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Statement of Stockholders' Equity (USD $)
Series A Convertible Preferred Stock [Member]
Series B Convertible Preferred Stock [Member]
Common Stock [Member]
Additional Paid-In Capital [Member]
Stock Subscription Received [Member]
Retained Earnings [Member]
Total
Balance at May. 11, 2005              
Common shares issued May 12, 2005 (Inception)     $ 20 $ 0 $ (20) $ 0 $ 0
Common shares issued May 12, 2005 (Inception) (in shares)     20,000        
Share exchange with Edot-com.com Inc., June 1, 2005     (20) 0 20   0
Share exchange with Edot-com.com Inc., June 1, 2005 (in shares)     (20,000)        
Common shares outstanding Edot-com.com Inc., June 1, 2005     20,000 (20,000)     0
Common shares outstanding Edot-com.com Inc., June 1, 2005 (in shares)     20,000,000        
Options granted in connection with reverse acquisition             0
Net loss           (66,005) (66,005)
Balance at Jun. 30, 2005     100,000 (99,980) (20) (66,005) (66,005)
Balance (in shares) at Jun. 30, 2005     100,000,000        
Discount related to beneficial conversion feature of Convertible debentures, July 13, 2005       5,277     5,277
Discount related to beneficial conversion feature of Convertible debentures, July 31, 2005       5,302     5,302
Warrants issued to Scientific Advisory Board, August 15, 2005       4,094     4,094
Options issued to officers, September 23, 2005       87,318     87,318
Common shares issued for consulting services valued at $.081 per share, September 30, 2005     2,300 184,000     186,300
Common shares issued for consulting services valued at $.081 per share, September 30, 2005 (in shares)     2,300,000        
Common shares issued for interest on debentures, September 30, 2005     48 4,267     4,315
Common shares issued for interest on debentures, September 30, 2005 (in shares)     48,177        
Discount related to beneficial conversion feature of Convertible debentures, October 28, 2005       166,666     166,666
Discount related to beneficial conversion feature of Convertible debentures, November 9, 2005       166,667     166,667
Discount related to beneficial conversion feature of Convertible debentures, November 10, 2005       45,000     45,000
Discount related to beneficial conversion feature of Convertible debentures, November 11, 2005       275,000     275,000
Discount related to beneficial conversion feature of Convertible debentures, November 15, 2005       49,167     49,167
Warrants issued to Scientific Advisory Board, November 15, 2005       25,876     25,876
Common shares and warrants issued in connection with private placement of common stock, November 28, 2005     340 169,660     170,000
Common shares and warrants issued in connection with private placement of common stock, November 28, 2005 (in shares)     340,000        
Common shares and warrants issued in connection with private placement of common stock, November 29, 2005     300 149,700     150,000
Common shares and warrants issued in connection with private placement of common stock, November 29, 2005 (in shares)     300,000        
Common shares and warrants issued in connection with private placement of common stock, November 30, 2005     150 74,850     75,000
Common shares and warrants issued in connection with private placement of common stock, November 30, 2005 (in shares)     150,000        
Common shares and warrants issued in connection with private placement of common stock, December 2, 2005     100 49,900     50,000
Common shares and warrants issued in connection with private placement of common stock, December 2, 2005 (in shares)     100,000        
Common shares and warrants issued in connection with private placement of common stock, December 6, 2005     850 424,150     425,000
Common shares and warrants issued in connection with private placement of common stock, December 6, 2005 (in shares)     850,000        
Common shares issued for legal services valued at $.95 per share, December 6, 2005     20 18,980     19,000
Common shares issued for legal services valued at $.95 per share, December 6, 2005 (in shares)     20,000        
Common shares and warrants issued in connection with private placement of common stock, December 12, 2005     750 374,250     375,000
Common shares and warrants issued in connection with private placement of common stock, December 12, 2005 (in shares)     750,000        
Common shares and warrants issued in connection with private placement of common stock, December 13, 2005     50 24,950     25,000
Common shares and warrants issued in connection with private placement of common stock, December 13, 2005 (in shares)     50,000        
Common shares and warrants issued in connection with private placement of common stock, December 14, 2005     50 24,950     25,000
Common shares and warrants issued in connection with private placement of common stock, December 14, 2005 (in shares)     50,000        
Common shares issued in connection with debenture offering, December 15, 2005     50 48,950     49,000
Common shares issued in connection with debenture offering, December 15, 2005 (in shares)     50,000        
Common shares and warrants issued in connection with private placement of common stock, December 20, 2005     50 24,950     25,000
Common shares and warrants issued in connection with private placement of common stock, December 20, 2005 (in shares)     50,000        
Common shares and warrants issued in connection with private placement of common stock, December 29, 2005     50 24,950     25,000
