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Non-controlling interest (Tables)
9 Months Ended
May 31, 2024
Notes and other explanatory information [abstract]  
Schedule of summarized financial information
                    
   Three months ended
May 31,
   Nine months ended
May 31,
 
Income Statement  2024   2023   2024   2023 
Revenue  $9,938   $9,317   $27,325   $29,133 
Depreciation   534    376    1,446    863 
Accretion expense   146    101    443    472 
Income tax expense   1,714    1,719    3,786    4,383 
Comprehensive income for the period   2,184    1,979    6,113    8,638 

 

 

         
Statement of Financial Position  May 31, 2024   August 31, 2023 
Current assets  $10,441   $11,238 
Non-current assets   73,702    64,762 
Current liabilities   (15,741)   (12,113)
Non-current liabilities   (8,228)   (5,301)
Advances from parent, net   (31,404)   (36,049)

 

           
   Nine months ended
May 31,
 
Statement of Cash Flows  2024   2023 
Cash provided by operating activities  $13,178   $17,785 
Cash used in investing activities   (8,760)   (15,170)
Cash used in financing activities   (4,807)   (1,128)