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Consolidated Statements of Stockholders' Equity (Unaudited) - USD ($)
Common Stock [Member]
Additional Paid-in Capital [Member]
Accumulated Deficit [Member]
Total
Balance at beginning at Feb. 28, 2018 $ 80 $ 111,901,094 $ (110,696,774) $ 1,204,400
Balance at beginning (in shares) at Feb. 28, 2018 8,001,266      
Increase (Decrease) in Stockholders' Equity [Roll Forward]        
Common stock issued for cash $ 9 1,712,456   1,712,465
Common stock issued for cash (in shares) 905,000      
Warrants Exercised $ 1 385,874   385,875
Warrants Exercised (in shares) 147,000      
Stock issued for stock compensation $ 1 133,505   133,505
Stock issued for stock compensation (in shares) 86,300      
Shares issued for Investor Relations $ 2 314,999   315,000
Shares issued for Investor Relations (in shares) 150,000      
Shares Retired due to Termination/Breach of Contract $ (1) (1,039,596)   (1,039,597)
Shares Retired due to Termination/Breach of Contract (in shares) (140,000)      
Shares issued for Settlement   46,200   46,200
Shares issued for Settlement (in shares) 20,000      
Anti-Dilution Shares Issued (in shares) 4,390      
Net (loss)/income     2,152,963 2,152,963
Balances at ending at Nov. 30, 2018 $ 91 113,454,531 (108,543,811) 4,910,811
Balance at ending (in shares) at Nov. 30, 2018 9,173,956      
Balance at beginning at Aug. 31, 2018 $ 80 111,301,724 (106,445,510) 4,856,294
Balance at beginning (in shares) at Aug. 31, 2018 8,035,956      
Increase (Decrease) in Stockholders' Equity [Roll Forward]        
Common stock issued for cash $ 9 1,712,555   1,712,565
Common stock issued for cash (in shares) 905,000      
Stock issued for stock compensation $ 1 125,350   125,350
Stock issued for stock compensation (in shares) 83,000      
Shares issued for Investor Relations $ 1 314,902   314,903
Shares issued for Investor Relations (in shares) 150,000      
Net (loss)/income     (2,098,301) (2,098,301)
Balances at ending at Nov. 30, 2018 $ 91 113,454,531 (108,543,811) 4,910,811
Balance at ending (in shares) at Nov. 30, 2018 9,173,956      
Balance at beginning at Feb. 28, 2019 $ 96 114,265,762 (106,398,211) 7,867,647
Balance at beginning (in shares) at Feb. 28, 2019 9,590,956      
Increase (Decrease) in Stockholders' Equity [Roll Forward]        
Common stock issued for cash $ 10 1,785,920   1,785,930
Common stock issued for cash (in shares) 1,000,500      
Warrants Exercised $ 1 275,086   275,087
Warrants Exercised (in shares) 122,350      
Stock issued for stock compensation $ 1 397,698   397,700
Stock issued for stock compensation (in shares) 138,228      
Shares issued for Investor Relations $ 2 372,248   372,250
Shares issued for Investor Relations (in shares) 159,000      
Shares issued for intangible assets $ 20 4,919,980   4,920,000
Shares issued for intangible assets (in shares) 1,968,000      
Shares issued for marketing services   32,400   32,400
Shares issued for marketing services (in shares) 15,000      
Shares issued for unearned Compensation   31,800   31,800
Shares issued for unearned Compensation (in shares) 12,000      
Warrants expired   (254,943)   (254,943)
Net (loss)/income     (8,707,550) (8,707,550)
Balances at ending at Nov. 30, 2019 $ 130 121,825,952 (115,105,761) 6,720,321
Balance at ending (in shares) at Nov. 30, 2019 13,006,034      
Balance at beginning at Aug. 31, 2019 $ 128 121,464,616 (111,808,668) 9,656,076
Balance at beginning (in shares) at Aug. 31, 2019 12,838,930      
Increase (Decrease) in Stockholders' Equity [Roll Forward]        
Stock issued for stock compensation   60,711   60,712
Stock issued for stock compensation (in shares) 27,916      
Shares issued for Investor Relations $ 1 270,249   270,250
Shares issued for Investor Relations (in shares) 125,000      
Shares issued for marketing services   32,400   32,400
Shares issued for marketing services (in shares) 15,000      
Shares issued for unearned Compensation   31,800   31,800
Shares issued for unearned Compensation (in shares) 12,000      
Shares cancelled   (33,824)   (33,824)
Shares cancelled (in shares) (12,812)      
Net (loss)/income     (3,297,093) (3,297,093)
Balances at ending at Nov. 30, 2019 $ 130 $ 121,825,952 $ (115,105,761) $ 6,720,321
Balance at ending (in shares) at Nov. 30, 2019 13,006,034