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CONSOLIDATED STATEMENTS OF CASH FLOWS SUPPLEMENTAL (USD $)
9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
Supplemental disclosures of non-cash investing activities and future operating activities:  
Convertible debenture issued for prepaid inventory$ 76,000$ 0
Discounts on convertble debentures527,3020
Stock issued for prepaid equity based compensation20,000279,000
Stock and additional paid-in capital for purchase of intellectual property0148,500
Preferred stock issued for forgiveness of note-payable - related party42,5000
Stock issued for prepaid inventory38,0000
Write-off of fully depreciated fixed asset sold20,9380
Convertible debenture converted to stock29,5000
Repayment of short term loan5000
Issuance of stock in consideration of personal guarantees1,000,0000
Conversion of loan payable for stock and warrants (excluding interest of $181,446)0180,000
Conversion of note payable- current portion and related accrued interest to convertible debenture (excluding interest of $17,025)$ 39,724