Quarterly report pursuant to Section 13 or 15(d)

Condensed Consolidated Statements of Changes in Shareholders' Equity

v3.21.2
Condensed Consolidated Statements of Changes in Shareholders' Equity - USD ($)
Share Capital
Deficit
Total
Balance at Aug. 31, 2019 $ 136,104,245 $ (78,285,282) $ 57,818,963
Balance (in Shares) at Aug. 31, 2019 176,241,746    
Settlement of acquisition obligation $ 75,000 75,000
Settlement of acquisition obligation (in Shares) 250,000    
Settlement of debentures $ 200,000 200,000
Settlement of debentures (in Shares) 1,111,111    
Settlement of liabilities $ 705,687 705,687
Settlement of liabilities (in Shares) 3,243,666    
Common shares subscriptions $ 2,494,744 2,494,744
Common shares subscriptions (in Shares) 17,002,446    
Share-based payments $ 28,500 28,500
Share-based payments (in Shares) 90,000    
Share-based compensation $ 178,157 178,157
Fair value of convertible debt warrants issued 310,422 310,422
Net loss (3,182,671) (3,182,671)
Balance at Nov. 30, 2019 $ 140,096,755 (81,467,953) 58,628,802
Balance (in Shares) at Nov. 30, 2019 197,938,969    
Settlement of liabilities $ 891,489 891,489
Settlement of liabilities (in Shares) 4,997,123    
Reallocation of subscription receipts $ (216,930) (216,930)
Share-based payments $ 6,943 6,943
Share-based payments (in Shares) 50,000    
Share-based compensation $ 229,059 229,059
Fair value of convertible debt warrants issued 184,888 184,888
Net loss (3,212,238) (3,212,238)
Balance at Feb. 29, 2020 $ 141,192,204 (84,680,191) 56,512,013
Balance (in Shares) at Feb. 29, 2020 202,986,092    
Conversion of convertible debt $ 178,129 178,129
Conversion of convertible debt (in Shares) 4,782,585    
Reallocation of subscription receipts $ (69,440) (69,440)
Share-based payments $ 2,750 2,750
Share-based payments (in Shares) 50,000    
Share-based compensation $ 229,059 229,059
Fair value of convertible debt warrants issued 93,942 93,942
Net loss (1,113,978) (1,113,978)
Balance at May. 31, 2020 $ 141,626,644 (85,794,169) 55,832,475
Balance (in Shares) at May. 31, 2020 207,818,677    
Balance at Aug. 31, 2020 $ 144,794,003 (90,664,349) 54,129,654
Balance (in Shares) at Aug. 31, 2020 274,450,337    
Conversion of convertible debt $ 1,835,726 1,835,726
Conversion of convertible debt (in Shares) 38,735,555    
Settlement of liabilities $ 2,849,661 2,849,661
Settlement of liabilities (in Shares) 60,023,777    
Common shares subscriptions $ 410,000 410,000
Common shares subscriptions (in Shares) 7,416,666    
Warrants exercised $ 68,045 68,045
Warrants exercised (in Shares) 2,268,169    
Share-based compensation $ 199,632 199,632
Fair value of convertible debt warrants issued 783,293 783,293
Net loss (410,514) (410,514)
Balance at Nov. 30, 2020 $ 150,940,360 (91,074,863) 59,865,497
Balance (in Shares) at Nov. 30, 2020 382,894,504    
Balance at Aug. 31, 2020 $ 144,794,003 (90,664,349) 54,129,654
Balance (in Shares) at Aug. 31, 2020 274,450,337    
Balance at May. 31, 2021 $ 156,107,408 (97,047,409) 59,059,999
Balance (in Shares) at May. 31, 2021 485,554,914    
Balance at Nov. 30, 2020 $ 150,940,360 (91,074,863) 59,865,497
Balance (in Shares) at Nov. 30, 2020 382,894,504    
Conversion of convertible debt $ 668,256 668,256
Conversion of convertible debt (in Shares) 14,580,675    
Settlement of liabilities $ 631,822 631,822
Settlement of liabilities (in Shares) 11,608,460    
Common shares subscriptions $ 136,923 136,923
Common shares subscriptions (in Shares) 1,032,475    
Warrants exercised $ 35,293 35,293
Warrants exercised (in Shares) 1,176,470    
Share-based compensation $ 258,511 258,511
Share-based compensation (in Shares) 1,000,000    
Fair value of convertible debt warrants issued $ 5,484 5,484
Net loss (1,034,308) (1,034,308)
Balance at Feb. 28, 2021 $ 152,676,649 (92,109,171) 60,567,478
Balance (in Shares) at Feb. 28, 2021 412,292,584    
Conversion of convertible debt $ 3,132,480 3,132,480
Conversion of convertible debt (in Shares) 70,514,639    
Settlement of liabilities $ 32,629 32,629
Settlement of liabilities (in Shares) 581,026    
Common shares subscriptions $ 55,026 55,026
Common shares subscriptions (in Shares) 2,166,665    
Share-based compensation $ 158,168 158,168
Fair value of convertible debt warrants issued 52,456 52,456
Net loss (4,938,238) (4,938,238)
Balance at May. 31, 2021 $ 156,107,408 $ (97,047,409) $ 59,059,999
Balance (in Shares) at May. 31, 2021 485,554,914