v3.25.4
Statement of Cash Flow (Unaudited)
6 Months Ended
Sep. 30, 2025
USD ($)
March G L [Member]  
Cash flows from operating activities  
 Net income (loss) $ (3,091,094)
Changes in assets and liabilities  
Prepaid shipping expenses (1,194,883)
Prepaid expenses (7,884)
Deposits on equipment (150,000)
Accounts payable 525,557
Due to shareholder 3,632
Net cash used in operating activities (3,914,672)
Cash flows from financing activities  
Issuance of 1,500,000 common shares, no par value 4,051,620
Change in subscriptions receivable (25,000)
Net cash provided by financing activities 4,026,620
Net Change in Cash 111,948
Cash – beginning of the period
Cash – end of the period $ 111,948