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CONSOLIDATED STATEMENTS OF STOCKHOLDERS’ EQUITY - USD ($)
Series D Preferred Stock [Member]
Common Stock
Additional Paid-In Capital
Accumulated Deficit
Accumulated Other Comprehensive Income
Total
Beginning Balance, Shares at Sep. 30, 2013 468 9,805,503        
Beginning balance, Amount at Sep. 30, 2013 $ 1 $ 981 $ 290,391,697 $ (266,429,337) $ 23,963,342
Conversion of Series D Preferred stock, Shares (207) 16,907        
Conversion of Series D Preferred stock, Amount $ 1 (1)
Acquisitions of subsidiaries, Shares 236,469        
Acquisitions of subsidiaries, Amount $ 24 4,499,976 $ 4,500,000
Services, Shares   15,343       15,343
Services, Amount $ 1 243,016 $ 243,017
Exercise of options and warrants, Shares 10,646        
Exercise of options and warrants, Amount $ 1 7,999 8,000
Dividends from Series D Preferred stock, Shares 1,252        
Dividends from Series D Preferred stock, Amount $ 1 24,012 24,012
Board of director fees, Shares 7,010        
Board of director fees, Amount $ 1 $ 127,499 $ 127,500
Cash, Shares        
Cash, Amount
Vesting of stock options $ 254,487 $ 254,487
Stock offering costs (34,735) (34,735)
Series D Preferred dividends $ (14,585) $ (14,585)
Cash paid for repurchase of Series D Preferred Stock warrants, Shares $ (261)        
Cash paid for repurchase of Series D Preferred Stock warrants, Amount (1) (312,008) (312,009)
Issuance of common stock warrants for Board of Director fees $ 176,816 $ 176,816
Foreign currency translation adjustments $ (271,954) (271,954)
Net Loss $ (8,747,844) (8,747,844)
Ending Balance, Shares at Sep. 30, 2014 10,093,130        
Ending Balance, Amount at Sep. 30, 2014 $ 0 $ 1,009 $ 295,364,173 $ (275,177,181) $ (271,954) 19,916,047
Acquisitions of subsidiaries, Shares 98,777        
Acquisitions of subsidiaries, Amount $ 10 1,148,731 $ 1,148,741
Services, Shares   28,753       28,753
Services, Amount $ 3 306,574 $ 306,577
Board of director fees, Shares 40,628        
Board of director fees, Amount $ 4 438,413 438,417
Vesting of stock options $ 258,731 $ 258,731
Cash paid for repurchase of Series D Preferred Stock warrants, Shares        
Cash paid for repurchase of Series D Preferred Stock warrants, Amount (10,500) (10,500)
Issuance of common stock warrants for Board of Director fees $ 84,912 $ 84,912
Foreign currency translation adjustments $ (2,106,111) (2,106,111)
Net Loss $ (5,668,701) (5,668,701)
Ending Balance, Shares at Sep. 30, 2015 10,261,288        
Ending Balance, Amount at Sep. 30, 2015 $ 1,026 $ 297,591,034 $ (280,845,882) $ (2,378,065) $ 14,368,113