Common shares and warrants issued in connection with private placement of common stock, December 29, 2005 (in shares)     50,000        
Common shares and warrants issued in connection with private placement of common stock, December 30, 2005.     50 24,950     25,000
Common shares and warrants issued in connection with private placement of common stock, December 30, 2005. (in shares)     50,000        
Common shares issued for interest on debentures, December 31, 2005     20 17,320     17,340
Common shares issued for interest on debentures, December 31, 2005 (in shares)     19,476        
Common shares issued for consulting services valued at $1.46 per share, January 9, 2006     3 4,998     5,001
Common shares issued for consulting services valued at $1.46 per share, January 9, 2006 (in shares)     3,425        
Warrants issued to Scientific Advisory Board, February 15, 2006       49,067     49,067
Warrnats issued to Scientific Advisory Board, May 15, 2006       51,048     51,048
Common shares issued for interest on debentures, March 31, 2005     8 22,184     22,192
Common shares issued for interest on debentures, March 31, 2005 (in shares)     7,921        
Options exercised, May 31, 2006     1,800        
Options exercised, May 31, 2006 (in shares)     1,800,000        
Common shares and warrants issued in connection with private placement of common stock, June 15, 2006     1,875 1,873,125     1,875,000
Common shares and warrants issued in connection with private placement of common stock, June 15, 2006 (in shares)     1,875,000        
Common shares issued for interest on debentures, June 30, 2006     14 22,424     22,438
Common shares issued for interest on debentures, June 30, 2006 (in shares)     14,426        
Net loss           (3,284,432) (3,284,432)
Balance at Jun. 30, 2006     108,878 4,480,035 (20) (3,350,437) 1,238,456
Balance (in shares) at Jun. 30, 2006     108,878,425        
Common shares issued for interest on debentures, July 31, 2006     6 7,638     7,644
Common shares issued for interest on debentures, July 31, 2006 (in shares)     5,744        
Common shares issued for conversion of convertible debentures, July 31, 2006     3,333 996,667     1,000,000
Common shares issued for conversion of convertible debentures, July 31, 2006 (in shares)     3,333,333        
Exercise of stock warrants, July 31, 2006     200 49,800     50,000
Exercise of stock warrants, July 31, 2006 (in shares)     200,000        
Options issued to Scientific Advisory Board, August 15, 2006       30,184     30,184
Options issued to Scientific Advisory Board, November 15, 2006       25,888     25,888
Common shares issued for consulting services valued at $.76 per share, January 3, 2007     216 163,944     164,160
Common shares issued for consulting services valued at $.76 per share, January 3, 2007 (in shares)     216,000        
Options issued to Scientific Advisory Board, February 15, 2007       32,668     32,668
Options issued to Scientific Advisory Board, May 15, 2007       25,664     25,664
Common shares issued for consulting services valued at $1.03 per share, June 12, 2007     1 774     775
Common shares issued for consulting services valued at $1.03 per share, June 12, 2007 (in shares)     752        
Common shares issued for consulting services valued at $1.15 per share, June 20, 2007     100 114,900     115,000
Common shares issued for consulting services valued at $1.15 per share, June 20, 2007 (in shares)     100,000        
Common shares issued upon warrants conversion, June 20, 2007     930 619,070     620,000
Common shares issued upon warrants conversion, June 20, 2007 (in shares)     930,000        
Common shares issued upon warrants conversion, June 25, 2007     75 49,925     50,000
Common shares issued upon warrants conversion, June 25, 2007 (in shares)     75,000        
Common shares issued upon warrants conversion, June 30, 2007     300 199,700     200,000
Common shares issued upon warrants conversion, June 30, 2007 (in shares)     300,000        
Common shares issued for consulting services valued at $1.06 per share, June 30, 2007     30 31,770     31,800
Common shares issued for consulting services valued at $1.06 per share, June 30, 2007 (in shares)     29,890        
Officers' compensation expense       27,062     27,062
Net loss           (3,118,963) (3,118,963)
Balance at Jun. 30, 2007     114,069 6,855,689 (20) (6,469,400) 500,338
Balance (in shares) at Jun. 30, 2007     114,069,144        
Warrants issued to Scientific Advisory Board, August 15, 2007       14,800     14,800
Common shares and warrants issued in connection with private placement of common stock, September 21, 2007     1,500 748,500     750,000
Common shares and warrants issued in connection with private placement of common stock, September 21, 2007 (in shares)     1,500,000        
Common shares issued for consulting and legal services valued at $.75 per share, September 30, 2007     25 18,375     18,400
Common shares issued for consulting and legal services valued at $.75 per share, September 30, 2007 (in shares)     25,244        
Common shares and warrants issued in connection with private placement of common stock, October 16, 2007     3,250 1,621,750     1,625,000
Common shares and warrants issued in connection with private placement of common stock, October 16, 2007 (in shares)     3,250,000        
Common shares and warrants issued in connection with private placement of common stock, October 16, 2007     250 124,750     125,000
