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Interim Statement Presentation (Details Narrative) - USD ($)
6 Months Ended
Feb. 29, 2024
Aug. 31, 2023
Schedule of Investments [Line Items]    
Cash held in investments $ 1,199,165 $ 492,610
Short term investment description Time Deposits pay the interest earned at the time of maturity or redemption. During the six months ended February 29, 2024, $4,900,000 of time deposits matured and $600,000 was redeemed. During the three and six months ended February 29, 2024, the Company received $264,246 and $270,161, respectively, of earned interest on the time deposits originally purchased in February 2023. On February 28, 2024, the Company purchased new time deposits, which consist of a 12-month $2,500,000 fixed-term deposit earning interest of 5.2%, a 12-month $500,000 fixed-term deposit earning interest of 4.50% and a 6-month $1,000,000 fixed-term deposit earning interest of 5.10%.  
US Investments [Member]    
Schedule of Investments [Line Items]    
Cash held in investments $ 5,199,165  
FDIC insured amount 100,268  
Canadian Bank [Member]    
Schedule of Investments [Line Items]    
Cash held in investments 5,098,897  
FDIC insured amount $ 5,025,205