Annual and transition report of foreign private issuers pursuant to Section 13 or 15(d)

Consolidated statements of changes in equity

v3.22.2
Consolidated statements of changes in equity - USD ($)
Total
Ordinary Shares
(Accumulated Loss)/Retained Earnings
Additional Paid-in Capital
Treasury Shares
Translation Reserve
Non-controlling Interests
Beginning balance at Feb. 29, 2020 $ 16,369,384 $ 5,000,100 $ 11,369,284        
Issuance of shares pursuant to reverse recapitalisation 174,078,230 3,158 (8,712,337) $ 182,787,409      
Warrant liabilities assumed pursuant to reverse recapitalisation (69,923,483)   (59,426,798) (10,496,685)      
Restructuring adjustment for acquisition of subsidiary corporation pursuant to reverse recapitalisation (4,994,938) (4,994,938)          
Total comprehensive income (loss)              
Profit (loss) for the year 45,252,712            
Total comprehensive income for the year 45,252,712            
Acquisition of treasury shares (14,276,718)       $ (14,276,718)    
Total transactions with owner (14,276,718)       (14,276,718)    
Ending balance at Feb. 28, 2021 146,505,187 8,320 (11,517,139) 172,290,724 (14,276,718)    
Total comprehensive income (loss)              
Profit (loss) for the year 33,423,529   33,427,019       $ (3,490)
Other comprehensive income for the year (282)         $ (282)  
Total comprehensive income for the year 33,423,247   33,427,019     (282) (3,490)
Acquisition of treasury shares (35,589,791)       (35,589,791)    
Total transactions with owner (35,589,791)       (35,589,791)    
Ending balance at Feb. 28, 2022 $ 144,338,643 $ 8,320 $ 21,909,880 $ 172,290,724 $ (49,866,509) $ (282) $ (3,490)