Common shares and warrants issued in connection with private placement of common stock, October 16, 2007 (in shares)     250,000        
Collection of stock subscriptions receivable         20   20
Warrants issued to Scientific Advisory Board, November 15, 2007       7,200     7,200
Common shares issued for consulting and legal services valued at $.49 per share, December 31, 2007     57 26,843     26,900
Common shares issued for consulting and legal services valued at $.49 per share, December 31, 2007 (in shares)     57,152        
Options issued to officers, January 1, 2008       7,044     7,044
Warrants issued to Scientific Advisory Board, February 15, 2008       8,500     8,500
Common shares issued for consulting and legal services valued at $ .45 per share,March 31, 2008     62 27,838     27,900
Common shares issued for consulting and legal services valued at $ .45 per share,March 31, 2008 (in shares)     61,546        
Common shares issued for consulting services valued at $.39 per share, April , 2008     28 10,793     10,821
Common shares issued for consulting services valued at $.39 per share, April , 2008 (in shares)     27,750        
Warrants issued to Scientific Advisory Board, May 15, 2008       32,253     32,253
Common shares issued for consulting services valued at $1.03 per share, June 30, 2008     30 27,870     27,900
Common shares issued for consulting services valued at $1.03 per share, June 30, 2008 (in shares)     29,841        
Net loss           (2,738,337) (2,738,337)
Balance at Jun. 30, 2008 0 0 119,271 9,532,205 0 (9,207,737) 443,739
Balance (in shares) at Jun. 30, 2008     119,270,677        
Common shares issued for consulting and legal services valued at $ 1.22 per share, July 31, 2008     4 4,996     5,000
Common shares issued for consulting and legal services valued at $ 1.22 per share, July 31, 2008 (in shares)     4,098        
Common shares issued for consulting services valued at $1.22 per share, July , 2008     2 2,798     2,800
Common shares issued for consulting services valued at $1.22 per share, July , 2008 (in shares)     2,295        
Warrants issued to Scientific Advisory Board, August 15, 2008       47,500     47,500
Common shares and warrants issued in connection with private placement of common stock, August 22, 2008     3,136 3,132,864     3,136,000
Common shares and warrants issued in connection with private placement of common stock, August 22, 2008 (in shares)     3,136,000        
Common shares issued to settle account payable     150 149,850     150,000
Common shares issued to settle account payable (in shares)     150,000        
Payment of Finder's Fee       (14,696)     (14,696)
Common shares issued in connection with Warrant Conversion, August 22, 2008     125 106,125     106,250
Common shares issued in connection with Warrant Conversion, August 22, 2008 (in shares)     125,000        
Common shares issued for legal services valued at $1.24per share, August 31, 2008     4 4,996     5,000
Common shares issued for legal services valued at $1.24per share, August 31, 2008 (in shares)     4,032        
Common shares issued for consulting services valued at $1.24 per share, August, 2008     2 2,798     2,800
Common shares issued for consulting services valued at $1.24 per share, August, 2008 (in shares)     2,258        
Common shares issued for legal services valued at $1.00 per share, September 30, 2008     5 4,995     5,000
Common shares issued for legal services valued at $1.00 per share, September 30, 2008 (in shares)     5,000        
Common shares issued for consulting services valued at $1.00 per share, September 30, 2008     6 5,594     5,600
Common shares issued for consulting services valued at $1.00 per share, September 30, 2008 (in shares)     5,600        
Common shares issued for consulting and legal services valued at $ .71 per share, October 31, 2008     7 4,993     5,000
Common shares issued for consulting and legal services valued at $ .71 per share, October 31, 2008 (in shares)     7,042        
Common shares issued for consulting services valued at $.71 per share, October 31, 2008     8 5,592     5,600
Common shares issued for consulting services valued at $.71 per share, October 31, 2008 (in shares)     7,887        
Warrants issued to Scientific Advisory Board, November 15, 2008       30,500     30,500
Common shares issued for consulting and legal services valued at $ .67 per share, November 30, 2008     7 4,993     5,000
Common shares issued for consulting and legal services valued at $ .67 per share, November 30, 2008 (in shares)     7,463        
Common shares issued for consulting services valued at $.67 per share, November 30, 2008     8 5,592     5,600
Common shares issued for consulting services valued at $.67 per share, November 30, 2008 (in shares)     8,358        
Common shares issued for consulting and legal services valued at $ .83 per share, December 31, 2008     6 4,994     5,000
Common shares issued for consulting and legal services valued at $ .83 per share, December 31, 2008 (in shares)     6,024        
Common shares issued for consulting services valued at $.83 per share, December 31 , 2008     7 5,593     5,600
Common shares issued for consulting services valued at $.83 per share, December 31 , 2008 (in shares)     6,747        
Common shares issued for legal services valued at $ .60 per share, January 20, 2009     8 4,992     5,000
Common shares issued for legal services valued at $ .60 per share, January 20, 2009 (in shares)     8,333        
