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Consolidated Statements of Cash Flows (Unaudited) (USD $)
9 Months Ended
Sep. 30, 2011
Sep. 30, 2010
CASH FLOWS FROM OPERATING ACTIVITIES:  
Net loss$ (8,915,463)$ (31,619,523)
Adjustments to reconcile net loss to net cash used in operating activities:  
Amortization expense of intangibles and other assets1,057,849251,757
Depreciation and amortization of property and equipment210,5711,394,249
(Recovery of) provision for losses on accounts receivable(75,875) 
Amortization of discounts on notes payable6,967,644 
Interest expense in connection with issuance of convertible debt268,486 
Common stock issued as compensation1,557,825349,639
Common stock issued as payment of accounts payable76,250 
Stock option compensation expense669,4441,305,812
Obligations to issue shares revaluation(1,355,358) 
Gain on settlement of debt(225,000) 
Gain on settlements of accounts payable(302,057) 
Loss on write-down of construction costs113,543 
Loss on debt modification936,776 
Loss on impairment of long-term assets2,135,02115,430,685
Derivative gain(6,952,284)(1,160,711)
(Increase) decrease in:  
Accounts receivable58,171(567,244)
Inventories(100,309)337,833
Prepaid expenses and other current assets(73,335)(129,024)
Deposits and other non-current assets(15,140)(48,240)
Increase (decrease) in:  
Accounts payable(1,023,474)1,469,926
Accrued expenses(231,269)2,854,432
Deferred revenue50,000 
Net cash used in operating activities(5,167,984)(10,130,409)
CASH FLOWS FROM INVESTING ACTIVITIES:  
Purchase of property and equipment(1,060,988)(446,930)
Patent costs(27,828) 
Purchase of other assets (500,000)
Net cash used in investing activities(1,088,816)(946,930)
CASH FLOWS FROM FINANCING ACTIVITIES:  
Repayment of debt obligations(125,000)(1,540,009)
Repayment of capital lease obligations (8,751)
Net proceeds from exercise of options 34,000
Net proceeds from stock offering 2,366,360
Deferred financing costs for short-term notes(255,000) 
Net proceeds from short-term notes4,500,000 
Net cash provided by financing activities4,120,000851,600
Net effect of exchange rate changes on cash86,488 
NET DECREASE IN CASH(2,050,312)(10,225,739)
Cash, beginning of period3,039,94110,708,807
Cash, end of period989,629483,068
Cash paid during the period for:  
Interest23,267808,679
Non-cash financing activities:  
Equipment acquired through assumption of accounts payable696,329 
Common stock issued to settle convertible notes obligations6,395,624413,959
Fair value of derivatives issued in conjunction with debt and equity financing4,667,269968,096
Common stock and warrants issued as payment for accounts payable 1,501,600
Common stock issued as settlement of obligations of discontinued operations1,344,000 
Common stock issued in connection with conversion of preferred stock$ 4,219,000