| Leases | Note 11 – Leases   
The following table presents the right-of-use asset and short-term and long-term lease liabilities amounts recorded on the consolidated balance sheets as of August 31, 2025 and November 30, 2024:   
        
         |  |  |  |  |  |  |  |  |  |  
         |   |   | August 31, 2025 |   |   | November 30,2024
 |   |  
         | Assets |   |   |   |   |   |   |  
         | Operating lease right-of-use asset |   | $ | 906,848 |   |   | $ | 806,339 |   |  
         | Liabilities |   |   |   |   |   |   |  
         | Current portion of operating lease liabilities |   | $ | 434,604 |   |   | $ | 428,334 |   |  
         | Operating lease long-term liabilities |   |   | 577,202 |   |   |   | 505,053 |   |  
         | Total lease liability |   | $ | 1,011,806 |   |   | $ | 933,387 |   |    
The maturity of the Company’s lease liabilities at August 31, 2025 were as follows:   
        
         |  |  |  |  |  |  
         |   |   | Future Operating |   |  
         | Fiscal Year Ending November 30, |   | Lease Payments |   |  
         | 2025 (3 months remaining) |   | $ | 125,350 |   |  
         | 2026 |   |   | 483,135 |   |  
         | 2027 |   |   | 457,513 |   |  
         | 2028 |   |   | 38,175 |   |  
         | Less: Imputed interest |   |   | (92,367 | ) |  
         | Present value of lease liabilities |   | $ | 1,011,806 |   |    
The remaining lease term and discount rates are as follows:   
        
         |  |  |  |  |  |  |  |  
         |   |   | August 31, 2025 |   | November 30,2024
 |   |  
         | Lease Term and Discount Rate |   |   |   |   |   |  
         | Remaining lease term (years) |   |   |   |   |   |  
         | Operating lease |   | 2.27 |   |   | 2.08 |   |  
         | Discount rate (percentage) |   |   |   |   |   |  
         | Operating lease |   | 7.5% |   |   | 8.3 | % |    
Supplemental cash flow information related to leases is as follows:   
        
         |  |  |  |  |  |  |  |  |  |  
         |   |   | Three months ended |   |  
         |   |   | August 31, 2025 |   |   | August 31, 2024 |   |  
         | Operating cash outflows from operating leases |   | $ | 127,245 |   |   | $ | 88,321 |   |  
         |   |   |   |   |   |   |   |  
         |   |   | Nine months ended |   |  
         |   |   | August 31, 2025 |   |   | August 31, 2024 |   |  
         | Operating cash outflows from operating leases |   | $ | 380,502 |   |   | $ | 266,418 |   |  |