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Commitments and Contingencies (Tables)
6 Months Ended
Nov. 30, 2025
Commitments and Contingencies Disclosure [Abstract]  
Schedule of supplemental balance sheet information
          
Assets  November 30, 2025   May 31, 2025 
Right of use assets  $729,324   $861,294 
Accumulated reduction   (262,504)   (282,173)
Operating lease assets, net  $466,820   $579,121 
           
Liabilities          
Lease liabilities  $729,324   $861,294 
Accumulated reduction   (224,945)   (244,082)
Total lease liabilities, net   504,379    617,212 
Current portion   (203,367)   (212,543)
Non-current portion  $301,012   $404,669 
Schedule of maturities of operating lease liabilities
     
Operating Lease (fiscal year-end)     
      
2026 (six months remaining)  $119,722 
2027   257,647 
2028   206,270 
2029   119,790 
Total  $703,429 
Less: Imputed interest   (199,050)
Present value of lease liabilities  $504,379