Standard | Impact on initial application | Effective date |
IAS 12 | Income taxes | 1 January 2023 |
IFRS 17 | Insurance contracts | 1 January 2023 |
IAS 8 | Accounting estimates | 1 January 2023 |
IAS 1 | Classification of Liabilities as Current or Non- | |
Current. | ||
1 January 2023 | ||
IAS 1 | Presentation of Financial Statements regarding the | |
amendments of disclosure of accounting policies | ||
1 January 2023 | ||
IAS 1 (Amendments) | Classification of liabilities as current or non-current | 1 January 2024 |
IAS 16 (Amendments) | Lease Liability in a Sale and Leaseback | 1 January 2024 |
Group | ||
Exploration & Evaluation Assets | ||
30 June 2023 | ||
£ | ||
30 June 2022 | ||
£ | ||
South Timmins, British Columbia | 1 | 1 |
Klondike Property | - | 1 |
Atlin West Property | 1 | 1 |
Yak Property | 1 | 1 |
Stateline Property | - | 13,013 |
Rizz Property | 1 | 6,053 |
Icefall Property | 1 | 9,018 |
Northern Treasure Property | 111,023 | 34,638 |
Silver Vista Property, British Columbia | - | 1 |
Silver Switchback Property, British Columbia | - | 1 |
Rupert Property, British Columbia | 1 | 15,966 |
Apple Bay Property, British Columbia | 1 | - |
Foggy Mountain, British Columbia | 43,220 | - |
Bobcat Property, Idaho | 48,183 | - |
Elk Creek, Pennsylvania | 34,085 | - |
As at June 30 | 236,518 | 78,694 |
Group | ||
Exploration & Evaluation Assets | ||
30 June 2023 | ||
£ | ||
30 June 2022 | ||
£ | ||
Cost | ||
As at 1 July | 78,694 | 30,679 |
Additions | 222,667 | 139,294 |
Disposals | (47,206) | (97,508) |
Impairments | (12,636) | - |
Net proceeds from sale | - | 1 |
Forex movement | (5,001) | 6,228 |
As at June 30 | 236,518 | 78,694 |
Company | ||
30 June 2023 | ||
£ | ||
30 June 2022 | ||
£ | ||
Shares in Group Undertakings | ||
At beginning of period | 7,252,886 | 6,485,487 |
Additions | - | 5,008 |
Shares transferred to CEI | (5,000) | - |
Impairments | (6,056,544) | - |
At end of period | ||
1,191,342 | 6,490,495 | |
Loans to group undertakings | ||
805,706 | 762,391 | |
Total | ||
1,997,048 | 7,252,886 |
Company | ||
30 June 2023 | ||
£ | ||
30 June 2022 | ||
£ | ||
At beginning of the period | ||
68,056 | 107,679 | |
Shares transferred to CEI | ||
(68,056) | - | |
G2 Energy Corp | ||
58,007 | - | |
Fair value movement | ||
(14,961) | (39,623) | |
Total | ||
43,046 | 68,056 |
Name of subsidiary | Registered office address | ||||
Country of | |||||
incorporation | |||||
and place of | |||||
business | |||||
Proportion | |||||
of ordinary | |||||
shares held | |||||
by parent | |||||
(%) | |||||
Proportion of | |||||
ordinary | |||||
shares held | |||||
by the Group | |||||
(%) | Nature of business | ||||
Imperial Minerals | |||||
(UK) Limited | |||||
6th Floor, 60 Gracechurch | |||||
Street, London, EC3V | |||||
0HR | |||||
United | |||||
Kingdom | |||||
100% | 100% | Dormant | |||