Common shares issued for consulting and legal services valued at $ .78 per share, January 31, 2009     7 4,992     4,999
Common shares issued for consulting and legal services valued at $ .78 per share, January 31, 2009 (in shares)     7,463        
Common shares issued for consulting services valued at $.78 per share, January 31, 2009     8 5,592     5,600
Common shares issued for consulting services valued at $.78 per share, January 31, 2009 (in shares)     8,358        
Common shares issued for consulting services valued at $ .70 per share, February 1, 2009     50 34,950     35,000
Common shares issued for consulting services valued at $ .70 per share, February 1, 2009 (in shares)     50,000        
Warrants issued to Scientific Advisory Board, February 15, 2009       29,000     29,000
Common shares issued for consulting and legal services valued at $ .71 per share, February 28, 2009     7 4,992     4,999
Common shares issued for consulting and legal services valued at $ .71 per share, February 28, 2009 (in shares)     7,042        
Common shares issued for consulting services valued at $.71 per share, February 15, 2009     8 5,592     5,600
Common shares issued for consulting services valued at $.71 per share, February 15, 2009 (in shares)     7,887        
Common shares issued for consulting and legal services valued at $ .67 per share, March 31, 2009     6 4,994     5,000
Common shares issued for consulting and legal services valued at $ .67 per share, March 31, 2009 (in shares)     6,410        
Common shares issued for consulting services valued at $.67 per share, March 31 , 2009     7 5,593     5,600
Common shares issued for consulting services valued at $.67 per share, March 31 , 2009 (in shares)     7,179        
Common shares issued to acquire equipment valued at $0.79 per share     173 137,327     137,500
Common shares issued to acquire equipment valued at $0.79 per share (in shares)     172,500        
Common shares issued for consulting and legal services valued at $0.69 per share, April 30, 2009     7 4,993     5,000
Common shares issued for consulting and legal services valued at $0.69 per share, April 30, 2009 (in shares)     7,205        
Common shares issued for consulting services valued at $.69 per share, April 30, 2009     8 5,592     5,600
Common shares issued for consulting services valued at $.69 per share, April 30, 2009 (in shares)     8,069        
Warrants issued to Scientific Advisory Board, May 15, 2009       30,600     30,600
Common shares issued for consulting and legal services valued at $ .66 per share, May 31, 2009     8 4,992     5,000
Common shares issued for consulting and legal services valued at $ .66 per share, May 31, 2009 (in shares)     7,599        
Common shares issued for consulting services valued at $.66 per share, May 31, 2009     9 5,590     5,599
Common shares issued for consulting services valued at $.66 per share, May 31, 2009 (in shares)     8,511        
Common shares issued for consulting services valued at $ .61 per share, June 30, 2009     25 14,975     15,000
Common shares issued for consulting services valued at $ .61 per share, June 30, 2009 (in shares)     24,721        
Common shares issued for consulting and legal services valued at $ .56 per share, June 30, 2009     9 4,991     5,000
Common shares issued for consulting and legal services valued at $ .56 per share, June 30, 2009 (in shares)     8,961        
Shares issued for consulting services valued at $.56 per share, June 30, 2009     10 5,590     5,600
Shares issued for consulting services valued at $.56 per share, June 30, 2009 (in shares)     10,038        
Common shares and warrants issued in connection with private placement of common stock, June 30, 2009     150 74,850     75,000
Common shares and warrants issued in connection with private placement of common stock, June 30, 2009 (in shares)     150,000        
Common shares and warrants issued in connection with warrant conversion, June 30, 2009     2,051 1,023,299 (100,000)   925,350
Common shares and warrants issued in connection with warrant conversion, June 30, 2009 (in shares)     2,050,700        
Net loss           (2,787,798) (2,787,798)
Balance at Jun. 30, 2009 0 0 125,299 14,455,778 (100,000) (11,995,535) 2,485,542
Balance (in shares) at Jun. 30, 2009 0 0 125,299,457        
Collection of stock subscriptions receivable         100,000   100,000
Common shares issued to settle account payable     33 25,167     25,200
Common shares issued to settle account payable (in shares)     32,500        
Payment of Finder's Fee       (5,250)     (5,250)
Common shares issued for consulting and legal services valued at $ .66 per share, July 31, 2009     8 4,992     5,000
Common shares issued for consulting and legal services valued at $ .66 per share, July 31, 2009 (in shares)     7,576        
Common shares issued for consulting services valued at $.66 per share, July 31, 2009     8 5,592     5,600
Common shares issued for consulting services valued at $.66 per share, July 31, 2009 (in shares)     8,485        
Warrants issued to Scientific Advisory Board, August 15, 2009       41,400     41,400
Common shares issued for consulting and legal services valued at $ .86 per share, August 31, 2009     7 4,993     5,000
Common shares issued for consulting and legal services valued at $ .86 per share, August 31, 2009 (in shares)     6,512        
Common shares issued for consulting services valued at $.86 per share, August 31, 2009     6 5,594     5,600
