two [Member]
Additional Paid in Capital [Member]
European Promissory notes tranche One [Member]
Additional Paid in Capital [Member]
European Promissory notes tranche Two [Member]
Additional Paid in Capital [Member]
European Promissory notes tranche Three [Member]
Deficit [Member]
Deficit [Member]
Convertible Debt One [Member]
Deficit [Member]
Convertible Debt Two [Member]
Deficit [Member]
European Promissory notes tranche One [Member]
Deficit [Member]
European Promissory notes tranche Two [Member]
Deficit [Member]
European Promissory notes tranche Three [Member]
Comprehensive Income [Member]
Comprehensive Income [Member]
Convertible Debt One [Member]
Comprehensive Income [Member]
Convertible Debt Two [Member]
Comprehensive Income [Member]
European Promissory notes tranche One [Member]
Comprehensive Income [Member]
European Promissory notes tranche Two [Member]
Comprehensive Income [Member]
European Promissory notes tranche Three [Member]
Opening Balance at Mar. 31, 2017 $ 24,150,650           $ 0           $ 645           $ 45,184,320           $ (21,076,464)           $ 42,149          
Opening Balance (in shares) at Mar. 31, 2017             1           645,297                                              
Warrant exercised 1,125,038           $ 0           $ 33           1,125,005           0           0          
Warrant exercised (in shares)                         33,335                                              
Conversion of Promissory notes 533,556     $ 3,060,304 $ 4,244,220 $ 1,342,705 0     $ 0 $ 0 $ 0 $ 63     $ 327 $ 453 $ 143 533,493     $ 3,059,977 $ 4,243,767 $ 1,342,562 0     $ 0 $ 0 $ 0 0     $ 0 $ 0 $ 0
Conversion of Promissory notes (in shares)                         62,629     326,563 452,898 143,280                                    
Beneficial Conversion Feature on convertible debt 1,389,129           0           $ 0           1,389,129           0           0          
Stock option and warrant reclassification (Notes 11 & 12) (2,845,557)           0           0           (2,845,557)           0           0          
Share compensation expense 1,540,580           0           0           1,540,580           0           0          
Fair value of warrants on convertible loans 548,179           0           0           548,179           0           0          
Loss on warrant down round feature (Note 12) 0           0           0           74,086           (74,086)           0          
Shares to be issued for services 0           0           0                       0           0          
Net loss for the year (14,625,790)           0           0           0           (14,625,790)           0          
Closing Balance at Mar. 31, 2018 20,463,014           $ 0           $ 1,664           56,195,541           (35,776,340)           42,149          
Closing Balance (in shares) at Mar. 31, 2018             1           1,664,002                                              
Conversion of Promissory notes 2,470,622 $ 4,732,853 $ 6,010,617       $ 0 $ 0 $ 0       $ 264 $ 683 $ 1,247       2,470,358 $ 4,732,170 $ 6,009,370       0 $ 0 $ 0       0 $ 0 $ 0      
Conversion of Promissory notes (in shares)                         263,639 683,395 1,247,099                                          
Stock option and warrant reclassification (Notes 11 & 12) 1,173,534           0           $ 0           1,173,534           0           0          
Share compensation expense 1,347,399           0           0           1,347,399           0           0          
Loss on warrant down round feature (Note 12) 0           0           0           24,432           (24,432)           0          
Fair value of Anti-dilution feature 1,766,495           0           0           1,766,495           0           0          
Net loss for the year (10,556,601)           0           0           0           (10,556,601)           0          
Adjustment due to 1:150 share consolidation round-up 0           0           $ 0           0           0           0          
Adjustment due to 1:150 share consolidation round-up (in shares)                         502                                              
Closing Balance at Mar. 31, 2019 $ 27,407,933           $ 0           $ 3,858           $ 73,719,299           $ (46,357,373)           $ 42,149          
Closing Balance (in shares) at Mar. 31, 2019             1           3,858,637