Cloudbreak | |||||
Exploration Inc. | |||||
Suite 520/999 West | |||||
Hastings Street, | |||||
Vancouver BC V6C2W2 | |||||
Canada | 100% | 100% | |||
A mineral property | |||||
project generator | |||||
Cloudbreak Discovery | |||||
(US) Ltd. | |||||
1209 Orange Street, | |||||
Wilmington, New Castle, | |||||
Delaware, 19801 | |||||
USA | 100% | 100% | |||
Mineral | |||||
exploration | |||||
projects | |||||
Kudu Resources | |||||
Limited | |||||
12 New Fetter Lane, | |||||
London, United Kingdom, | |||||
EC4A 1JP | |||||
United | |||||
Kingdom | |||||
100% | 100% | ||||
Mineral | |||||
exploration | |||||
projects | |||||
Cloudbreak Energy | |||||
(US) Ltd. | |||||
1209 Orange Street, | |||||
Wilmington, New Castle, | |||||
Delaware, 19801 | |||||
USA | 100% | 100% | |||
Oil and Gas | |||||
acquisitions | |||||
Kudu Resources | |||||
Guinea | |||||
Coleah Domino, 1 | |||||
st | |||||
Floor, | |||||
Office B, BF 4370, | |||||
Commune De Matam, | |||||
Conakry | |||||
Guinea | 100% | 100% | |||
Mineral | |||||
exploration | |||||
projects |
Level 1 | ||||
£ | ||||
Level 2 | ||||
£ | ||||
Level 3 | ||||
£ | ||||
Total | ||||
£ | ||||
30 June 2022 | 1,900,685 | - | 168,617 | 2,069,302 |
Additions | 236,198 | - | - | |
236,198 | ||||
Disposals | (677,311) | - | (89) | |
(677,400) | ||||
Fair value changes | 309,896 | - | - | |
309,896 | ||||
Realised loss on investments | (866,421) | - | - | |
(866,421) | ||||
Foreign exchange | (131,322) | - | (48,998) | |
(180,320) | ||||
30 June 2023 | 771,725 | - | 119,530 | 891,255 |
Group | ||
30 June 2023 | ||
£ | ||
30 June 2022 | ||
£ | ||
Opening | ||
1,657,900 | - | |
Additions | ||
503,499 | 1,595,635 | |
Royalties to be received | ||
- | 11,233 | |
Royalty payments related to previous year | ||
(11,233) | - | |
Fair Value Movement | ||
(91,106) | 51,032 | |
At end of period | ||
2,059,060 | 1,657,900 |
Group | ||||
30 June 2023 | ||||
£ | ||||
30 June 2022 | ||||
£ | ||||
Convertible loan note | $500,000 USD (£395,975) | 76,163 | 60,878 | |
Convertible loan note | $420,000 USD (£332,668) | 28,157 | 75,720 | |
Convertible loan note | $49,790 USD (£39,437) | 6,573 | 11,763 | |
Convertible loan note | $250,000 USD (£6,573) | 17,714 | 36,004 | |
Impairment provision | (128,607) | (184,365) | ||
- | - |
Group | Company | |||
30 June 2023 | ||||
£ | ||||
30 June 2022 | ||||
£ | ||||
30 June 2023 | ||||
£ | ||||
30 June 2022 | ||||
£ | ||||
Other Receivables | 69,879 | 16,427 | 47,523 | 16,428 |
Inter-company Receivables | - | - | - | 406,186 |
Tax Receivables | 18,372 | 15,627 | - | - |
Sundry Receivables | 142,475 | 204,574 | 142,475 | 190,000 |
Trade Receivables | 272,247 | - | - | - |
Prepayments | 27,256 | 1,064,005 | 27,256 | 1,064,005 |
Provision for bad debt | (287,052) | - | (140,000) | - |
243,177 | 1,300,634 | 77,254 | 1,676,619 |
