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CASH FLOW INFORMATION (Tables)
12 Months Ended
Jul. 31, 2024
Supplemental Cash Flow Elements [Abstract]  
Schedule of cash and cash equivalents and restricted cash
           
   July 31 
   2024   2023 
Cash and cash equivalents  $1,243,977   $1,215,921 
Restricted cash, tenant security deposits   938,580    898,791 
Restricted cash, escrow   71,784    71,763 
Restricted cash, other   31,260    31,260 
   $2,285,601   $2,217,735 
Schedule of supplemental disclosure
           
   July 31, 
   2024   2023 
Cash Flow Information          
Interest paid, net of capitalized interest of $85,610 (2024), and $47,472 (2023)  $141,975   $234,596 
Income tax (refunded)        
           
Non-cash information          
Recognition of operating lease right-of-use assets      $ 1,201,952 
Recognition of operating lease liabilities       1,201,952