Common shares issued for consulting services valued at $.86 per share, August 31, 2009 (in shares)     5,814        
Common shares issued for consulting services valued at $ .89 per share, September 30, 2009     6 5,594     5,600
Common shares issued for consulting services valued at $ .89 per share, September 30, 2009 (in shares)     6,292        
Common shares issued for consulting and legal services valued at $ .89 per share, September 30, 2009     6 4,994     5,000
Common shares issued for consulting and legal services valued at $ .89 per share, September 30, 2009 (in shares)     5,618        
Common shares and warrants issued in connection with private placement of common stock, September 30, 2009     2,675 1,334,825     1,337,500
Common shares and warrants issued in connection with private placement of common stock, September 30, 2009 (in shares)     2,675,000        
Common shares and warrants issued in connection with warrant conversion, September 30, 2009     3,760 1,876,140     1,879,900
Common shares and warrants issued in connection with warrant conversion, September 30, 2009 (in shares)     3,759,800        
Common shares issued for consulting and legal services valued at $ .57 per share, October 1, 2009     35 19,965     20,000
Common shares issued for consulting and legal services valued at $ .57 per share, October 1, 2009 (in shares)     35,088        
Common shares issued for Legal services valued at $56.50 per share, October 26, 2009     13 7,050     7,063
Common shares issued for Legal services valued at $56.50 per share, October 26, 2009 (in shares)     12,500        
Warrants issued for commissions, October 26, 2009       3,570     3,570
Common shares issued for consulting and legal services valued at $ .73 per share, October 31, 2009     7 4,993     5,000
Common shares issued for consulting and legal services valued at $ .73 per share, October 31, 2009 (in shares)     6,859        
Common shares issued for consulting services valued at $.73 per share, October 31, 2009     8 5,592     5,600
Common shares issued for consulting services valued at $.73 per share, October 31, 2009 (in shares)     7,682        
Common shares issued upon conversion of Warrants, November 10, 2009     10 1,430     1,440
Common shares issued upon conversion of Warrants, November 10, 2009 (in shares)     10,000        
Warrants issued to Scientific Advisory Board, November 15, 2009       39,600     39,600
Common shares issued for consulting and legal services valued at $ .86 per share, November 30, 2009     6 4,994     5,000
Common shares issued for consulting and legal services valued at $ .86 per share, November 30, 2009 (in shares)     5,814        
Common shares issued for consulting services valued at $.86 per share, November 30, 2009     10 8,390     8,400
Common shares issued for consulting services valued at $.86 per share, November 30, 2009 (in shares)     9,767        
Common shares issued for consulting services valued at $ .85 per share, December 31, 2009     10 8,390     8,400
Common shares issued for consulting services valued at $ .85 per share, December 31, 2009 (in shares)     9,917        
Common shares issued for consulting and legal services valued at $ .85 per share, December 31, 2009     6 4,994     5,000
Common shares issued for consulting and legal services valued at $ .85 per share, December 31, 2009 (in shares)     5,903        
Common shares issued for consulting and legal services valued at $1.043 per share, January 31, 2010     5 4,995     5,000
Common shares issued for consulting and legal services valued at $1.043 per share, January 31, 2010 (in shares)     4,794        
Warrants issued to Scientific Advisory Board, February 15, 2010       40,200,000     40,200,000
Series A Preferred Shares issued for TheraCour license valued at $.001 par value, February 15, 2010 7,000           7,000
Series A Preferred Shares issued for TheraCour license valued at $.001 par value, February 15, 2010 (in shares) 7,000,000            
Common shares issued for consulting services valued at $1.096 per share, February 28, 2010     5 4,995     5,000
Common shares issued for consulting services valued at $1.096 per share, February 28, 2010 (in shares)     4,562        
Common shares issued for employee stock compensation valued at $1.25 per share, March 3, 2010     125 156,125     156,250
Common shares issued for employee stock compensation valued at $1.25 per share, March 3, 2010 (in shares)     125,000        
Common shares issued for employee stock compensation valued at $1.25 per share, March 3, 2010     125 156,125     156,250
Common shares issued for employee stock compensation valued at $1.25 per share, March 3, 2010 (in shares)     125,000        
Series A Preferred Shares issued for employee stock compensation, March 3, 2010 250     513,573     513,823
Series A Preferred Shares issued for employee stock compensation, March 3, 2010 (in shares) 250,000            
Series A Preferred Shares issued for employee stock compensation, March 3, 2010 250     513,573     513,823
Series A Preferred Shares issued for employee stock compensation, March 3, 2010 (in shares) 250,000            
Series A Preferred Shares issued for employee stock compensation, March 3, 2010 94     192,590     192,684
Series A Preferred Shares issued for employee stock compensation, March 3, 2010 (in shares) 93,750            
Common shares issued for consulting and legal servies valued at $1.25 per share, March 3, 2010     1 1,249     1,250