Group | Company | |||
30 June 2023 | ||||
£ | ||||
30 June 2022 | ||||
£ | ||||
30 June 2023 | ||||
£ | ||||
30 June 2022 | ||||
£ | ||||
UK Pounds | 83,604 | 1,130,433 | 77,254 | 1,676,619 |
Canadian Dollars | ||||
146,250 | ||||
30,201 | ||||
- | ||||
- | ||||
US Dollars | ||||
8 | ||||
- | ||||
- | ||||
- | ||||
Guinea Franc | ||||
13,315 | ||||
- | ||||
- | ||||
- | ||||
243,177 | 1,160,634 | 77,254 | 1,676,619 |
Group | Company | |||
30 June 2023 | ||||
£ | ||||
30 June 2022 | ||||
£ | ||||
30 June 2023 | ||||
£ | ||||
30 June 2022 | ||||
£ | ||||
Cash at bank and in hand | 244,074 | 310,578 | 18,684 | 124,118 |
Group | Company | |||
30 June 2023 | ||||
£ | ||||
30 June 2022 | ||||
£ | ||||
30 June 2023 | ||||
£ | ||||
30 June 2022 | ||||
£ | ||||
UK Pounds | 6,523 | 107,707 | 1,593 | 107,707 |
US Dollars | 17,091 | 16,411 | 17,091 | 16,411 |
Canadian Dollars | ||||
220,460 | ||||
186,460 | ||||
- | ||||
- | ||||
244,074 | 310,578 | 18,684 | 124,118 |
2023 | 2022 | |
Other comprehensive | ||
income and | ||
Net assets | ||
Other | ||
comprehensive | ||
income and | ||
Net assets | ||
£ | £ | |
Decrease if overall share price falls by 20%, with all other | ||
variables held constant | ||
(1,069,506) | (2,367,554) | |
Decrease in other comprehensive earnings and net asset value | ||
per Ordinary share (in pence) | ||
(1.23) | (0.0049)p | |
Increase if overall share price rises by 20%, with all other | ||
variables held constant | ||
1,069,506 | 2,367,554 | |
Increase in other comprehensive earnings and net asset value | ||
per Ordinary share (in pence) | ||
1.23 | 0.0049p |
2023 | 2022 | |
£ | £ | |
Cash at bank | 244,074 | 310,578 |
Other receivables | 243,177 | 1,160,633 |
Convertible debenture receivable | 2,059,060 | 1,657,900 |
2,546,311 | 3,129,111 |
2023 | 2022 | |
Financial assets | £ | £ |
Trade and other receivables - Non interest earning | 243,177 | 1,160,633 |
2023 | 2022 | |
Financial liabilities | £ | £ |
Trade and other payables – Non interest earning | 1,704,437 | 1,395,910 |
Group | Company | |||
30 June 2023 | ||||
£ | ||||
30 June | ||||
2022 | ||||
£ | ||||
30 June 2023 | ||||
£ | ||||
30 June 2022 | ||||
£ | ||||
Trade payables | 1,493,943 | 1,217,736 | 1,303,186 | 1,194,500 |
Accruals | 151,396 | 157,353 | 139,687 | 142,084 |
Other Creditors | 59,098 | 20,821 | 11,558 | 20,670 |
Trade and other payables | 1,704,437 | 1,395,910 | 1,454,431 | 1,357,254 |
Group | Company | |||
30 June | ||||
2023 | ||||
£ | ||||
30 June 2022 | ||||
£ | ||||
30 June 2023 | ||||
£ | ||||
30 June 2022 | ||||
£ | ||||
UK Pounds | 1,497,746 | 1,357,254 | ||
1,454,431 | ||||
1,357,254 | ||||
Canadian Dollars | ||||
172,606 | ||||
38,656 | ||||
- | ||||
- | ||||
US Dollars | ||||
34,085 | ||||
- | ||||
- | ||||
- | ||||
1,704,437 | ||||
1,395,910 | ||||
1,454,431 | ||||
1,357,254 |
Number of | ||||
