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Condensed Consolidated Statements of Changes in Stockholders' Equity (Unaudited) - USD ($)
Common Stock [Member]
Additional Paid-in Capital [Member]
AOCI Attributable to Parent [Member]
Retained Earnings [Member]
Total
Beginning balance, value at Aug. 31, 2021 $ 15,795 $ 23,470,641 $ (171,114) $ (23,001,067) $ 314,255
Beginning balance, shares at Aug. 31, 2021 157,949,219        
Shares issued in private placement $ 901 1,149,099 1,150,000
Shares issued in private placement, shares 9,010,000        
Share compensation 1,060,813 1,060,813
Foreign currency translation adjustment 11,083 11,083
Net loss (4,496,286) (4,496,286)
Shares issued to service providers $ 100 (100)
Shares issued to service providers, shares 1,000,000        
Shares to be issued on conversion of convertible notes 1,632,000 1,632,000
Shares to be issued on conversion of convertible notes, shares 1,600,000        
Ending balance, value at Feb. 28, 2022 $ 16,796 27,312,453 (160,031) (27,497,353) (328,135)
Ending balance, shares at Feb. 28, 2022 169,559,219        
Beginning balance, value at Aug. 31, 2021 $ 15,795 23,470,641 (171,114) (23,001,067) 314,255
Beginning balance, shares at Aug. 31, 2021 157,949,219        
Ending balance, value at Aug. 31, 2022 $ 19,177 32,339,182 362,698 (34,921,164) (2,200,107)
Ending balance, shares at Aug. 31, 2022 191,770,825        
Beginning balance, value at Nov. 30, 2021 $ 16,211 24,970,454 (195,491) (25,119,954) (328,780)
Beginning balance, shares at Nov. 30, 2021 162,109,219        
Shares issued in private placement $ 485 484,515 485,000
Shares issued in private placement, shares 4,850,000        
Share compensation 225,584 225,584
Foreign currency translation adjustment 35,460 35,460
Net loss (2,377,399) (2,377,399)
Shares issued to service providers 100 (100)
Shares to be issued on conversion of convertible notes 1,632,000 1,632,000
Shares to be issued on conversion of convertible notes, shares 1,600,000        
Ending balance, value at Feb. 28, 2022 $ 16,796 27,312,453 (160,031) (27,497,353) (328,135)
Ending balance, shares at Feb. 28, 2022 169,559,219        
Beginning balance, value at Aug. 31, 2022 $ 19,177 32,339,182 362,698 (34,921,164) (2,200,107)
Beginning balance, shares at Aug. 31, 2022 191,770,825        
Shares issued in private placement $ 200 299,800 300,000
Shares issued in private placement, shares 2,000,000        
Shares issued to employees and consultants for stock award $ 670 (670)
Shares issued to employees and consultants for stock award, shares 6,700,000        
Share compensation 442,225 442,225
Foreign currency translation adjustment 52,781 52,781
Net loss (1,446,003) (1,446,003)
Ending balance, value at Feb. 28, 2023 $ 20,047 33,080,537 415,479 (36,367,167) (2,851,104)
Ending balance, shares at Feb. 28, 2023 200,470,825        
Beginning balance, value at Nov. 30, 2022 $ 20,047 32,811,645 495,071 (35,640,237) (2,313,474)
Beginning balance, shares at Nov. 30, 2022 200,470,825        
Share compensation 268,892 268,892
Foreign currency translation adjustment (79,592) (79,592)
Net loss (726,930) (726,930)
Ending balance, value at Feb. 28, 2023 $ 20,047 $ 33,080,537 $ 415,479 $ (36,367,167) $ (2,851,104)
Ending balance, shares at Feb. 28, 2023 200,470,825