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SUPPLEMENTAL CASH FLOW INFORMATION
12 Months Ended
Jul. 31, 2012
SUPPLEMENTAL CASH FLOW INFORMATION [Text Block]

NOTE 14: SUPPLEMENTAL CASH FLOW INFORMATION

    July 31, 2012     July 31, 2011     July 31, 2010  
                   
Cash and Cash Equivalents Consist of:                  
 Cash in bank $ 25,015,284   $ 4,049,131   $ 3,032,802  
 Term deposits   -     26,674,920     18,034,860  
  $ 25,015,284   $ 30,724,051   $ 21,067,662  

During Fiscal 2012, the Company issued 159,236 restricted common shares of the Company with a fair value of $511,148 to purchase certain database covering the Goliad formation from Uranium One Inc.

During Fiscal 2012, as a result of the merger with Concentric, the Company issued 1,603,440 shares and share purchase warrants to purchase 375,834 shares with an aggregate fair value of $5,195,797. Additionally, the Company settled with certain Series “A” and “B” convertible debenture holders through a shares-for-debt arrangement whereby a total 128,508 shares with a fair value of $699,340 were issued.

During Fiscal 2012, the Company issued a total 40,312 shares of common stock with a fair value of $158,426 as full settlements for a total $129,000 owed to two former directors of Concentric.

During Fiscal 2012, the Company issued 300,000 shares with a fair value of $915,000 for the acquisition of the Workman Creek Project.

During Fiscal 2012, the Company received 750,000 shares of Kaboko with a fair value of $15,600 which was applied against the capitalized costs of the Todilto Project.

During Fiscal 2012, the Company issued 100,000 shares with a fair value of $229,000 for the acquisition of a further two prospecting permits at the Coronel Oviedo Project.

During Fiscal 2012, in connection of the acquisition of Cue, the Company issued a total 2,517,229 shares, share purchase warrants to purchase 900,446 shares, stock options to purchase 48,748 shares and broker options to purchase 38,773 shares with an aggregate fair value of $9,992,244.