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CONDENSED INTERIM STATEMENTS OF STOCKHOLDERS' EQUITY (unaudited) - USD ($)
COMMON STOCK [Member]
ADDITIONAL PAID-IN CAPITAL [Member]
DEFICIT ACCUMULATED [Member]
Total
Beginning Balance at Aug. 31, 2016 $ 89,528 $ 12,214,934 $ (12,440,597) $ (136,135)
Beginning Balance (Shares) at Aug. 31, 2016 89,528,460      
Stock Based Compensation   227,428   227,428
Shares issued for private placement on September 23 $ 3,859 93,792   97,651
Shares issued for private placement on September 23 (Shares) 3,858,571      
Shares issued for Definitive Agreement on October 7 $ 175 6,825   7,000
Shares issued for Definitive Agreement on October 7 (Shares) 175,000      
Shares issued for Private Placement on January 20 $ 1,000 28,600   29,600
Shares issued for Private Placement on January 20 (Shares) 1,000,000      
Shares issued for Private Placement on February 28 $ 4,250 115,119   119,369
Shares issued for Private Placement on February 28 (Shares) 4,250,000      
Warrant conversion on April 21 $ 96 5,590   5,686
Warrant conversion on April 21 (Shares) 95,500      
Warrant conversion on April 28 $ 167 11,488   11,655
Warrant conversion on April 28 (Shares) 166,500      
Shares issued for Private Placement on Apr 28 $ 3,224 198,160   201,384
Shares issued for Private Placement on Apr 28 (Shares) 3,224,000      
Comprehensive income (loss):     (801,166) (801,166)
Ending Balance at Aug. 31, 2017 $ 102,299 12,901,936 (13,241,763) (237,528)
Ending Balance (Shares) at Aug. 31, 2017 102,298,031      
Stock Based Compensation   89,596   89,596
Shares issued for Private Placement on November 1 $ 2,600 98,598   101,198
Shares issued for Private Placement on November 1 (Shares) 2,600,000      
Shares issued for Private Placement on December 8 $ 3,954 140,505   144,459
Shares issued for Private Placement on December 8 (Shares) 3,954,000      
Option conversion on December 8 $ 240 11,760   12,000
Option conversion on December 8 (Shares) 240,000      
Shares issued for Private Placement on January 12 $ 1,611 59,657   61,268
Shares issued for Private Placement on January 12 (Shares) 1,611,000      
Warrant conversion on February 2 $ 50 3,450   3,500
Warrant conversion on February 2 (Shares) 50,000      
Option conversion on May 11 $ 200 11,800   12,000
Option conversion on May 11 (Shares) 200,000      
Shares issued for Private Placement on May 11 $ 1,747 72,982   74,729
Shares issued for Private Placement on May 11 (Shares) 1,746,900      
Shares issued for Private Placement on May 25 $ 2,470 107,864   110,334
Shares issued for Private Placement on May 25 (Shares) 2,470,000      
Comprehensive income (loss):     (572,466) (572,466)
Ending Balance at May. 31, 2018 $ 115,171 $ 13,498,148 $ (13,814,229) $ (200,910)
Ending Balance (Shares) at May. 31, 2018 115,169,931