v3.26.3
Acquisitions and dispositions (Tables)
12 Months Ended
Jul. 31, 2026
Acquisitions and dispositions  
Schedule of funding of acquisitions

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For the year ended July 31, 

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2025

  ​ ​ ​

2024

Cash payments, net of cash acquired

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$

3,756

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$

16,499

Issuance of liabilities and other costs and considerations

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635

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1,585

Aggregate fair value of transactions

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$

4,391

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$

18,084

Schedule of aggregate fair value of transaction

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For the year ended July 31, 

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2025

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2024

Customer tanks, buildings, land and other

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$

2,024

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$

3,263

Goodwill

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149

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—

Customer lists

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1,828

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14,564

Non-compete agreements

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390

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257

Aggregate fair value of net assets acquired

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$

4,391

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$

18,084