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NOTE 9 – FAIR VALUE MEASUREMENTS (Tables)
6 Months Ended
Feb. 28, 2022
Debt Disclosure [Abstract]  
NOTE 9 - FAIR VALUE MEASUREMENTS - Measured on a Recurring Basis
       Fair value measurement using:        
       Quoted prices in active markets for identical assets (Level 1)      

 Significant other observable inputs

  ( Level 2)

     

Unobservable inputs

( Level 3)

       Total Fair value at February 28, 2022
 Derivative liabilities   $        $        $        $   
NOTE 11 - FAIR VALUE MEASUREMENTS - Schedule of Fair Value Summary
    Derivative liabilities embedded in convertible notes
         
 Fair value at August 31, 2020   $ 64,584  
 Increase from note issuances     74,187  
Decrease from note conversions     (33,490 )
 Changes in the fair value     58,090  
Fair value at November 30, 2020   $ 163,371  
Increase from note issuances         
Decrease from note prepayment     (136,320 )
Changes in the fair value     18,439  
Fair value at February 28, 2021   $ 45,490