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CONSOLIDATED STATEMENTS OF STOCKHOLDERS EQUITY (USD $)
COMMON STOCK [Member]
ADDITIONAL PAID-IN CAPITAL [Member]
STOCK TO BE ISSUED [Member]
DEFICIT ACCUMULATED DURING EXPLORATION STAGE [Member]
Total
Beginning Balance at Nov. 24, 2004          
Issuance of common stock for cash at $0.02 per share on March 22, 2005 $ 5,468 $ 103,882     $ 109,350
Issuance of common stock for cash at $0.02 per share on March 22, 2005 (Shares) 5,467,500        
Issuance of common stock for cash at $0.30 per share on April 6, 2005 1,112 332,638     333,750
Issuance of common stock for cash at $0.30 per share on April 6, 2005 (Shares) 1,112,500        
Stock to be issued   37,375 125   37,500
Stock to be issued (Shares) 125,000        
(Loss) for the year       (167,683) (167,683)
Ending Balance at Aug. 31, 2005 6,580 473,895 125 (167,683) 312,917
Ending Balance (Shares) at Aug. 31, 2005 6,705,000        
Stock issued on September 29, 2005 125   (125)    
(Loss) for the year       (200,091) (200,091)
Ending Balance at Aug. 31, 2006 6,705 473,895   (367,774) 112,826
Ending Balance (Shares) at Aug. 31, 2006 6,705,000        
Units issued for cash at $0.50 per unit to related parties on March 6, 2007 (included stock based compensation of $116,959) 93 163,236     163,329
Units issued for cash at $0.50 per unit to related parties on March 6, 2007 (included stock based compensation of $116,959) (Shares) 92,740        
Stock issued for property on April 18, 2007 250 274,750     275,000
Stock issued for property on April 18, 2007 (Shares) 250,000        
Units issued for cash at $0.50 per unit on April 19, 2007 100 49,900     50,000
Units issued for cash at $0.50 per unit on April 19, 2007 (Shares) 100,000        
Units issued for cash at $0.50 per unit on August 31, 2007 600 299,400     300,000
Units issued for cash at $0.50 per unit on August 31, 2007 (Shares) 600,000        
Imputed interest from non-interest bearing loan   3,405     3,405
(Loss) for the year       (607,397) (607,397)
Ending Balance at Aug. 31, 2007 7,748 1,264,586   (975,171) 297,163
Ending Balance (Shares) at Aug. 31, 2007 7,747,740        
Units issued for acquisition at $0.42 per unit on November 30, 2007 6,905 2,893,195     2,900,100
Units issued for acquisition at $0.42 per unit on November 30, 2007 (Shares) 6,905,000        
Imputed interest from non-interest bearing loan   7,139     7,139
Stock-based compensation on 1,785,000 options granted   104,257     104,257
(Loss) for the year       (372,535) (372,535)
Ending Balance at Aug. 31, 2008 14,653 4,269,177   (1,347,706) 2,936,124
Ending Balance (Shares) at Aug. 31, 2008 14,652,740        
Imputed interest from non-interest bearing loan   4,410     4,410
Stock Based Compensation   35,780     35,780
(Loss) for the year       84,233 84,233
Ending Balance at Aug. 31, 2009 14,653 4,309,367   (1,263,473) 3,060,547
Beginning Balance (Shares) at Aug. 31, 2009 14,652,740        
Imputed interest from non-interest bearing loan   2,442     2,442
Gain on settlement of the amount due to related parties   34,542     34,542
Stock issued for acquisition at $0.20 per share on February 28, 2010 500 124,500     125,000
Stock issued for acquisition at $0.20 per share on February 28, 2010 (Shares) 500,000        
Units issued for cash at $0.15 per unit on May 31, 2010 557 83,068     83,625
Units issued for cash at $0.15 per unit on May 31, 2010 (Shares) 557,500        
Stock Based Compensation   78,858     78,858