Common shares issued for consulting and legal servies valued at $1.25 per share, March 3, 2010 (in shares)     1,000        
Common shares issued for consulting services valued at $1.417 per share, March 31, 2010     4 4,996     5,000
Common shares issued for consulting services valued at $1.417 per share, March 31, 2010 (in shares)     3,529        
Common shares issued in lieu of payment of accounts payable - All Sciences     40 31,660     31,700
Common shares issued in lieu of payment of accounts payable - All Sciences (in shares)     39,625        
Common shares issued for consulting and legal services valued at $2.087 per share, April 30, 2010     2 4,998     5,000
Common shares issued for consulting and legal services valued at $2.087 per share, April 30, 2010 (in shares)     2,396        
Series B Preferred Shares issued to SeaSide 88, LP, May 12, 2010   500   4,999,500     5,000,000
Series B Preferred Shares issued to SeaSide 88, LP, May 12, 2010 (in shares)   500,000          
Placement Agents Fees related to sale of Convertible Preferred shares, May 12, 2010       (400,000)     (400,000)
Legal Fees related to Sale of Convertible Preferred Stock, May 12, 2010       (50,000)     (50,000)
Derivative Liability - Issuance of Series B Preferred Shares       (1,787,379)     (1,787,379)
Common shares issued for conversion of Series B Preferred Shares at $1.88 per share, May 12, 2010     319       319
Common shares issued for conversion of Series B Preferred Shares at $1.88 per share, May 12, 2010 (in shares)     319,331        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, May 12, 2010   (60)         (60)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, May 12, 2010 (in shares)   (60,000)          
Derivative Liability - Retirement of Series B Preferred Shares, May 12, 2010       128,053     128,053
Warrants issued to Scientific Advisory Board, May 15, 2010       82,800     82,800
Common shares issued for conversion of Series B Preferred Shares at $1.51 per share, May 26, 2010     398       398
Common shares issued for conversion of Series B Preferred Shares at $1.51 per share, May 26, 2010 (in shares)     398,189        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, May 26, 2010   (60)         (60)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, May 26, 2010 (in shares)   (60,000)          
Dividend paid to Seaside 88, LP, May 26, 2010       (16,877)     (16,877)
Common shares issued as Dividend to Seaside 88, LP at $1.64, May 26, 2010     10 16,867     16,877
Common shares issued as Dividend to Seaside 88, LP at $1.64, May 26, 2010 (in shares)     10,300        
Derivative Liability - Retirement of Series B Preferred Shares, May 26, 2010       151,852     151,852
Common shares issued for consulting and legal services valued at $2.083 per share, May 31, 2010     2 4,998     5,000
Common shares issued for consulting and legal services valued at $2.083 per share, May 31, 2010 (in shares)     2,400        
Common shares issued for conversion of warrants to Common Stock at $1.00 per share, June 9, 2010     195 194,805     195,000
Common shares issued for conversion of warrants to Common Stock at $1.00 per share, June 9, 2010 (in shares)     195,000        
Common shares issued for conversion of Series B Preferred Shares at $1.41 per share, June 9, 2010     427       427
Common shares issued for conversion of Series B Preferred Shares at $1.41 per share, June 9, 2010 (in shares)     426,721        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, June 9, 2010   (60)         (60)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, June 9, 2010 (in shares)   (60,000)          
Dividend paid to Seaside 88, LP, June 9, 2010       (14,575)     (14,575)
Common shares issued as Dividend to Seaside 88, LP at $1.41, June 9, 2010     10 14,565     14,575
Common shares issued as Dividend to Seaside 88, LP at $1.41, June 9, 2010 (in shares)     10,366        
Derivative Liability - Retirement of Series B Preferred Shares, June 9, 2010       149,364     149,364
Common shares issued for consulting and legal services valued at $1.77 per share, June 9, 2010     11 19,989     20,000
Common shares issued for consulting and legal services valued at $1.77 per share, June 9, 2010 (in shares)     11,300        
Common shares issued for consulting and legal services valued at $1.77 per share, June 9, 2010     2 3,538     3,540
Common shares issued for consulting and legal services valued at $1.77 per share, June 9, 2010 (in shares)     2,000        
Common shares issued for conversion of Series B Preferred Shares at $1.59 per share, June 23, 2010     378       378
Common shares issued for conversion of Series B Preferred Shares at $1.59 per share, June 23, 2010     377,905        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, June 23, 2010   (60)         (60)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, June 23, 2010 (in shares)   (60,000)          
Dividend paid to Seaside 88, LP, June 23, 2010       (12,274)     (12,274)
Common shares issued as Dividend to Seaside 88, LP at $1.59, June 23, 2010     7 12,268     12,275
Common shares issued as Dividend to Seaside 88, LP at $1.59, June 23, 2010 (in shares)     7,731        
Derivative Liability - Retirement of Series B Preferred Shares, June 23, 2010       120,254     120,254
Common shares issued for consulting and legal services valued at $1.043 per share, June 30, 2010     2 4,998     5,000
