Annual report pursuant to Section 13 and 15(d)

CONVERTIBLE DEBENTURES AND DEFERRED FINANCING COSTS (Tables)

v3.10.0.1
CONVERTIBLE DEBENTURES AND DEFERRED FINANCING COSTS (Tables)
12 Months Ended
Nov. 30, 2018
Schedule of Unsecured Convertible Debentures [Table Text Block]
                Unsecured  
    Unsecured     Deferred     convertible  
    convertible     financing     debenture  
    debentures     costs     (Net)  
    $     $     $  
                   
Balance as of November 30, 2016   (1,153,540 )   35,769     (1,117,771 )
Exchanged for subordinate secured debentures   1,015,026     -     1,015,026  
Amortization of deferred financing costs   -     (35,769 )   (35,769 )
Repayment of unsecured convertible debentures   66,640     -     66,640  
Conversion of unsecured convertible debentures to equity   39,159     -     39,159  
Foreign currency translation   (7,642 )   -     (7,642 )
Balance as of November 30, 2017   (40,357 )   -     (40,357 )
Repayment of unsecured convertible debentures   40,357     -     40,357  
Balance as of November 30, 2018   -     -     -  
Schedule of Derivative Liabilities at Fair Value [Table Text Block]
    Indexed        
Financings giving rise to derivative financial instruments   Shares     Fair Value  
Convertible Secured Debentures December 7, 2016   8,044,853   $ 426,016  
 Convertible Notes October 22, 2018   8,500,000     531,285  
    16,544,853   $ 957,301  
Schedule of Derivative Intruments, Amounts reflected in Income [Table Text Block]
Financings giving rise to derivative financial instruments and the income effects:  

Twelve Months 
Ended

November 30, 2018

Twelve Months Ended

November 30, 2017

Convertible Secured Debentures December 7, 2016   $100,464 $(239,802)
Convertible Notes October 22, 2018   $88,079 -
       
    $188,543 $(239,802)
       
Schedule of Share-based Compensation Arrangement by Share-based Payment Award, Fair Value Assumptions, Method Used [Table Text Block]
  Convertible secured debentures December 7, 2016     November 30, 2018     November 30, 2017  
               
Derivative financial instruments   $ 426,016   $ 539,860  
Conversion price   $  0.135   $  0.135  
Volatility     91%     106%  
Remaining term (years)     0.52     1.52  
Risk free rate     2.52%     1.78%  

  

  Convertible notes October 22, 2018     November 30, 2018     November 30, 2017
             
Derivative financial instruments   $ 531,285   $ -
Conversion price   $  0.15   $  -
Volatility     79%     -
Remaining term (years)     1.38     -
Risk free rate     2.70%     -
Series B Convertible Secured Debentures December 7, 2016 [Member]  
Schedule Of Secured Convertible Debentures Allocation Of Purchase Table [Text Block]
Secured convertible cotes   Face Value  
(CAD $1,399,000) $  1,041,835  
Proceeds   1,041,835  
Embedded derivative   (285,612 )
Carrying value $  756,223  
$1,500,000 10% secured convertible debenture [Member]  
Schedule Of Secured Convertible Debentures Allocation Of Purchase Table [Text Block]
Convertible debentures (Face value) $  1,500,000  
       
Proceeds $  (1,396,842 )
Embedded conversion feature   889,050  
Deferred financing costs   (103,158 )
Convertible debentures   610,950  
Secured Convertible Debentures October 22, 2018  
Schedule of Derivative Liabilities at Fair Value [Table Text Block]
Financings giving rise to derivative financial instruments   Indexed Shares     Fair Value  
Convertible Secured Debentures December 7, 2016   8,044,853   $  539,860  
             
    8,044,853   $  539,860