(Loss) for the year       (2,955,141) (2,955,141)
Ending Balance at Aug. 31, 2010 15,710 4,632,777   (4,218,614) 429,873
Ending Balance (Shares) at Aug. 31, 2010 15,710,240        
Debt settlement on November 22, 2010 63 9,313     9,376
Debt settlement on November 22, 2010 (Shares) 62,500        
Debt settlement on November 19, 2010 100 14,900     15,000
Debt settlement on November 19, 2010 (Shares) 100,000        
Share Subscriptions on March 3, 2011 8,729 885,264     893,993
Share Subscriptions on March 3, 2011 (Shares) 8,729,000        
Share issuance costs   (96,490)     (96,490)
Warrants issued on March 3, 2011   (848,459)     (848,459)
Common Shares cancelled on January 1, 2011 (1,000) 1,000      
Common Shares cancelled on January 1, 2011 (Shares) (1,000,000)        
Debt settlement on March 16, 2011 78 12,422     12,500
Debt settlement on March 16, 2011 (Shares) 78,125        
Debt settlement on April 27, 2011 360 157,412     157,772
Debt settlement on April 27, 2011 (Shares) 360,000        
Debt settlement on April 27 2011 100 45,900     46,000
Debt settlement on April 27 2011 (Shares) 100,000        
Shares issued Wildhorse on April 11, 2011 500 74,500     75,000
Shares issued Wildhorse on April 11, 2011 (Shares) 500,000        
Share issuance correction on Jun 4, 2011 4 (4)      
Share issuance correction on Jun 4, 2011 (Shares) 4,000        
Stock Based Compensation   254,443     254,443
(Loss) for the year       (165,405) (165,405)
Ending Balance at Aug. 31, 2011 24,644 5,142,978   (4,384,019) 783,603
Ending Balance (Shares) at Aug. 31, 2011 24,643,865        
Shares issued Altar on October 11, 2011 100 9,900     10,000
Shares issued Altar on October 11, 2011 (Shares) 100,000        
Shares issued Wildhorse on March 30, 2012 150 14,850     15,000
Shares issued Wildhorse on March 30, 2012 (Shares) 150,000        
Shares issued Tom Ihrke on April 10, 2012 94 9,281     9,375
Shares issued Tom Ihrke on April 10, 2012 (Shares) 93,750        
Shares subscription for cash on April 13, 2012 2,080 191,499     193,579
Shares subscription for cash on April 13, 2012 (Shares) 2,080,000        
Shares subscription for cash on July 27, 2012 600 29,400     30,000
Shares subscription for cash on July 27, 2012 (Shares) 600,000        
Shares subscription for cash on August 24, 2012 160 7,840     8,000
Shares subscription for cash on August 24, 2012 (Shares) 160,000        
Stock Based Compensation   66,953     66,953
(Loss) for the year       (1,009,735) (1,009,735)
Ending Balance at Aug. 31, 2012 27,828 5,472,701   (5,393,754) 106,775
Ending Balance (Shares) at Aug. 31, 2012 27,827,615        
Shares issued for cash September 28, 2012 1,074 48,676     49,750
Shares issued for cash September 28, 2012 (Shares) 1,074,500        
Shares issued Altar on November 24, 2012 100 5,900     6,000
Shares issued Altar on November 24, 2012 (Shares) 100,000        
Shares issued for cash November 15, 2012 1,152 49,498     50,650
Shares issued for cash November 15, 2012 (Shares) 1,152,300        
Shares issued to Mark Snyder 160 15,840     16,000
Shares issued to Mark Snyder (Shares) 160,000        
Debt settlement on March 1, 2013   30,280     30,280
(Loss) for the year       (730,904) (730,904)
Ending Balance at Aug. 31, 2013 30,314 5,622,895   (6,124,658) (471,449)
Ending Balance (Shares) at Aug. 31, 2013 30,314,415        
Shares issued to Downhole Energy 100 1,900     2,000
Shares issued to Downhole Energy (Shares) 100,000        
Shares issued to Stewart Briggs/Olibri 750 36,750     37,500
