Common Stock [Member] Additional paid-in capital [Member] Deficit accumulated during the development stage [Member] Accumulated Other Comprehensive Income (Loss) [Member] Document and Entity Information Statement [Table] Statement [Line Items] Document Type Amendment Flag Amendment Description Document Period End Date Trading Symbol Entity Registrant Name Entity Central Index Key Current Fiscal Year End Date Entity Filer Category Entity Common Stock, Shares Outstanding Entity Current Reporting Status Entity Voluntary Filers Entity Well Known Seasoned Issuer Entity Public Float Document Fiscal Year Focus Document Fiscal Period Focus Statement of Financial Position ASSETS Cash and cash equivalents Restricted cash Accounts receivable Prepaid expenses Total current assets Total current assets Prepaid issuance costs Tangible fixed assets Investment in associate Investment in associate (Petromanas) Total non-current assets Total non-current assets TOTAL ASSETS TOTAL ASSETS LIABILITIES AND SHAREHOLDERS' EQUITY Accounts payable Bank overdraft Short-term loan Promissory notes to shareholders Contingently convertible loan Debentures Warrant liability Accrued expenses Exploration costs Accrued expenses Professional fees Accrued expenses Interest Other accrued expenses Refundable deposits Total current liabilities Total current liabilities Pension liabilities Total non-current liabilities Total non-current liabilities TOTAL LIABILITIES TOTAL LIABILITIES Temporary equity (common stock USD 0.001 par value, 0 and 6'454'993 shares, respectively) Common stock (300,000,000 shares authorized, USD 0.001 par value, 170'467'292 and 124'987'393 shares, respectively, issued and outstanding) Additional paid-in capital Retained earnings/(deficit) accumulated during the exploration stage Accumulated other comprehensive income Currency translation adjustment Currency translation adjustment Total shareholders' equity Total shareholders' equity TOTAL LIABILITIES AND SHAREHOLDERS' EQUITY TOTAL LIABILITIES AND SHAREHOLDERS' EQUITY Temporary Equity, Par Value Per Share Temporary Equity, Par Value Per Share Temporary Equity, Shares Authorized Temporary Equity, Shares Issued Temporary Equity, Shares Outstanding Common Stock, Par Value Per Share Common Stock, Shares Authorized Common Stock, Shares, Issued Common Stock, Shares, Outstanding Income Statement OPERATING REVENUES Other revenues Total revenues Total revenues OPERATING EXPENSES Personnel costs Personnel costs Exploration costs Exploration costs Depreciation Depreciation Consulting fees Consulting fees Administrative costs Administrative costs Total operating expenses Total operating expenses Gain from sale of investment Loss from sale of investment Loss from sale of investment OPERATING INCOME/(LOSS) OPERATING INCOME/(LOSS) NON-OPERATING INCOME / (EXPENSE) Exchange differences Exchange differences Changes in fair value of warrants Warrants issuance expense Warrants issuance expense Gain from sale of subsidiary Change in fair value of investment in associate Interest income Interest expense Interest expense Loss on extinguishment of debt Income/(Loss) before taxes and equity in net loss of associate Income/(Loss) before taxes and equity in net loss of associate Income taxes Income taxes Equity in net loss of associate Net income/(loss) Net income/(loss) Net income/(loss) attributable to non-controlling interest Net income/(loss) attributable to Manas Net income/(loss) attributable to Manas Currency translation adjustment attributable to Manas Net comprehensive income/(loss) attributable to Manas Net comprehensive income/(loss) attributable to Manas Net comprehensive loss attributable to non-controlling interest Net comprehensive loss attributable to non-controlling interest Net comprehensive income/(loss) Net comprehensive income/(loss) Weighted average number of outstanding shares (basic) Weighted average number of outstanding shares (diluted) Basic earnings / (loss) per share attributable to Manas Diluted earnings / (loss) per share attributable to Manas Statement of Cash Flows OPERATING ACTIVITIES Net income/(loss) To reconcile net income/(loss) to net cash used in operating activities Gain from sale of subsidiary Gain from sale of investment Loss from sale of investment Change in fair value of investment in associate Equity in net loss of associate Depreciation Amortization of debt issuance costs Warrant issuance expense / (income) Warrant issuance expense / (income) (Decrease) / increase in participation liabilities Exchange differences Non cash adjustment to exploration costs Non cash interest income Non cash interest income Interest expense on contingently convertible loan Loss on extinguishment of contingently convertible loan Interest expense on debentures Loss on extinguishment of debentures Stock-based compensation Stock-based compensation Decrease / (increase) in receivables and prepaid expenses (Decrease) / increase in accounts payables (Decrease) / increase in accrued expenses Change in pension liability Cash flow (used in) / from operating activities Cash flow (used in) / from operating activities INVESTING ACTIVITIES Purchase of tangible fixed assets and computer software Purchase of tangible fixed assets and computer software Sale of tangible fixed assets and computer software Proceeds from sale of investment Decrease / (increase) restricted cash Decrease / (increase) restricted cash Acquisition of investment in associate Acquisition of investment in associate Cash flow (used in) / from investing activities Cash flow (used in) / from investing activities FINANCING ACTIVITIES Contribution share capital founders Issuance of units Issuance of contingently convertible loan Issuance of debentures Issuance of promissory notes to shareholders Repayment of contingently convertible loan Repayment of contingently convertible loan Repayment of debentures Repayment of debentures Repayment of promissory notes to shareholders Repayment of promissory notes to shareholders Issuance of warrants Proceeds from exercise of options Proceeds from exercise of warrants Cash arising on recapitalization Shareholder loan repaid Shareholder loan repaid Shareholder loan raised Repayment of bank loan Repayment of bank loan Increase in bank loan Increase in short-term loan Payment of unit issuance costs Prepaid issuance costs (PaymentsOfStockIssuanceCosts) Payment of debt issuance costs Payment of debt issuance costs (Decrease) / increase in bank overdraft Increase / (decrease) in refundable deposits Cash flow (used in) / from financing activities Cash flow (used in) / from financing activities Net change in cash and cash equivalents Net change in cash and cash equivalents Cash and cash equivalents at the beginning of the period Currency translation effect on cash and cash equivalents Cash and cash equivalents at the end of the period Supplement schedule of non-cash investing and financing activities: Forgiveness of debt by major shareholder Deferred consideration for interest in CJSC South Petroleum Co. Warrants issued to pay unit issuance costs Warrants issued to pay placement commission expenses Debenture interest paid in common shares Forgiveness of advance payment from Petromanas Energy Inc. Initial fair value of shares of investment in Petromanas Proceeds from sale yet to be paid recorded under other receivables Forgiveness of receivable due from Manas Adriatic GmbH Forgiveness of receivable due from Manas Adriatic GmbH Statement, Equity Components [Axis] Statement, Equity Components [Domain] Statement of Stockholders Equity Beginning Balance Beginning Balance (Shares) Beginning Balance (Shares) Contribution share capital from founders Contribution share capital from founders (Shares) Shares Issued (Shares) Currency translation adjustment Currency translation adjustment (OtherComprehensiveIncomeForeignCurrencyTransactionAndTranslationAdjustmentNetOfTaxPeriodIncreaseDecrease) Recapitalization transaction Recapitalization transaction (Shares) Stock-based compensation Stock-based compensation (StockIssuedDuringPeriodValueShareBasedCompensation) Stock-based compensation (Shares) Stock-based compensation (Shares) Private placement of Units, issued for cash Private placement of Units, issued for cash (Shares) Private placement of Units Private placement of Units (Shares) Private placement of Units, issued for cash (2) Private placement of Units, issued for cash (2) Private placement of Units, issued for cash (2) (Shares) Private placement of Units, issued for cash (2) (Shares) Issuance of warrants Issuance of warrants (IssuanceOfWarrants) Beneficial Conversion Feature Adoption of ASC 815-40 Reclassification warrants Exercise of warrants Exercise of warrants (Shares) FV adjustment of exercised warrants Shares to be issued Redeemable shares Redeemable shares Redeemable shares (Shares) Redeemable shares (RedeemableShares) TSX Listing Units, issued for cash TSX Listing Units, issued for cash (Shares) Net Income (Loss) Ending Balance Ending Balance (Shares) Notes to the Financial Statements BASIS OF PRESENTATION [Text Block] GOING CONCERN [Text Block] ACCOUNTING POLICIES [Text Block] RECENT ACCOUNTING PRONOUNCEMENTS [Text Block] CASH AND CASH EQUIVALENTS [Text Block] TANGIBLE FIXED ASSETS [Text Block] STOCK COMPENSATION PROGRAM [Text Block] PUBLIC OFFERING - UNIT FINANCING [Text Block] DEBENTURE [Text Block] WARRANTS [Text Block] BANK OVERDRAFT/SHORT-TERM LOAN [Text Block] CONTINGENTLY CONVERTIBLE LOAN [Text Block] PROMISSORY NOTE [Text Block] SALE OF MANAS ADRIATIC [Text Block] INVESTMENT IN PETROMANAS [Text Block] RELATED PARTY DISCLOSURE [Text Block] COMMITMENTS & CONTINGENT LIABILITIES [Text Block] PERSONNEL COSTS AND EMPLOYEE BENEFIT PLANS [Text Block] FAIR VALUE MEASUREMENT [Text Block] EARNINGS PER SHARE [Text Block] SHARE PLACEMENT/PURCHASE AGREEMENT [Text Block] SUBSEQUENT EVENT(S) [Text Block] 七次郎在线观看,久青草国产在线视频,,一夜七次郎免费线路