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CONSOLIDATED STATEMENTS OF STOCKHOLDERS' DEFICIT (USD $)
Total
1st Issuance during the Period
2nd Issuance during the Period
9th Issuance during the Period
Founders
1st Issuance during the Period
Services
Services
1st Issuance during the Period
Services
2nd Issuance during the Period
Services
3rd Issuance during the Period
Services
4th Issuance during the Period
Services
5th Issuance during the Period
Services
6th Issuance during the Period
Services
7th Issuance during the Period
Services
8th Issuance during the Period
Services
9th Issuance during the Period
Services
10th Issuance during the Period
Services
11th Issuance during the Period
Services
13th Issuance during the Period
Options
Warrants
Cash
1st Issuance during the Period
Cash
2nd Issuance during the Period
Cash
5th Issuance during the Period
Cash
8th Issuance during the Period
Cash
12th Issuance during the Period
Cash
17th Issuance during the Period
Debt replacement
11th Issuance during the Period
Convertible note agreement
12th Issuance during the Period
Convertible Notes Payable
13th Issuance during the Period
Convertible Notes Payable
16th Issuance during the Period
Interest payments
14th Issuance during the Period
Accounts Payable
2nd Issuance during the Period
Accrued rent
14th Issuance during the Period
Accrued rent
15th Issuance during the Period
Commited Shares To Be Issued
Common Stock
Common Stock
1st Issuance during the Period
Common Stock
2nd Issuance during the Period
Common Stock
9th Issuance during the Period
Common Stock
Founders
1st Issuance during the Period
Common Stock
Services
1st Issuance during the Period
Common Stock
Services
2nd Issuance during the Period
Common Stock
Services
3rd Issuance during the Period
Common Stock
Services
4th Issuance during the Period
Common Stock
Services
5th Issuance during the Period
Common Stock
Services
6th Issuance during the Period
Common Stock
Services
7th Issuance during the Period
Common Stock
Services
8th Issuance during the Period
Common Stock
Services
9th Issuance during the Period
Common Stock
Services
10th Issuance during the Period
Common Stock
Services
11th Issuance during the Period
Common Stock
Services
13th Issuance during the Period
Common Stock
Cash
1st Issuance during the Period
Common Stock
Cash
2nd Issuance during the Period
Common Stock
Cash
5th Issuance during the Period
Common Stock
Cash
8th Issuance during the Period
Common Stock
Cash
12th Issuance during the Period
Common Stock
Cash
17th Issuance during the Period
Common Stock
Convertible Notes Payable
16th Issuance during the Period
Common Stock
Interest payments
14th Issuance during the Period
Common Stock
Accounts Payable
2nd Issuance during the Period
Common Stock
Accrued rent
14th Issuance during the Period
Common Stock
Accrued rent
15th Issuance during the Period
Additional Paid-in Capital
Additional Paid-in Capital
1st Issuance during the Period
Additional Paid-in Capital
2nd Issuance during the Period
Additional Paid-in Capital
9th Issuance during the Period
Additional Paid-in Capital
Services
Additional Paid-in Capital
Services
1st Issuance during the Period
Additional Paid-in Capital
Services
2nd Issuance during the Period
Additional Paid-in Capital
Services
3rd Issuance during the Period
Additional Paid-in Capital
Services
4th Issuance during the Period
Additional Paid-in Capital
Services
5th Issuance during the Period
Additional Paid-in Capital
Services
6th Issuance during the Period
Additional Paid-in Capital
Services
7th Issuance during the Period
Additional Paid-in Capital
Services
8th Issuance during the Period
Additional Paid-in Capital
Services
9th Issuance during the Period
Additional Paid-in Capital
Services
10th Issuance during the Period
Additional Paid-in Capital
Services
11th Issuance during the Period
Additional Paid-in Capital
Services
13th Issuance during the Period
Additional Paid-in Capital
Options
Additional Paid-in Capital
Warrants
Additional Paid-in Capital
Cash
1st Issuance during the Period
Additional Paid-in Capital
Cash
2nd Issuance during the Period
Additional Paid-in Capital
Cash
5th Issuance during the Period
Additional Paid-in Capital
Cash
8th Issuance during the Period
Additional Paid-in Capital
Cash
12th Issuance during the Period
Additional Paid-in Capital
Cash
17th Issuance during the Period
Additional Paid-in Capital
Debt replacement
11th Issuance during the Period
Additional Paid-in Capital
Convertible note agreement
12th Issuance during the Period
Additional Paid-in Capital
Convertible Notes Payable
13th Issuance during the Period
Additional Paid-in Capital
Convertible Notes Payable
16th Issuance during the Period
Additional Paid-in Capital
Interest payments
14th Issuance during the Period
Additional Paid-in Capital
Accounts Payable
2nd Issuance during the Period
Additional Paid-in Capital
Accrued rent
14th Issuance during the Period
Additional Paid-in Capital
Accrued rent
15th Issuance during the Period
Deficit Accumulated During Development Stage
Treasury Stock
Balance at Mar. 27, 2006 $ 0                                                                     $ 0                                                       $ 0                                                                 $ 0  
Common shares retained by Sucre Agricultural Corp., Shareholders (in shares)                                                                       4,028,264                                                                                                                            
Common shares retained by Sucre Agricultural Corp., Shareholders 690,000                                                                     4,028                                                       685,972                                                                    
Share-based compensation                                     114,811 100,254                                                                                                                         114,811 100,254                                
Costs associated with the acquisition of Sucre Agricultural Corp. (3,550)                                                                                                                             (3,550)                                                                    
Common shares issued (in shares)                                                                               17,000,000   37,500 20,000 20,000 20,000                                                                                                          
Common shares issued         17,000     112,000 67,001 73,000 73,000                                                         17,000   38 20 20 20                                                 111,962 66,981 72,980 72,980                                                  
Estimated value of common shares at $3.99 per share and warrants at $2.90 issuable for services upon vesting in February 2007           160,000                                                                                                                           160,000                                                            
Net income (loss) (1,555,497)                                                                                                                                                                                               (1,555,497)  
Balance at Dec. 31, 2006 (151,981)                                                                     21,126                                                       1,382,390                                                                 (1,555,497)  
