Quarterly report pursuant to Section 13 or 15(d)

CONVERTIBLE DEBENTURES AND DEFERRED FINANCING COSTS (Tables)

v3.7.0.1
CONVERTIBLE DEBENTURES AND DEFERRED FINANCING COSTS (Tables)
6 Months Ended
May 31, 2017
May 31, 2016
Schedule of Convertible Debt [Table Text Block]
  Convertible Debentures - Face Value $ 1,398,342  
  Proceeds $ (1,279,773 )
  Deferred financing costs   (190,876 )
  Paid in capital (warrants)   33,583  
  Prepaid expenses   16,681  
  Accrued expenses   21,793  
  Convertible debentures   1,398,592  
 
Schedule of Unsecured Convertible Debentures [Table Text Block]
    Unsecured     Deferred     Unsecured  
    Convertible     financing     Convertible  
    Debentures     costs     Debenture (Net)  
    $     $     $  
                   
Balance as of November 30, 2016   (1,153,540 )   35,769     (1,117,771 )
Exchange for subordinate secured debentures   1,015,026           1,015,026  
Amortization of deferred financing costs         (35,769 )   (35,769 )
Foreign currency translation   854           854  
Balance as of May 31, 2017   (137,660 )   -     (137,660 )
 
Schedule of Subordinate Convertible Debentures [Table Text Block]
    Subordinate     Deferred     Subordinate  
    secured     financing     secured  
    Debentures     costs     Debentures (Net)  
                   
Balance as of November 30, 2016   -     -     -  
Exchange from unsecured convertible debentures   (1,015,026 )   -     (1,015,026 )
Accrued interest converted to                  
subordinate secured debentures   (26,809 )         (26,809 )
Foreign currency translation   6,436     -     6,435  
Balance as of May 31, 2017   (1,035,400 )   -     (1,035,400 )
                   
 
Schedule of Secured Convertible Debentures, Allocation of the Purchase [Table Text Block]
Convertible Debentures   $1,500,000 Face Value  
Proceeds $ (1,396,842 )
Embedded conversion feature   889,050  
Deferred financing costs   (103,158 )
Convertible debentures   610,950  
 
Schedule Of Derivative Liabilities At Fair Value [Table Text Block]
    May 31,  
    2017  
Derivative liabilities:      
   Embedded derivatives $ 381,671  
 
Schedule Of Derivative Instruments In Statement Of Financial Position Fair Value [Table Text Block]
    May 31,  
    2017  
Common shares linked to derivative liabilities:      
   Embedded derivatives   6,250,000  
 
Schedule of Derivative Intruments, Amounts reflected in Income [Table Text Block]
    Six Months  
    Ended May  
    31, 2017  
Derivative income (expense):      
Embedded derivatives $ 507,379  
 
Schedule of Share-based Compensation Arrangement by Share-based Payment Award, Fair Value Assumptions, Method Used [Table Text Block]
      May 31, 2017  
Underlying price on valuation date   $ 0.13  
Contractual conversion rate   $ 0.24  
Contractual term to maturity     2 Years  
Market volatility     110%  
Contractual interest rate     10.00%  
      December 7, 2016  
Underlying price on valuation date   $ 0.22  
Contractual conversion rate   $ 0.24  
Contractual term to maturity     2.50 Years  
Market volatility     110%  
Contractual interest rate     10.00%  
Schedule Of Derivative Instruments [Table Text Block]
      Six Months  
      Ended May  
      31, 2017  
Balances at December 1   $   —  
   Issuances     889,050  
   Changes in fair value inputs and assumptions reflected in income     (507,379 )
Balances at May 31, 2017   $ 381,671