Quarterly report pursuant to Section 13 or 15(d)

Convertible Debentures (Tables)

v3.21.2
Convertible Debentures (Tables)
6 Months Ended
Feb. 29, 2020
Debt Disclosure [Abstract]  
Schedule of convertible debentures
              Principal
due
    Principal
due
 
Lender   Maturity Date   Interest
Rate
    February 29,
2020
    August 31,
2019
 
                       
GS Capital Partners   January 15, 2020     10.00 %   $ 143,750     $ 143,750  
Calvary Fund I LP   September 4, 2019     10.00 %     -       250,000  
Calvary Fund I LP   October 12, 2020     10.00 %     220,000       250,000  
SBI Investments LLC   October 15, 2020     10.00 %     250,000       250,000  
Bay Private Equity, Inc.   January 15, 2020     5.00 %     2,900,000       2,900,000  
Bay Private Equity, Inc.   January 15, 2020     5.00 %     2,400,000       2,400,000  
Cantone Asset Management LLC   October 19, 2020     7.00 %     300,000       300,000  
Calvary Fund I LP   August 29, 2020     3.30 %     480,000       480,000  
Cantone Asset Management LLC   December 17, 2020     7.00 %     240,000       -  
Cantone Asset Management LLC   January 14, 2021     7.00 %     240,000       -  
Private lender   October 29, 2020     10.00 %     200,000       -  
Petroleum Capital Funding LP   November 26, 2020     10.00 %     318,000       -  
Power Up Lending Group, Ltd.   October 11, 2020     12.00 %     158,000       -  
Power Up Lending Group, Ltd.   December 17, 2020     12.00 %     81,000       -  
Petroleum Capital Funding LP   December 4, 2023     10.00 %     432,000       -  
EMA Financial LLC   August 21, 2020     8.00 %     150,000       -  
Crown Bridge Partners, LLC   January 20, 2021     10.00 %     42,500       -  
SBI Investments LLC   January 16, 2021     10.00 %     55,000       -  
Petroleum Capital Funding LP   March 30, 2024     10.00 %     471,000       -  
                             
                  9,081,250       6,973,750  
Unamortized debt discount                 (1,327,276 )     (644,281 )
Total loans               $ 7,753,974     $ 6,329,469  
Schedule of classified as repayable convertible debentures
    February 29,
2020
    August 31,
2019
 
             
Principal classified as repayable within one year   $ 7,140,924     $ 6,188,872  
Principal classified as repayable later than one year     613,050       140,597  
                 
    $ 7,753,974     $ 6,329,469