v3.26.3
FAIR VALUE OF FINANCIAL INSTRUMENTS (Tables)
12 Months Ended
May 31, 2026
Fair Value Disclosures [Abstract]  
Schedule of fair value on a recurring basis in the balance sheets
             
   Fair Value Measurements at May 31, 2025 
   Level 1   Level 2   Level 3 
Assets            
Cash  $693,290   $   $ 
Total assets   693,290         
Liabilities               
Convertible notes payable, related party           10,500,000 
Total liabilities           10,500,000 
Total   $693,290   $   $(10,500,000)