v3.25.4
CONDENSED CONSOLIDATED INTERIM STATEMENTS OF CHANGES IN SHAREHOLDERS' DEFICIENCY - USD ($)
3 Months Ended 6 Months Ended
Jan. 31, 2026
Jan. 31, 2025
Jan. 31, 2026
Jan. 31, 2025
Number of Shares [Member]        
Beginning balance (in Shares) 3,841,642 1,176,887 3,541,668 1,163,871
Cancellation of shares (in Shares)     (26)  
Shares issued for warrant exercises (in Shares)       9,176
Conversion of mandatory convertible debentures (in Shares)       2,244
Shares for settlement of debt (in Shares)   341,299   342,895
Shares issued in connection with RTO (in Shares)   515,920   515,920
Shares issued for acquisition of associate (in Shares)   200,000   200,000
Shares issued for PIPE financing (in Shares) 128,370 169,480 128,370 169,480
Shares issued for ELOC drawdown (in Shares) 911,000   1,211,000  
Shares issued for carbon credit purchases (in Shares)   324,987   324,987
Shares issued for ELOC commitment (in Shares)   50,000   50,000
Shares issued for services (in Shares)   55,729   55,729
Ending balance (in Shares) 4,881,012 2,834,302 4,881,012 2,834,302
Additional Paid-in Capital [Member]        
Beginning balance $ 14,956,881 $ 13,561,064 $ 14,174,914 $ 13,321,266
Cancellation of shares     0  
Share based compensation - RSUs 37,869 119,362 79,764 245,705
Share based compensation - Options 18,437 (33,702) 36,874 47,191
Warrants reclassified to liabilities on change in functional currency       (454,571)
Stock options reclassified to liabilities on RTO   (330,090)   (330,090)
Conversion option derivative transferred to equity   266,000   266,000
Gain on modification of debt with related parties   582,167   582,167
Recapitalization on RTO   (23,548,887)   (23,548,887)
Shares issued for warrant exercises       389,729
Conversion of mandatory convertible debentures       49,500
Shares for settlement of debt   10,841,008   10,888,912
Shares issued in connection with RTO   3,147,117   3,147,117
Shares issued for acquisition of associate   1,220,000   1,220,000
Shares issued for PIPE financing 2,000,004 2,250,000 2,000,004 2,250,000
Shares issued for ELOC drawdown 1,451,338   2,207,938  
Amortization of deferred financing costs (34,965)   (69,930)  
Shares issued for carbon credit purchases   1,982,424   1,982,424
Shares issued for ELOC commitment   305,000   305,000
Shares issued for services   585,155   585,155
Foreign currency translation 0 0 0 0
Net loss 0 0 0 0
Ending balance 18,429,564 10,946,618 18,429,564 10,946,618
Subscriptions Receivables [Member]        
Beginning balance (20,000) 0 (20,000) 0
Cancellation of shares     0  
Share based compensation - RSUs 0 0 0 0
Share based compensation - Options 0 0 0 0
Warrants reclassified to liabilities on change in functional currency       0
Stock options reclassified to liabilities on RTO   0   0
Conversion option derivative transferred to equity   0   0
Gain on modification of debt with related parties   0   0
Recapitalization on RTO   0   0
Shares issued for warrant exercises       0
Conversion of mandatory convertible debentures       0
Shares for settlement of debt   0   0
Shares issued in connection with RTO   0   0
Shares issued for acquisition of associate   0   0
Shares issued for PIPE financing 0 0 0 0
Shares issued for ELOC drawdown 0   0  
Amortization of deferred financing costs 0   0  
Shares issued for carbon credit purchases   0   0
Shares issued for ELOC commitment   0   0
Shares issued for services   0   0
Foreign currency translation 0 0 0 0
Net loss 0 0 0 0
Ending balance (20,000) 0 (20,000) 0
Accumulated Deficit [Member]        
Beginning balance (34,315,006) (25,782,663) (33,793,460) (21,726,229)
Cancellation of shares     0  
Share based compensation - RSUs 0 0 0 0
Share based compensation - Options 0 0 0 0
Warrants reclassified to liabilities on change in functional currency       0
Stock options reclassified to liabilities on RTO   0   0
Conversion option derivative transferred to equity   0   0
Gain on modification of debt with related parties   0   0
Recapitalization on RTO   0   0
Shares issued for warrant exercises       0
Conversion of mandatory convertible debentures       0
Shares for settlement of debt   0   0
Shares issued in connection with RTO   0   0
Shares issued for acquisition of associate   0   0
Shares issued for PIPE financing 0 0 0 0
Shares issued for ELOC drawdown 0   0  
Amortization of deferred financing costs 0   0  
Shares issued for carbon credit purchases   0   0
Shares issued for ELOC commitment   0   0
Shares issued for services   0   0
Foreign currency translation 0 0 0 0
Net loss (3,414,563) (4,557,626) (3,936,109) (8,614,060)
Ending balance (37,729,569) (30,340,289) (37,729,569) (30,340,289)
Accumulated Other Comprehensive Income (Loss) [Member]        
Beginning balance 45,097 45,048 45,001 43,553
Cancellation of shares     0  
Share based compensation - RSUs 0 0 0 0
Share based compensation - Options 0 0 0 0
Warrants reclassified to liabilities on change in functional currency       0
Stock options reclassified to liabilities on RTO   0   0
Conversion option derivative transferred to equity   0   0
Gain on modification of debt with related parties   0   0
Recapitalization on RTO   0   0
Shares issued for warrant exercises       0
Conversion of mandatory convertible debentures       0
Shares for settlement of debt   0   0
Shares issued in connection with RTO   0   0
Shares issued for acquisition of associate   0   0
Shares issued for PIPE financing 0 0 0 0
Shares issued for ELOC drawdown 0   0  
Amortization of deferred financing costs 0   0  
Shares issued for carbon credit purchases   0   0
Shares issued for ELOC commitment   0   0
Shares issued for services   0   0
Foreign currency translation (224) 313 (128) 1,808
Net loss 0 0 0 0
Ending balance 44,873 45,361 44,873 45,361
Beginning balance (19,333,028) (12,176,551) (19,593,545) (8,361,410)
Cancellation of shares     0  
Share based compensation - RSUs 37,869 119,362 79,764 245,705
Share based compensation - Options 18,437 (33,702) 36,874 47,191
Warrants reclassified to liabilities on change in functional currency       (454,571)
Stock options reclassified to liabilities on RTO   (330,090)   (330,090)
Conversion option derivative transferred to equity   266,000   266,000
Gain on modification of debt with related parties   582,167   582,167
Recapitalization on RTO   (23,548,887)   (23,548,887)
Shares issued for warrant exercises       389,729
Conversion of mandatory convertible debentures       49,500
Shares for settlement of debt   10,841,008   10,888,912
Shares issued in connection with RTO   3,147,117   3,147,117
Shares issued for acquisition of associate   1,220,000   1,220,000
Shares issued for PIPE financing 2,000,004 2,250,000 2,000,004 2,250,000
Shares issued for ELOC drawdown 1,451,338   2,207,938  
Amortization of deferred financing costs (34,965)   (69,930)  
Shares issued for carbon credit purchases   1,982,424   1,982,424
Shares issued for ELOC commitment   305,000   305,000
Shares issued for services   585,155   585,155
Foreign currency translation (224) 313 (128) 1,808
Net loss (3,414,563) (4,557,626) (3,936,109) (8,614,060)
Ending balance $ (19,275,132) $ (19,348,310) $ (19,275,132) $ (19,348,310)