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Cash Flow Information
3 Months Ended
Oct. 31, 2024
Supplemental Cash Flow Elements [Abstract]  
Cash Flow Information

8. Cash Flow Information:

For purposes of reporting cash flows, the Company considers cash equivalents to consist of short-term highly liquid investments with maturities of three months or less, which are readily convertible into cash. The following is a reconciliation of the Company’s cash and cash equivalents and restricted cash to the total presented on the consolidated statement of cash flows:

 Schedule of cash and cash equivalents and restricted cash            
   October 31 
   2024   2023 
Cash and cash equivalents  $2,316,114   $2,339,016 
Restricted cash, tenant security deposits   904,174    898,791 
Restricted cash, other   71,785    103,023 
   $3,292,073   $3,340,830 

Amounts in restricted cash primarily consist of cash held in bank accounts for tenant security deposits, amounts set aside in accordance with certain loan agreements, and security deposits with landlords.

Schedule of supplemental disclosure            
Supplemental disclosure:  Three Months Ended 
   October 31 
   2024   2023 
Cash Flow Information          
Interest paid, net of capitalized interest of $21,425 (2024) and $20,463 (2023)  $25,725   $42,519