Common shares issued for consulting and legal services valued at $1.043 per share, June 30, 2010 (in shares)     2,738        
Net loss           (4,744,208) (4,744,208)
Balance at Jun. 30, 2010 7,594 260 133,981 23,116,612 0 (16,739,743) 6,518,704
Balance (in shares) at Jun. 30, 2010 7,593,750 260,000 133,980,471        
Common shares issued for conversion of Series B Preferred Shares at $1.51 per share, July 7, 2010     397       397
Common shares issued for conversion of Series B Preferred Shares at $1.51 per share, July 7, 2010 (in shares)     397,088        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, July 7, 2010   (60)         (60)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, July 7, 2010 (in shares)   (60,000)          
Dividend paid to Seaside 88, LP, July 7, 2010       (9,973)     (9,973)
Common shares issued as dividend to Seaside 88, LP at $1.65 per share, July 7, 2010     6 9,967     9,973
Common shares issued as dividend to Seaside 88, LP at $1.65 per share, July 7, 2010 (in shares)     6,061        
Derivative liability - retirement of Series B Preferred Shares, July 7, 2010       116,715     116,715
Common shares issued for conversion of Series B Preferred Shares at $1.30 per share, July 21, 2010     463       463
Common shares issued for conversion of Series B Preferred Shares at $1.30 per share, July 21, 2010 (in shares)     463,177        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, July 21, 2010   (60)         (60)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, July 21, 2010 (in shares)   (60,000)          
Dividend paid to Seaside 88, LP, July 21, 2010       (7,671)     (7,671)
Common shares issued as dividend to Seaside 88, LP at $1.32 per share, July 21, 2010     6 7,665     7,671
Common shares issued as dividend to Seaside 88, LP at $1.32 per share, July 21, 2010 (in shares)     5,794        
Derivative liability - retirement of Series B Preferred Shares, July 21, 2010       113,700     113,700
Common shares issued for consulting and legal services valued at $2.087 per share, July 31, 2010     3 4,997     5,000
Common shares issued for consulting and legal services valued at $2.087 per share, July 31, 2010 (in shares)     3,086        
Common shares issued for conversion of Series B Preferred Shares at $1.14 per share, August 4, 2010     527       527
Common shares issued for conversion of Series B Preferred Shares at $1.14 per share, August 4, 2010 (in shares)     526,916        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, August 4, 2010   (60)         (60)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, August 4, 2010 (in shares)   (60,000)          
Dividend paid to Seaside 88, LP, August 4, 2010       (5,370)     (5,370)
Common shares issued as dividend to Seaside 88, LP, at $1.14 per share, August 4, 2010     5 5,365     5,370
Common shares issued as dividend to Seaside 88, LP, at $1.14 per share, August 4, 2010 (in shares)     4,716        
Derivative liability - retirement of Series B Preferred Shares, August 4, 2010       104,480     104,480
Warrants issued to Scientific Advisory Board, August 15, 2010       45,000     45,000
Common shares issued in conversion of Series B Preferred Shares at $0.99 per share, August 18, 2010     606       606
Common shares issued in conversion of Series B Preferred Shares at $0.99 per share, August 18, 2010 (in shares)     606,367        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, August 18, 2010   (60)         (60)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, August 18, 2010 (in shares)   (60,000)          
Dividend paid to Seaside 88, LP, August 18, 2010       (3,068)     (3,068)
Common shares issued as dividend to Seaside 88, LP at $0.99 per share, August 18, 2010     3 3,065     3,068
Common shares issued as dividend to Seaside 88, LP at $0.99 per share, August 18, 2010 (in shares)     3,101        
Derivative liability - retirement of Series B Preferred Shares, August 18, 2010       104,795     104,795
Common shares issued for consulting and legal services valued at $1.24 per share, August 31, 2010     4 4,996     5,000
Common shares issued for consulting and legal services valued at $1.24 per share, August 31, 2010 (in shares)     4,032        
Common shares issued for conversion of Series B Preferred Shares at $0.93 per share, September 1, 2010     215       215
Common shares issued for conversion of Series B Preferred Shares at $0.93 per share, September 1, 2010 (in shares)     215,332        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, September 1, 2010   (20)         (20)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, September 1, 2010 (in shares)   (20,000)          
Dividend paid to Seaside 88, LP, September 1, 2010       (767)     (767)
Common shares issued as dividend to Seaside 88, LP at $1.00 per share, September 1, 2010     1 766     767
Common shares issued as dividend to Seaside 88, LP at $1.00 per share, September 1, 2010 (in shares)     766        
Derivative liability - retirement of Series B Preferred Shares, September 1, 2010       34,841     34,841
Series B Preferred Shares issued to SeaSide 88, LP, September 21, 2010   250   2,499,750     2,500,000
Series B Preferred Shares issued to SeaSide 88, LP, September 21, 2010 (in shares)   250,000          
Placement Agents fees related to sale of Convertible Preferred shares, September 21, 2010       (195,000)     (195,000)
Legal fees related to sale of Convertible Preferred Stock, September 21, 2010       (10,000)     (10,000)
