v3.26.3
Consolidated Statements of Cash Flow - USD ($)
12 Months Ended
Apr. 30, 2026
Apr. 30, 2025
CASH FLOW FROM OPERATING ACTIVITIES    
Net (loss)/income $ (17,560,520) $ 4,633,447
Adjustments to reconcile net (loss)/income to net cash used in operating activities    
Amortization expense on intangible assets 8,484,275 2,976,923
Depreciation of property and equipment 305,603
Depreciation of Right-of-use asset 159  
Interest expense on lease liability 30
Change in fair value of derivative liability 4
Shares and warrants issued for services 62,500
Loss on Financial Assets at FVTPL 427,818 330,480
Deferred income tax benefit (1,081,209)
Overprovision of income tax payable (3,283,634)
Impairment of intangible assets credit loss expense 7,532,712
Loss on write-off of investment 955,038
Impairment loss - amount due from related party 2,582,505
Impairment loss - other receivable 300,000
Changes in assets and liabilities, net of acquired amounts    
Accounts receivables (1,600,710) (12,115,974)
Other receivables 576,852
Prepayments and deposits (735,374) (586,668)
Digital assets (19,245,771)
Contract costs (3,826,935)
Account payable 4,992,442
Accrued expenses 849,714 2,308,127
Contract liabilities 4,401,800
Lease liabilities (30)  
Income taxes payable (4,930,236) 2,011,773
Total adjustments (3,294,951) (5,012,835)
Net cash used in operating activities (20,855,471) (379,388)
CASH FLOW FROM INVESTING ACTIVITIES    
Payment of increase in investment in subsidiary (36,000,000)
Payment of acquisition of investment in subsidiaries (128,122,025)  
Net cash used in investing activities (164,122,025)
CASH FLOW FROM FINANCING ACTIVITIES    
Proceeds from private placement 4,600,000
Proceeds from At-the-market transaction 172,554,514
Proceeds from exercise of warrants for cash 368
Proceeds from direct offering 14,773,528
Proceeds from issue of shares 5,774,550
Amount due from related party (330,480)
Amount due to related party 725,261
Net cash provided by financing activities 197,702,960 394,781
NET INCREASE IN CASH 12,725,464 15,393
CASH AND CASH EQUIVALENTS - BEGINNING OF YEAR 54,744 39,351
CASH AND CASH EQUIVALENTS - END OF YEAR $ 12,780,208 $ 54,744