The
Company’s revenues were concentrated among five customers for the three months ended May 31, 2022, and 2021:
Schedules
of Concentration of Risk, by Risk Factor
|
Customer | |
Three
Months Ended May 31, 2022 |
Concentration Risk |
1 | |
23% |
Concentration Risk |
2 | |
14% |
Concentration Risk |
3 | |
13% |
Concentration Risk |
4 | |
12% |
Concentration Risk |
5 | |
9% |
The
accompanying notes are an integral part of these unaudited consolidated financial statements.
|
Customer | |
Three
Months Ended May 31, 2021 |
Concentration Risk |
1 | |
34% |
Concentration Risk |
2 | |
13% |
Concentration Risk |
3 | |
10% |
Concentration Risk |
4 | |
8% |
Concentration Risk |
5 | |
8% |
The
Company’s receivables were concentrated among four customers as at May 31, 2022, and February 28, 2022:
|
Customer | |
May
31, 2022 |
Concentration Risk |
1 | |
21% |
Concentration Risk |
2 | |
20% |
Concentration Risk |
3 | |
12% |
Concentration Risk |
4 | |
8% |
|
Customer | |
February
28, 2022 |
Concentration Risk |
1 | |
22% |
Concentration Risk |
2 | |
15% |
Concentration Risk |
3 | |
15% |
Concentration Risk |
4 | |
10% |
|