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Consolidated Balance Sheets - USD ($)
Jan. 31, 2024
Jul. 31, 2023
Current Assets    
Cash $ 33,406 $ 151,718
Prepaid expenses 24,858 34,858
Loan receivable 228,570 228,570
Accrued interest income 2,851 3,116
Total Current Assets 289,685 418,262
Property and equipment, net 1,264,560 884,276
Investment 0 947,500
TOTAL ASSETS 1,554,245 2,250,038
Current Liabilities    
Accounts payable and accrued liabilities 240,463 237,888
Deferred rent income 170 0
Due to related parties 505,000 3,726,222
Loans payable -current portion, net 50,410 0
Total Current Liabilities 796,043 3,964,110
Loans payable-related party 500,000 0
Loans payable, net 215,587 0
TOTAL LIABILITIES 1,511,360 3,964,110
Equity (Deficit)    
Common stock: 300,000,000 authorized; $0.001 par value 11,986,686 and 586,686 shares issued and outstanding at January 31, 2024 and July 31, 2023, respectively 11,987 587
Additional paid in capital 3,169,714 331,114
Accumulated deficit (3,138,823) (2,045,818)
Equity (deficit) attributable to stockholders of My City Builders, Inc. 42,978 (1,714,017)
Deficit attributable to noncontrolling interests (93) (55)
Total Equity (Deficit) 42,885 (1,714,072)
TOTAL LIABILITIES AND EQUITY (DEFICIT) 1,554,245 2,250,038
Series A Preferred Stock [Member]    
Equity (Deficit)    
Preferred stock, Value $ 100 $ 100