Quarterly report pursuant to Section 13 or 15(d)

Convertible Debentures (Tables)

v3.21.4
Convertible Debentures (Tables)
3 Months Ended
Nov. 30, 2021
Convertible Debentures Disclosure [Abstract]  
Schedule of convertible debentures
              Principal
due
    Principal
due
 
Lender   Maturity Date   Interest
Rate
    November 30,
2021
    August 31,
2021
 
Calvary Fund I LP   July 31, 2021     12.00 %   $ 80,000     $ 80,000  
    August 7, 2021     0 %     25,000       25,000  
Cantone Asset Management LLC   December 17, 2021     7.00 %     240,000       240,000  
    December 30, 2021     18.00 %     50,000       50,000  
    July 1, 2023     8.00 %     300,000       300,000  
Private lender   October 29, 2020     10.00 %     200,000       200,000  
Petroleum Capital Funding LP.   November 26, 2023     10.00 %     318,000       318,000  
    December 4, 2023     10.00 %     432,000       432,000  
    March 30, 2024     10.00 %     471,000       471,000  
    July 21, 2025     10.00 %     3,000,000       3,000,000  
Power Up Lending Group LTD   April 21, 2022     12.00 %    
-
      92,125  
    May 20, 2022     12.00 %    
-
      141,625  
    July 2, 2022     12.00 %    
-
      114,125  
EMA Financial, LLC   April 22, 2021     8.00 %     3,120       3,120  
Morison Management S.A   October 15, 2020     10.00 %     184,251       184,251  
    January 16, 2021     10.00 %     55,000       55,000  
    April 21, 2022     12.00 %     92,125      
-
 
    May 20, 2022     12.00 %     141,625      
-
 
    July 2, 2022     12.00 %     114,125      
-
 
Bellridge Capital LP.   March 31, 2021     15.00 %    
-
      2,900,000  
    September 30, 2021     5.00 %    
-
      1,400,000  
Private lender   July 24, 2022     8.00 %     120,000       120,000  
                  5,826,246       10,126,246  
Unamortized debt discount                 (3,603,656 )     (3,978,710 )
Total loans               $ 2,222,590     $ 6,147,536  

 

Schedule of maturity date of the convertible debentures
    November 30,
2021
    August 31,
2021
 
Principal classified as repayable within one year   $ 1,023,371     $ 5,255,874  
Principal classified as repayable later than one year     1,199,219       891,662  
                 
    $ 2,222,590     $ 6,147,536