v3.25.3
Mortgage Payable (Tables)
3 Months Ended
Oct. 31, 2025
Debt Disclosure [Abstract]  
Schedule of mortgage payable
               
   Current
Annual
Interest
Rate
   Final
Payment
Date
  October 31,
2025
   July 31,
2025
 
Fishkill building  3.98%  4/1/2040  $3,195,029   $3,235,561 
Schedule of long-term mortgages outstanding
    
Fiscal Year:  Amount 
*For the remainder of 2026  $124,038 
2027   171,241 
2028   178,182 
2029   185,404 
2030   192,920 
After 2030   2,343,244 
Total  $ 3,195,029 
*Contractual payments do not include balloon payment disclosed above. As of December 8, 2025, the bank has not communicated any intent to accelerate repayment.
Schedule of interest expense, net of capitalized interest
          
   Three Months Ended
October 31
 
   2025   2024 
Interest expense  $(32,029)  $(45,902)
Capitalized interest   32,029    21,425 
Interest expense, net of capitalized interest  $   $(24,477)