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Consolidated Statements of Stockholders' Deficit (Unaudited) (USD $)
Common Stock
Capital in Excess of Par Value
Subscription Receivable
Deficit Accumulated During Development Stage
Total
Beginning Balance, Amount at Aug. 31, 2007 $ 50 $ 999,950    $ (602,659) $ 397,341
Beginning Balance, Shares at Aug. 31, 2007 4,980,460        
Issuance of options and warrants issued for services rendered    3,686,768       3,686,768
Common stock issued for $10.00 per share in January 2008, Amount 1 1,349,999       1,350,000
Common stock issued for $10.00 per share in January 2008, Shares 135,000        
Offering costs on issuance of common stock    (91,401)       (91,401)
Issuance of common stock for services rendered, Amount 1 1,849,999       1,850,000
Issuance of common stock for services rendered, Shares 100,000        
Issuance of common stock as consideration for debt financing, Amount    144,600 (6,400)    138,200
Issuance of common stock as consideration for debt financing, Shares 16,600        
Net loss          (7,830,062) (7,830,062)
Ending Balance, Amount at Aug. 31, 2008 52 7,939,915 (6,400) (8,432,721) (499,154)
Ending Balance,Shares at Aug. 31, 2008 5,232,060        
Common stock and warrants issued for $1.50 per unit in October 2008, Amount 1 149,999       150,000
Common stock and warrants issued for $1.50 per unit in October 2008, Shares 100,000        
Common stock issued for services rendered in October 2008, Amount    63,000       63,000
Common stock issued for services rendered in October 2008, Shares 30,000        
Common stock issued for services in November 2008, Amount    14,000       14,000
Common stock issued for services in November 2008, Shares 5,000        
Common stock issued in consideration of debt financing - Sept - April 2009, Amount 1 174,999       175,000
Common stock issued in consideration of debt financing - Sept - April 2009, Shares 71,940        
Common stock issued for $2.00 per share in May 2009, Amount 1 149,999       150,000
Common stock issued for $2.00 per share in May 2009, Shares 75,000        
Discount on notes payable net of amortization    1,593,729       1,593,729
Interest and stock based compensation    133,141 6,400    139,541
Net loss          (2,983,660) (2,983,660)
Ending Balance, Amount at Aug. 31, 2009 55 10,218,782    (11,416,381) (1,197,544)
Ending Balance,Shares at Aug. 31, 2009 5,514,000        
Issuance of common stock upon conversion of convertible debt, Amount 175 1,749,825       1,750,000
Issuance of common stock upon conversion of convertible debt, Shares 17,500,000        
Sale of common stock, Amount 10 349,990       350,000
Sale of common stock, Shares 1,000,002        
Issuance of common stock as consideration for payment of accounts payable, Amount 2 96,201       96,203
Issuance of common stock as consideration for payment of accounts payable, Shares 202,000        
Net loss       (3,089,142) (3,089,142)
Ending Balance, Amount at Aug. 31, 2010 242 12,414,798    (14,505,523) (2,090,483)
Ending Balance,Shares at Aug. 31, 2010 24,216,002        
Issuance of common stock upon conversion of convertible debt, Amount 111 897,232       897,343
Issuance of common stock upon conversion of convertible debt, Shares 11,090,625        
Sale of common stock, Amount 34 353,465       353,499
Sale of common stock, Shares 3,350,000        
Allocation of sale of common stock and conversion of debt to warrants issued    536,284       536,284
Net loss          (529,706) (529,706)
Ending Balance, Amount at Aug. 31, 2011 387 14,201,779    (15,035,229) (833,063)
Ending Balance,Shares at Aug. 31, 2011 38,656,627        
Issuance of common stock upon conversion of convertible debt, Amount 79 594,921       595,000
Issuance of common stock upon conversion of convertible debt, Shares 7,933,333        
Sale of common stock, Amount 26 199,974 (100,000)    (100,000)
Sale of common stock, Shares 2,666,667        
Net loss       (344,902) (344,902)
Ending Balance, Amount at Nov. 30, 2011 $ 492 $ 14,996,674 $ (100,000) $ (15,380,131) $ (482,965)
Ending Balance,Shares at Nov. 30, 2011 49,256,627