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CREDIT FACILITY (Tables)
3 Months Ended
Oct. 31, 2024
Line of Credit Facility [Abstract]  
Schedule of Line of Credit Facilities [Table Text Block]
    Credit Facility  
Balance, July 31, 2023 $ -  
Principal amount   122,739  
Interest expense   7,018  
Issuance costs   (15,629 )
Accretion expense   2,002  
Balance, July 31, 2024 $ 116,130  
Payment   (30,000 )
Principal amount   1,801  
Interest expense   3,703  
Issuance costs   (229 )
Accretion expense   466  
Balance, October 31, 2024 $ 91,871  
       
    Deferred Financing Asset  
Balance, July 31, 2023 $ -  
Issuance costs 1,000,000 warrants   127,336  
Allocation to credit facility   (15,629 )
Balance, July 31, 2024 $ 111,707  
Allocation to credit facility   (229 )
Balance, October 31, 2024 $ 111,478  
Schedule Of Weighted Average Assumptions Valuation Of Warrants [Table Text Block]
     February 5, 2024  
       
Risk-free interest rate   3.67%  
Expected life of warrants   4 years  
Expected annualized volatility   122.71%  
Share price at grant date   $0.16  
Exercise price   $0.16  
Fair value   $0.13  
Dividend   Nil  
Forfeiture rate   0%