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Supplemental Statement of Cash Flow Disclosures (Tables)
12 Months Ended
Jun. 30, 2024
Supplemental Cash Flow Elements [Abstract]  
Schedule of Statement of Cash Flow Disclosures

For the fiscal years ended June 30:

 

   2024   2023 
         
Supplemental disclosures:          
           
Interest paid  $29,006   $128,560
           
Non-cash investing and financing activities:          
           
Purchases of property and equipment accrued in current liabilities   996,970    4,404,034 
Deposits capitalized as investing activities   28,020,465    150,000 
Fair value of common shares issued for investing activities   -    5,859,000 
Other receivables recognized as financing activities   608,333    350,550 
Assets transferred to assets held-for-sale   

18,662,575

    

-

 
Settlement of cash bonuses with equity awards   

343,000

    

-