7 active warrant series; nearest expiry 2027-03-30.
Compare this book against every issuer →7 option grants covering 4,910,000 shares (~2.2% potential dilution). Counted apart from the warrants above.
| Type | Status | Source | |||||
|---|---|---|---|---|---|---|---|
| option | $0.25 | Mar 30, 2027 181d | 500K | ITM | 0.2% | C$125K | Auto |
| option | $0.30 | Dec 30, 2027* 456d | 1.1M | ITM | 0.5% | C$345K | Auto |
| option | $0.40 | Mar 30, 2028 547d | 775K | OTM | 0.4% | C$310K | Auto |
| option | $0.35 | Sep 30, 2028 731d | 275K | OTM | 0.1% | C$96K | Auto |
| option | $0.21 | Sep 30, 2029 1096d | 810K | ITM | 0.4% | C$170K | Auto |
| option | $0.20 | Jun 30, 2030* 1369d | 900K | ITM | 0.4% | C$180K | Auto |
| option | $0.26 | May 30, 2031 1703d | 500K | ITM | 0.2% | C$130K | Auto |
An issuer that discloses only a plan total appears as one line at its weighted-average exercise price and weighted-average remaining life — the filing's own summary, not a per-grant schedule.
218,830,480 shares outstanding, plus 0 from warrants and 4,910,000 from options — a fully diluted 223,740,480 shares, or ~2.2% above today's count if every one of them is exercised.
Price history with the company's supply walls overlaid — warrants (amber), employee and consultant options (pink), and free-trading unlock dates (violet). Each wall sits at the price the paper is struck at today, restated through any consolidation, and is measured in the SHARES it can issue rather than the number of certificates. Levels and dates are Pacific Time.
7 active warrant series; nearest expiry 2027-03-30.
Compare this book against every issuer →7 option grants covering 4,910,000 shares (~2.2% potential dilution). Counted apart from the warrants above.
| Type | Status | Source | |||||
|---|---|---|---|---|---|---|---|
| option | $0.25 | Mar 30, 2027 181d | 500K | ITM | 0.2% | C$125K | Auto |
| option | $0.30 | Dec 30, 2027* 456d | 1.1M | ITM | 0.5% | C$345K | Auto |
| option | $0.40 | Mar 30, 2028 547d | 775K | OTM | 0.4% | C$310K | Auto |
| option | $0.35 | Sep 30, 2028 731d | 275K | OTM | 0.1% | C$96K | Auto |
| option | $0.21 | Sep 30, 2029 1096d | 810K | ITM | 0.4% | C$170K | Auto |
| option | $0.20 | Jun 30, 2030* 1369d | 900K | ITM | 0.4% | C$180K | Auto |
| option | $0.26 | May 30, 2031 1703d | 500K | ITM | 0.2% | C$130K | Auto |
An issuer that discloses only a plan total appears as one line at its weighted-average exercise price and weighted-average remaining life — the filing's own summary, not a per-grant schedule.
218,830,480 shares outstanding, plus 0 from warrants and 4,910,000 from options — a fully diluted 223,740,480 shares, or ~2.2% above today's count if every one of them is exercised.
Price history with the company's supply walls overlaid — warrants (amber), employee and consultant options (pink), and free-trading unlock dates (violet). Each wall sits at the price the paper is struck at today, restated through any consolidation, and is measured in the SHARES it can issue rather than the number of certificates. Levels and dates are Pacific Time.