v3.26.1
Supplemental Cash Flow Disclosure (Tables)
12 Months Ended
Mar. 31, 2026
Supplemental Disclosure Respect to Cash Flows [Abstract]  
Disclosure of cash flow statement [Table Text Block]
    For the Years Ended  
    March 31, 2026     March 31, 2025     March 31, 2024  
Non-cash investing and financing transactions:                  
Right of use asset acquired $ -   $ 2,802,265   $ 69,129  
Accretion income on promissory note receivable $ -   $ -   $ 1,696  
Accretion expense on related party note payable $ 575,923   $ 494,084   $ -  
Assets transferred from Property and equipment to Inventory $ -   $ 593,320   $ -  
Assets transferred from Inventory to Property and equipment $ -   $ -   $ 874,278