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

Financial Risk Management - Summary of Accounting Classification and Carrying Amounts of Financial Instruments not Recognised at Fair Value (Details)

v3.22.2
Financial Risk Management - Summary of Accounting Classification and Carrying Amounts of Financial Instruments not Recognised at Fair Value (Details) - USD ($)
Feb. 28, 2022
Feb. 28, 2021
Disclosure Of Nature And Extent Of Risks Arising From Financial Instruments [Line Items]    
Financial assets, fair value through profit and loss $ 25,142,783  
Financial liabilities, fair value through profit and loss 4,106,462 $ 43,811,798
Financial assets at amortised cost 117,838,196 193,055,950
Financial liabilities at amortised cost 15,869,110 8,047,606
Financial assets, total carrying amount 142,980,979 193,055,950
Financial liabilities, total carrying amount 19,975,572 51,859,404
Trade Receivables    
Disclosure Of Nature And Extent Of Risks Arising From Financial Instruments [Line Items]    
Financial assets at amortised cost 43,850,652 22,853,115
Financial assets, total carrying amount 43,850,652 22,853,115
Loans Receivables    
Disclosure Of Nature And Extent Of Risks Arising From Financial Instruments [Line Items]    
Financial assets at amortised cost 4,655,371  
Financial assets, total carrying amount 4,655,371  
Other Assets    
Disclosure Of Nature And Extent Of Risks Arising From Financial Instruments [Line Items]    
Financial assets at amortised cost 523,116 490,631
Financial assets, total carrying amount 523,116 490,631
Cash and Cash Equivalents    
Disclosure Of Nature And Extent Of Risks Arising From Financial Instruments [Line Items]    
Financial assets at amortised cost 68,809,057 134,025,561
Financial assets, total carrying amount 68,809,057 134,025,561
Other Investments    
Disclosure Of Nature And Extent Of Risks Arising From Financial Instruments [Line Items]    
Financial assets, fair value through profit and loss 25,142,783  
Financial assets, total carrying amount 25,142,783  
Restricted Cash    
Disclosure Of Nature And Extent Of Risks Arising From Financial Instruments [Line Items]    
Financial assets at amortised cost   35,686,643
Financial assets, total carrying amount   35,686,643
Other Payables    
Disclosure Of Nature And Extent Of Risks Arising From Financial Instruments [Line Items]    
Financial liabilities, fair value through profit and loss 1,067,321  
Financial liabilities at amortised cost 14,330,302 6,918,641
Financial liabilities, total carrying amount 15,397,623 6,918,641
Warrant Liabilities    
Disclosure Of Nature And Extent Of Risks Arising From Financial Instruments [Line Items]    
Financial liabilities, fair value through profit and loss 3,039,141 43,811,798
Financial liabilities, total carrying amount 3,039,141 43,811,798
Lease Liabilities    
Disclosure Of Nature And Extent Of Risks Arising From Financial Instruments [Line Items]    
Financial liabilities at amortised cost 1,538,808 1,128,965
Financial liabilities, total carrying amount $ 1,538,808 $ 1,128,965