shares | ||||
Share capital | ||||
£ | ||||
Share premium | ||||
£ | ||||
Total | ||||
£ | ||||
As at 1 July 2021 | 389,565,060 | 560,520 | 10,905,507 | 11,466,027 |
Issue of new shares – 21 July 2021 | ||||
500,000 | 500 | 14,500 | 15,000 | |
Issue of new shares – 31 December 2021 | ||||
500,000 | 500 | 14,500 | 15,000 | |
Issue of new shares – 4 January 2022 | ||||
58,000,000 | 58,000 | 1,682,000 | 1,740,000 | |
Warrant exercised – 28 February 2022 | ||||
100,000 | 100 | 4,900 | 5,000 | |
Issue of new shares – 1 March 2022 | ||||
(1) | ||||
19,596,931 | 19,597 | 1,371,660 | 1,391,257 | |
Warrant exercised – 4 March 2022 | ||||
1,428,874 | 1,429 | 41,437 | 42,866 | |
Warrant exercised – 7 March 2022 | ||||
100,000 | 100 | 4,900 | 5,000 | |
Warrant exercised – 9 March 2022 | ||||
783,335 | 783 | 22,717 | 23,500 | |
Issue of new shares – 31 March 2022 | ||||
12,000,000 | 12,000 | 738,000 | 750,000 | |
Warrant exercised – 6 April 2022 | ||||
400,000 | 400 | 11,600 | 12,000 | |
Warrant exercised – 13 April 2022 | ||||
200,000 | 200 | 9,800 | 10,000 | |
As at 30 June 2022 | 483,174,200 | 654,129 | 14,821,521 | 15,475,650 |
Issue of new shares – 5 July 2022 | 16,800,000 | 16,800 | 361,200 | 378,000 |
Issue of new shares – 19 July 2022 | 26,027,776 | 26,028 | 556,597 | 582,625 |
Issue of new shares – 5 August 2022 | 10,000,000 | 10,000 | 169,000 | 179,000 |
Issue of new shares – 1 September 2022 | 12,000,000 | 12,000 | 168,000 | 180,000 |
Issue of new shares – 28 September 2022 | 14,000,000 | 14,000 | 166,180 | 180,180 |
Issue of new shares – 25 October 2022 | 18,500,000 | 18,500 | 185,000 | 203,500 |
Issue of new shares – 2 December 2022 | 15,000,000 | 15,000 | 161,850 | 176,850 |
Issue of new shares – 27 January 2023 | 4,300,000 | 4,300 | 42,570 | 46,870 |
Issue of new shares – 18 April 2023 | 7,876,829 | 7,878 | 121,303 | 129,181 |
As at 30 June 2023 | ||||
607,678,805 | 778,635 | 16,753,221 | 17,531,856 |
Options | Warrants | ||
Weighted average | |||
exercise price | |||
(£) | |||
As at 30 June 2021 | |||
5,050,000 | 43,615,967 | 0.015 | |
Options - Cancelled | |||
(1,566,667) | - | 0.27 | |
Options - Exercised | |||
(83,333) | - | 0.03 | |
Options - Issued | |||
11,250,000 | - | 0.03 | |
Warrants - Exercised | |||
- | (2,928,876) | 0.04 | |
Warrants - Issued | |||
- | 3,150,002 | 0.04 | |
Warrants - Expired | |||
- | (20,615,401) | 0.11 | |
As at 30 June 2022 | |||
14,650,000 | 23,221,692 | 0.04 | |
Options – Cancelled | (150,000) | - | 0.03 |
Options – Exercised | - | - | - |
Options – Issued | 7,250,000 | - | 0.02 |
Warrants – Exercised | - | - | - |
Warrants – Issued | - | 2,950,000 | 0.02 |
Warrants - Expired | - | (7,926,968) | 0.05 |
As at 30 June 2023 | 21,750,000 | 18,244,724 | 0.04 |
2021 Warrants | 2021 Warrants | 2022 Warrants | |||
2022 | |||||
Warrants | |||||
