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Cash Flow Information (Tables)
9 Months Ended
Apr. 30, 2024
Supplemental Cash Flow Elements [Abstract]  
Schedule of cash and cash equivalents and restricted cash
           
    April 30  
    2024     2023  
Cash and cash equivalents   $ 1,171,121     $ 2,359,860  
Restricted cash, tenant security deposits     937,738       886,692  
Restricted cash, escrow     71,763       71,742  
Restricted cash, other     31,260       31,260  
    $ 2,211,882     $ 3,349,554  
Schedule of supplemental disclosure
           
Supplemental disclosure:   Nine Months Ended
April 30
 
    2024     2023  
Cash Flow Information                
Interest paid, net of capitalized interest of $66,831 (2024) and $35,345 (2023)   $ 109,663     $ 182,140  
Income taxes paid (refunded)            
                 
Non-cash information                
Recognition of operating lease right-of-use assets   $     $ 1,201,952  
Recognition of operating lease liabilities           1,201,952