Shares issued to Stewart Briggs/Olibri (Shares) 750,000        
Shares issued for MM Assets 10,000 190,000     200,000
Shares issued for MM Assets (Shares) 10,000,000        
Shares issued for Investor Relations 200 13,800     14,000
Shares issued for Investor Relations (Shares) 200,000        
Shares issued for cash for PP on Nov 18 2,720 133,280     136,000
Shares issued for cash for PP on Nov 18 (Shares) 2,720,000        
Shares issued for cash for PP on Dec 23 2,528 113,732     116,260
Shares issued for cash for PP on Dec 23 (Shares) 2,528,000        
Shares issued per Agreement with DS 250 37,250     37,500
Shares issued per Agreement with DS (Shares) 250,000        
Shares issued per JV with WOM 5,000 895,000     900,000
Shares issued per JV with WOM (Shares) 5,000,000        
Shares issued for cash for PP on Jan 31 4,292 395,292     399,584
Shares issued for cash for PP on Jan 31 (Shares) 4,292,000        
Shares issued for warrant conversion 1,127 214,973     216,100
Shares issued for warrant conversion (Shares) 1,126,500        
Shares issued for option conversion 450       44,250
Shares issued for option conversion (Shares) 450,000 43,800      
Shares issued for cash for PP on Feb 13 12,946 1,182,070     1,195,016
Shares issued for cash for PP on Feb 13 (Shares) 12,946,000        
Shares issued as per Agreement with Agora 54 12,446     12,500
Shares issued as per Agreement with Agora (Shares) 54,347        
Shares issued per JV Agreement with GCL 10,000 2,090,000     2,100,000
Shares issued per JV Agreement with GCL (Shares) 10,000,000        
Shares issued per JV Agreement with WOM 1,000 599,000     680,000
Shares issued per JV Agreement with WOM (Shares) 1,000,000        
Shares issued for warrant conversion (Two) 5,803 909,143     914,946
Shares issued for warrant conversion (Two) (Shares) 5,802,855        
Shares issued for option conversion (Two) 450       84,250
Shares issued for option conversion (Two) (Shares) 450,000 83,800      
Shares issued for warrant conversion (Three) 252 24,948     25,200
Shares issued for warrant conversion (Three) (Shares) 252,000        
Shares issued as per agreement with R. Chadwick 100 59,900     60,000
Shares issued as per agreement with R. Chadwick (Shares) 100,000        
Shares issued as per agreement with Dr. Melamede 250 169,750     170,000
Shares issued as per agreement with Dr. Melamede (Shares) 250,000        
Shares issued as per various Ontario agreements 623 212,676     213,299
Shares issued as per various Ontario agreements (Shares) 623,297        
Shares issued as per Agreement with Agora (Two) 73 13,053     13,126
Shares issued as per Agreement with Agora (Two) (Shares) 72,917        
Shares issued as per Agreement with Emerging LLC 750 119,250     120,000
Shares issued as per Agreement with Emerging LLC (Shares) 750,000        
Shares issued as per various Ontario agreements (Two) 720 100,080     100,800
Shares issued as per various Ontario agreements (Two) (Shares) 720,000        
Shares issued per LOI Burlington 118 22,382     22,500
Shares issued per LOI Burlington (Shares) 118,416        
Stock Based Compensation   773,441     773,441
WOM JV Termination, shares back to Treasury     (1,682,545)   (1,682,545)
Shares returned for contract cancellation C. Hornung     (30,600)   (30,600)
(Loss) for the year       (4,641,005) (4,641,005)
Ending Balance at Aug. 31, 2014 $ 90,870 $ 14,070,611 $ (1,713,145) $ (10,765,663) $ 1,682,673
Ending Balance (Shares) at Aug. 31, 2014 90,870,747