2023 | |||||
Warrants | |||||
Granted on: | 2/06/2021 | 2/06/2021 | 13/8/2021 | 1/3/2022 | 9/8/2022 |
Number of | |||||
warrants | |||||
4,530,497 | 8,714,227 | 2,750,002 | 400,000 | 2,950,000 | |
Life (years) | 2.71 years | 4 years | 2 years | 2 years | 1 year |
Share price | |||||
(pence per | |||||
share) | |||||
0.10p | 0.05p | 0.025p | 0.10p | 0.025p | |
Risk free rate | 0.55% | 0.81% | 0.58% | 0.80% | 2.07% |
Expected | |||||
volatility | |||||
100% | 100% | 20.28% | 140.94% | 51.43% | |
Expected | |||||
dividend yield | |||||
- | - | - | - | - | |
Total fair value | £46,092 | £157,695 | £2,750 | £27,314 | 6,596 |
2021 Options | 2022 Options | ||
2023 Options | |||
Granted on: | 2/06/2020 | ||
25/8/2021 | 9/8/2022 | ||
Number of options | 5,050,000 | ||
11,250,000 | 7,250,000 | ||
Life (years) | 3.08 years | ||
4 years | 3 years | ||
Share price (pence per share) | 0.025p | ||
0.03p | 0.025p | ||
Risk free rate | 0.64% | ||
0.62% | 1.78% | ||
Expected volatility | 100% | ||
20.55% | 51.43% | ||
Expected dividend yield | - | ||
- | - | ||
Total fair value | £99,572 | ||
£11,238 | £36,723 |
2023 | 2022 | |||||||
Range of | ||||||||
exercise | ||||||||
prices (£) | ||||||||
Weighte | ||||||||
d | ||||||||
average | ||||||||
exercise | ||||||||
price (£) | ||||||||
Number of | ||||||||
shares | ||||||||
Weighted | ||||||||
average | ||||||||
remainin | ||||||||
g life | ||||||||
expected | ||||||||
(years) | ||||||||
Weighted | ||||||||
average | ||||||||
remaining | ||||||||
life | ||||||||
contracted | ||||||||
(years) | ||||||||
Weighted | ||||||||
average | ||||||||
exercise | ||||||||
price (£) | ||||||||
Number of | ||||||||
shares | ||||||||
Weighted | ||||||||
average | ||||||||
remaining | ||||||||
life | ||||||||
expected | ||||||||
(years) | ||||||||
Weighted | ||||||||
average | ||||||||
remaining | ||||||||
life | ||||||||
contracted | ||||||||
(years) | ||||||||
0 – 0.029 | 0.02 | 14,750,000 | 3.047 | 3.047 | 0.0286 | 16,300,000 | 4.282 | 4.282 |
0.03 – 0.049 | 0.03 | 11,600,000 | 1.431 | 1.431 | 0.0500 | 16,641,195 | 1.740 | 1.740 |
0.05 – 0.099 | 0.05 | 8,714,227 | 1.971 | 1.971 | 0.1000 | 4,530,497 | 1.630 | 1.630 |
0.10 – 0.15 | 0.10 | 4,930,497 | 0.650 | 0.650 | 0.1125 | 400,000 | 1.670 | 1.670 |
Group | ||||
Share option | ||||
reserve | ||||
£ | ||||
Warrant option | ||||
reserve | ||||
£ | ||||
Foreign currency | ||||
translation | ||||
reserve | ||||
£ | ||||
Total | ||||
£ | ||||
At 30 June 2022 | ||||
84,667 | 212,717 | 301,709 | 599,093 | |
Currency translation differences | - | - | (123,367) | (123,367) |
Issued Options | 36,723 | - | - | 36,723 |
Issued Warrants | - | 6,596 | - | 6,596 |
At 31 June 2023 | 121,390 | 219,313 | 178,342 | 519,045 |
Group | ||
Staff costs | ||
Year ended | ||
30 June 2023 | ||
£ | ||
Year ended | ||
30 June 2022 | ||
£ | ||