Balance (in shares) at Dec. 31, 2006                                                                       21,125,764                                                                                                                            
Share-based compensation                                     4,692,863                                                                                                                           4,692,863                                  
Conversion of $2,000,000 note payable in August 2007 at $2.90 per share (in shares)                                                                                                                     689,655                                                                              
Conversion of $2,000,000 note payable in August 2007 at $2.90 per share                                                           2,000,000                                                         689                                                                 1,999,311            
Exercised during the year - Options                                                                       20,000                                                                                                                            
Exercise of stock options in July 2007 at $2.00 per share 40,000                                                                     20                                                       39,980                                                                    
Share based compensation related to employment agreement (in shares)                                                                           10,000 50,000                                                                                                                      
Share based compensation related to employment agreement     39,900 275,001                                                                   10 50                                                     39,890 274,951                                                              
Loss on Extinguishment of debt in December 2007 955,637                                                                                                                             955,637                                                                    
Common shares issued (in shares)                                                                                     37,500   37,500     37,500   13,000     284,750         5,740,741   15,143                                                                            
Common shares issued                 138,875   269,250     234,375   65,914         756,160         14,360,000         55,584                       38   37     37   13     285         5,741   15                     138,837   269,213     234,338   65,901         755,875         14,354,259         55,569          
Fair value of warrants                   158,118   305,307 269,839                           107,459 332,255 2,000,000                                                                                     158,118   305,307 269,839                           107,459 332,255 2,000,000              
Net income (loss) (14,276,418)                                                                                                                                                                                               (14,276,418)  
Balance at Dec. 31, 2007 12,628,138                                                                     28,061                                                       28,431,992                                                                 (15,831,915)  
Balance (in shares) at Dec. 31, 2007                                                                       28,061,553                                                                                                                            
Share-based compensation                                     3,769,276                                                                                                                           3,769,276                                  
Purchase of treasury (in shares)                                                                       (32,172)                                                                                                                            
Purchase of treasury shares between April to September 2008 at an average of $3.12 (101,581)                                                                                                                                                                                                 (101,581)
Common shares issued (in shares)                                                                                 30,000 41,500                                                                                                                
Common shares issued             123,000 63,855                                                                 30 41                                                     122,970 63,814                                                        
Net income (loss) (14,370,594)                                                                                                                                                                                               (14,370,594)  
Balance at Dec. 31, 2008 2,112,094                                                                     28,132                                                       32,388,052                                                                 (30,202,509) (101,581)
Balance (in shares) at Dec. 31, 2008                                                                       28,100,881                                                                                                                            
Balance at Jan. 01, 2009                                                                                                                                                                                                    
Cumulative effect of warrants reclassified                                                                                                                               (18,586,588)                                                                 18,586,588  
Reclassification of long term warrant liability (2,915,136)                                                                                                                                                                                               (2,915,136)  
Option to purchase Common shares for services in August 2009 at an option price of $3.00 for 100,000 shares           8,273                                                                                                                           8,273                                                            
Common shares to be issued for services in August 2009 at $0.80 per share           80,000                                                                                                                           80,000                                                            
Common shares issued (in shares)                                                                                 11,412 30,000 100,000 22,500                                                                                                            
