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

Reconciliation of movements of liabilities to cash flows arising from financing activities

v3.22.0.1
Reconciliation of movements of liabilities to cash flows arising from financing activities - USD ($)
12 Months Ended
Feb. 28, 2021
Feb. 29, 2020
Supplemental Cash Flows Information Abstract    
Beginning balance   $ 5,010,000
Changes from financing cash flow    
Repayments of loans to third parties   (5,010,000)
Lease payment $ (100,411)  
Interest paid (24,756)  
Total changes from financing cash flow (125,167) (5,010,000)
Other changes    
New leases 1,254,132  
Total other changes 1,254,132  
Ending balance 1,128,965  
Short Term Loans    
Supplemental Cash Flows Information Abstract    
Beginning balance   5,010,000
Changes from financing cash flow    
Repayments of loans to third parties   (5,010,000)
Total changes from financing cash flow   $ (5,010,000)
Lease Liabilities    
Changes from financing cash flow    
Lease payment (100,411)  
Interest paid (24,756)  
Total changes from financing cash flow (125,167)  
Other changes    
New leases 1,254,132  
Total other changes 1,254,132  
Ending balance $ 1,128,965