Directors Fees and Consulting Fees | 315,000 | 79,976 |
Employee salaries and Tax | 33,515 | - |
348,515 | 79,976 |
Year ended 30 June 2023 | ||||
Short-term | ||||
benefits | ||||
Post- | ||||
employment | ||||
benefits | ||||
Share based | ||||
payments | Total | |||
£ | £ | £ | £ | |
Directors | ||||
Kyler Hardy | ||||
(1) | ||||
120,000 | - | 6,329 | 126,329 | |
Paul Gurney | ||||
30,000 | - | 3,798 | 33,798 | |
Emma Priestly | ||||
45,000 | - | 3,798 | 48,798 | |
Andrew Male | 120,000 | - | 3,798 | 123,798 |
315,000 | - | 17,723 | 332,723 |
Year ended 30 June 2022 | ||||
Short-term | ||||
benefits | ||||
Post- | ||||
employment | ||||
benefits | ||||
Share based | ||||
payments | Total | |||
£ | £ | £ | £ | |
Directors | ||||
Kyler Hardy | ||||
- | - | 2,000 | 2,000 | |
Paul Gurney | ||||
7,500 | - | - | 7,500 | |
Emma Priestly | ||||
- | - | 600 | 600 | |
Andrew Male | 72,476 | - | 600 | 73,076 |
79,976 | - | 3,200 | 83,176 |
Group | ||
Year ended | ||
30 June 2023 | ||
£ | ||
Year ended | ||
30 June 2022 | ||
£ | ||
Interest income on convertible loan | ||
143,224 | 138,107 | |
G2 Technology – debenture interest | ||
197,061 | 16,411 | |
Texas Legacy Exploration – debenture interest | ||
29,302 | - | |
Finance Income | 369,587 | 154,518 |
Group | ||
Year ended | ||
30 June 2023 | ||
£ | ||
Year ended | ||
30 June 2022 | ||
£ | ||
Other gains | ||
17,913 | 8,332 | |
Other gains | 17,913 | 8,332 |
Group | ||
Year ended | ||
30 June 2023 | ||
£ | ||
Year ended | ||
30 June 2022 | ||
£ | ||
Realised loss on disposal of investments | ||
(866,421) | - | |
Loss on disposal of investments | (866,421) | - |
Group | ||
Year ended | ||
30 June 2023 | ||
£ | ||
Year ended | ||
30 June 2022 | ||
£ | ||
Loss before tax | ||
(3,997,899) | (5,557,029) | |
Tax at the applicable rate of 18.00% (2022: 17%) | (719,622) | (944,695) |
Effects of: | ||
Expenditure not deductible for tax purposes | ||
8,179 | 8,181 | |
Net tax effect of losses carried forward | 723,621 | 936,514 |
Tax (charge)/refund | ||
(12,178) | - |
Group | ||
Year ended | ||
30 June | ||
2023 | ||
£ | ||
Year ended | ||
30 June | ||
2022 | ||
£ | ||
Professional fees | 1,123,570 | 1,564,654 |
Consulting fees | 1,581,215 | 1,184,930 |
Employees and Contractors | 228,515 | - |
Transfer agent and filing fees | - | 110,965 |
Travel | 94,302 | 86,597 |
Insurance | 37,312 | 30,929 |
IT & Software services | 13,938 | 2,608 |
Public Relations | 150,119 | 188,160 |
Premises and Office costs | 10,447 | 18,040 |
Property costs/exploration costs | 425,643 | - |
Share option expense | 43,306 | 41,325 |
Other expenses | 298,151 | 80,006 |
Total administrative expenses | 4,006,518 | 3,308,214 |
Group | |
Minimum spend | |
requirement | |
£ | |
Not later than one year | 674,709 |
Later than one year and no later than five years | 99,589 |
Total | 774,298 |