Annual reports filed by certain Canadian issuers pursuant to Section 15(d) and Rule 15d-4

EQUITY (Narrative) (Details)

v3.21.1
EQUITY (Narrative) (Details)
1 Months Ended 12 Months Ended
Feb. 12, 2021
$ / shares
Oct. 11, 2019
shares
Aug. 29, 2019
CAD ($)
$ / shares
shares
Dec. 31, 2020
CAD ($)
Shares
$ / shares
shares
Dec. 31, 2019
CAD ($)
Shares
$ / shares
shares
Dec. 19, 2018
shares
Disclosure of terms and conditions of share-based payment arrangement [line items]            
Exercise price of warrants exercisable       $ 1.3    
Issuance of shares in private placement | shares         19,460,527  
Proceeds from exercise of warrants and compensation options | $       $ 6,378,000    
Number of warrants exercised | Shares       12,351,795    
Weighted average value of each option grant       $ 1.06 $ 0.40  
Number of share options exercised | Shares       640,770 0  
Exercise price of compensation option       $ 0.45 $ 0  
Number of share options granted | Shares       3,620,000 12,300,000  
Share-based compensation | $       $ 3,382,000 $ 2,677,000  
Revaluation of exercised Warrants | $       $ 3,874,000    
Number of compensation unit issued | shares       842,046    
Compensation unit per share       $ 1.05    
Description of other convertible secrities conversion       Each Compensation Unit consists of one IMCC Ordinary Share and one half IMCC Warrant, with each whole IMCC Warrant exercisable for one IMC Ordinary Share at an exercise price of $1.3.    
Event after reporting period [Member]            
Disclosure of terms and conditions of share-based payment arrangement [line items]            
Description of share consolidation of issued and outstanding ordinary shares the Company's shareholders general meeting resolved to consolidated all of its issued and outstanding Ordinary shares on a four (4) to one (1) basis (the "Share Consolidation").          
Exercise price of warrants exercisable $ 5.20          
2019 Private Placements [Member]            
Disclosure of terms and conditions of share-based payment arrangement [line items]            
Number of units issued | shares     19,460,527      
Issuance of shares in private placement | shares     19,460,527      
Number of units issued, price per share     $ 1.05      
Gross proceeds from issuance of units | $     $ 20,433,000      
Number of shares issued in Reverse Takeover | shares   3,455,266        
2018 Warrants [Member]            
Disclosure of terms and conditions of share-based payment arrangement [line items]            
Proceeds from exercise of warrants and compensation options | $       $ 6,032,000    
Number of warrants exercised | Shares       12,350,795    
Percentage of warrants exercised       92.10%    
Exercise price of warrants exercised       $ 0.50    
Exercise price of compensation option       $ 0.40    
2019 Warrants [Member]            
Disclosure of terms and conditions of share-based payment arrangement [line items]            
Number of warrants exercised | Shares       1,000    
Percentage of warrants exercised       0.02%    
Exercise price of warrants exercised       $ 1.3    
2019 Compensation Options [Member]            
Disclosure of terms and conditions of share-based payment arrangement [line items]            
Number of share options exercised | Shares       327,280    
Percentage of options exercised       27.70%    
Exercise price of compensation option       $ 1.05    
2019 Warrants and Compensation Options [Member]            
Disclosure of terms and conditions of share-based payment arrangement [line items]            
Proceeds from exercise of warrants and compensation options | $       $ 346,000    
2018 Share Incentive Plan" (the "2018 Plan") [Member]            
Disclosure of terms and conditions of share-based payment arrangement [line items]            
Percentage of ordinary shares reserved for issuance     10.00%      
Share-based compensation | $       $ 3,382,000 $ 2,677,000  
Ordinary shares reserved for issuance | shares       15,906,312   12,250,000
Number of shares available for future grants | shares       2,646,060    
Weighted average fair value of each option grant | $       $ 0.503    
Weighted average remaining contractual life for the share options outstanding       7 years 3 months 25 days 9 years 2 months 4 days  
2018 Share Incentive Plan" (the "2018 Plan") [Member] | Vest on the first anniversary of the applicable vesting commencement date [Member]            
Disclosure of terms and conditions of share-based payment arrangement [line items]            
Awards vest       33.30%    
2018 Share Incentive Plan" (the "2018 Plan") [Member] | Vest in eight equal installments upon the lapse of each three-month period thereafter [Member]            
Disclosure of terms and conditions of share-based payment arrangement [line items]            
Awards vest       66.70%    
2018 Share Incentive Plan" (the "2018 Plan") [Member] | Key management personnel [Member]            
Disclosure of terms and conditions of share-based payment arrangement [line items]            
Number of share options granted | Shares       8,895,000 5,110,000