v3.26.1
Consolidated Statements of Stockholders' Deficit - USD ($)
Series B & C Redeemable Preferred Stock [Member]
Temporary Equity [Member]
Series E Preferred Stock [Member]
Preferred Stock [Member]
Series F Preferred Stock [Member]
Preferred Stock [Member]
Common Stock [Member]
Additional Paid-in Capital [Member]
Retained Earnings [Member]
Total
Beginning balance, value at Feb. 29, 2024 $ 3,350 $ 101,619 $ 924 $ 92,656,977 $ (132,962,427) $ (40,199,557)
Balance, shares at Feb. 29, 2024 3,350,000 2,533 92,387,510      
Cumulative Effect Adjustment RFV discount per adoption of ASU 2020-06 at March 1, 2024 (4,175,535) (4,175,535)
Issuance of shares, net of issuance costs $ 498 13,120,181 13,120,679
Issuance of shares, net of issuance costs, shares       49,796,369      
Debt exchanged for common stock $ 19 561,981 562,000
Debt exchanged for common stock, shares       1,940,659      
Series F Preferred Shares exchanged for debt $ (20) (65,793) (334,187) (400,000)
Series F Preferred Shares exchanged for debt, shares     (20)        
Issuance of Series B Preferred Shares $ 360,000 (82,000) (82,000)
Issuance of Series B Preferred Shares,shares 300            
Series B Preferred Shares issued as commitment fee $ 24,000 (24,000) (24,000)
Series B Preferred Shares issued as commitment fee, shares 20            
Series B Preferred shares issued as dividend $ 5,188 (5,188) (5,188)
Series B Preferred shares issued as dividend,shares 4            
Redemption of Series B Preferred shares $ (389,188) 89,189 (89,189)
Redemption of Series B Preferred shares,shares (324)            
Issuance of Series C Preferred Shares $ 402,084 (123,504) (123,504)
Issuance of Series C Preferred Shares,shares 306            
Stock based compensation 331,685 331,685
Net loss (18,935,592) (18,935,592)
Ending balance, value at Feb. 28, 2025 $ 402,084 $ 3,350 $ 101,599 $ 1,441 106,459,528 (156,496,930) (49,931,012)
Balance, shares at Feb. 28, 2025 306 3,350,000 2,513 144,124,538      
Issuance of shares, net of issuance costs $ 504 4,800,680 $ 4,801,184
Issuance of shares, net of issuance costs, shares       50,403,802     50,403,802
Debt exchanged for common stock $ 714 6,383,286 $ 6,384,000
Debt exchanged for common stock, shares       71,350,000      
Stock based compensation 315,849 315,849
Net loss (14,510,251) (14,510,251)
Conversion of Series C Preferred shares $ (111,690) $ 20 196,360 (84,690) 111,690
Conversion of Series C Preferred shares, shares (85)     1,994,464      
Cash redemption of Series C shares $ (125,000) 29,871 (29,871)
Cash redemption of Series C shares, shares (95)            
Series C Preferred shares issued as dividend $ 58,100 (58,100) (58,100)
Series C Preferred shares issued as dividend, shares 44            
Penalty on failure to redeem Series C Preferred shares $ 149,307 (149,307) (149,307)
Penalty on failure to redeem Series C Preferred shares, shares 114            
Penalty on failure to convert Series C Preferred shares $ 175,140 (175,140) (175,140)
Penalty on failure to convert Series C Preferred shares, shares 133            
Ending balance, value at Feb. 28, 2026 $ 547,941 $ 3,350 $ 101,599 $ 2,679 $ 117,803,027 $ (171,121,742) $ (53,211,087)
Balance, shares at Feb. 28, 2026 417 3,350,000 2,513 267,872,804