Common shares issued             17,118 26,400 80,000 20,701                                                             11 30 100 23                                                 17,107 26,370 79,900 20,678                                                    
Net income (loss) 1,136,902                                                                                                                                                                                               1,136,092  
Balance at Dec. 31, 2009 565,542                                                                     28,296                                                       14,033,792                                                                 (13,394,965) (101,581)
Balance (in shares) at Dec. 31, 2009                                                                       28,264,793                                                                                                                            
Common shares cancelled (in shares)                                                                       (43,000)                                                                                                                            
Common shares cancelled in October 2010 at $0.30 per share (13,000)                                                                     (43)                                                       (12,957)                                                                    
Discount on related party note payable 83,736                                                                                                                             83,736                                                                    
Common shares issued (in shares)                                                                                 37,500 43,000 100,000 37,500 30,000 37,000 6,435 10,000                                                                                                    
Common shares issued             13,500 13,000   6,750 7,200 17,020 3,217 4,800                                                     38 43 100 38 30 37 6 10                                         13,462 12,957 (100) 6,712 7,170 16,983 3,211 4,790                                            
Net income (loss) (922,906)                                                                                                                                                                                               (922,906)  
Balance at Dec. 31, 2010 (221,141)                                                                     28,555                                                       14,169,756                                                                 (14,317,871) (101,581)
Balance (in shares) at Dec. 31, 2010 28,523,228                                                                     28,523,228                                                                                                                            
Committed shares issued to LPC (in shares)                                                                       60,000                                                       (600)                                                                    
Committed shares issued to LPC                                                                       600                                                                                                                            
Common shares issued (in shares)                                                                                     30,000 26,042   155,034 75,000   10,000 173,077 253,638 85,721 428,571   284,045 175,438 659,894       60,000 527,980                                                                        
Common shares issued                 12,600 11,250   29,132 12,000   1,800 26,152 57,259 11,658     24,438   70,000 30,000 100,000             29,100 73,918                   30 26   155 75,000   10 173 253 86 429   284 175 660       60 528                 12,570 11,224   28,977 11,925   1,790 25,979 57,006 11,572     24,009   69,716 29,825 99,340             29,040 73,390      
Accretion of redeemable noncontrolling interest (112,500)                                                                                                                             (112,500)                                                                    
Net income (loss) (1,375,012)                                                                                                                                                                                               (1,375,012)  
Balance at Dec. 31, 2011 (1,219,346)                                                                     32,099                                                       14,543,019                                                                 (15,692,883) (101,581)
Balance (in shares) at Dec. 31, 2011 32,067,668                                                                     32,067,668                                                                                                                            
Committed shares issued to LPC (in shares)                                                                       235,465                                                                                                                            
Committed shares issued to LPC                                                                       235                                                       34,765                                                                 35,000  
Common shares issued (in shares)                                                                                 80,357 80,645 93,750 57,889 135,000                 57,889                 527,980                                                                      
Common shares issued             11,250 32,662 21,563 9,564 17,198                     9,564                       68,637             80 81 94 58 135                 58                 528           11,170 32,581 21,469 9,506 17,063                     9,506                       68,109    
Common Shares issued to TCA in March 2012 at $0.39 per share   110,000                                                                     281                                                       109,719                                                                  
Common Shares issued to TCA in March 2012 at $0.39 per share (in shares)                                                                         280,612                                                                                                                          
Shares committed to be issued in connection with warrant exercise 803,704                                                                   803,704                                                                                                                              
Net income (loss) (1,757,219)                                                                                                                                                                                               (1,757,219)  
Balance at Dec. 31, 2012 $ (1,866,987)                                                                   $ 803,704 $ 33,591                                                       $ 14,847,401                                                                 $ (17,450,102) $ (101,581)
Balance (in shares) at Dec. 31, 2012 33,559,366                                                                     33,559,366