v3.26.1
Cash Flow Information (Tables)
9 Months Ended
Apr. 30, 2026
Supplemental Cash Flow Elements [Abstract]  
Schedule of cash and cash equivalents and restricted cash
        
   April 30 
   2026   2025 
Cash and cash equivalents  $2,110,713   $2,278,824 
Restricted cash, tenant security deposits   959,046    944,694 
Restricted cash, other   71,806    71,785 
   $3,141,565   $3,295,303 
Schedule of supplemental disclosure
   Nine Months Ended 
   April 30 
   2026   2025 
Cash Flow Information        
Interest paid  $99,522   $85,897 
Income tax paid (refunded)        
           
Non-cash information          
Recognition of operating lease right-of-use assets  $1,575,690     
Recognition of operating lease liabilities  $1,575,690