Derivative liability - issuance of Series B Preferred Shares       (328,086)     (328,086)
Common shares issued for conversion of Series B Preferred Shares at $0.93 per share, September 21, 2010     430       430
Common shares issued for conversion of Series B Preferred Shares at $0.93 per share, September 21, 2010 (in shares)     430,015        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, September 21, 2010   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, September 21, 2010 (in shares)   (40,000)          
Derivative liability - retirement of Series B Preferred Shares, September 21, 2010       103,012     103,012
Common shares issued for consulting and legal services valued at $1.07 per share, September 30, 2010     5 4,995     5,000
Common shares issued for consulting and legal services valued at $1.07 per share, September 30, 2010 (in shares)     4,673        
Common shares issued for conversion of Series B Preferred Shares at $0.87 per share, October 5, 2010     460       460
Common shares issued for conversion of Series B Preferred Shares at $0.87 per share, October 5, 2010 (in shares)     460,246        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, October 5, 2010   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, October 5, 2010 (in shares)   (40,000)          
Dividend paid to Seaside 88, LP, on October 5, 2010       (8,055)     (8,055)
Common shares issued as dividend to Seaside 88, LP at $0.87 per share, October 5, 2010     9 8,046     8,055
Common shares issued as dividend to Seaside 88, LP at $0.87 per share, October 5, 2010 (in shares)     9,268        
Derivative liability - Retirement of Series B Preferred Shares, October 5, 2010       103,330     103,330
Common shares issued for conversion of Series B Preferred Shares at $0.88 per share, October 19, 2010     453       453
Common shares issued for conversion of Series B Preferred Shares at $0.88 per share, October 19, 2010 (in shares)     452,965        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, October 19, 2010   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, October 19, 2010 (in shares)   (40,000)          
Dividend paid to Seaside 88, LP, October 19, 2010       (6,521)     (6,521)
Common shares issued as dividend to Seaside 88, LP at $0.88 per share, October 19, 2010     7 6,514     6,521
Common shares issued as dividend to Seaside 88, LP at $0.88 per share, October 19, 2010 (in shares)     7,384        
Derivative liability - Retirement of Series B Preferred Shares, October 19, 2010       69,635     69,635
Common shares issued for consulting and legal services valued at $1.03 per share, October 31, 2010     5 4,995     5,000
Common shares issued for consulting and legal services valued at $1.03 per share, October 31, 2010 (in shares)     4,854        
Series A Preferred Shares issued for employee stock compensation, November 1, 2010 30     53,903     53,933
Series A Preferred Shares issued for employee stock compensation, November 1, 2010 (in shares) 30,000            
Common shares issued for conversion of Series B Preferred Shares at $0.87 per share, November 2, 2010     461       461
Common shares issued for conversion of Series B Preferred Shares at $0.87 per share, November 2, 2010 (in shares)     461,313        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, August 4, 2010   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, August 4, 2010 (in shares)   (40,000)          
Dividend paid to Seaside 88, LP, November 2, 2010       (4,986)     (4,986)
Common shares issued as dividend to Seaside 88, LP at $0.87 per share, November 2, 2010     6 4,980     4,986
Common shares issued as dividend to Seaside 88, LP at $0.87 per share, November 2, 2010 (in shares)     5,751        
Derivative liability - retirement of Series B Preferred Shares, November 2, 2010       69,104     69,104
Warrants issued to Scientific Advisory Board, November 15, 2010       55,800     55,800
Common shares issued for conversion of Series B Preferred Shares at $1.16 per share, November 16, 2010     346       346
Common shares issued for conversion of Series B Preferred Shares at $1.16 per share, November 16, 2010 (in shares)     345,817        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, November 16, 2010   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, November 16, 2010 (in shares)   (40,000)          
Dividend paid to Seaside 88, LP, November 16, 2010       (3,452)     (3,452)
Common shares issued as dividend to Seaside 88, LP at $1.16 per share, November 16, 2010     3 3,449     3,452
Common shares issued as dividend to Seaside 88, LP at $1.16 per share, November 16, 2010 (in shares)     2,984        
Derivative liability - Retirement of Series B Preferred Shares, November 16, 2010       69,187     69,187
Common shares issued for conversion of Series B Preferred Shares at $1.35 per share, November 30, 2010     311       311
Common shares issued for conversion of Series B Preferred Shares at $1.35 per share, November 30, 2010 (in shares)     310,566        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, November 30, 2010   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, November 30, 2010 (in shares)   (40,000)          
Dividend paid to Seaside 88, LP, November 30, 2010       (1,918)     (1,918)
Common shares issued as dividend to Seaside 88, LP at $1.35 per share, November 30, 2010     1 1,917     1,918
Common shares issued as dividend to Seaside 88, LP at $1.35 per share, November 30, 2010 (in shares)     1,417        
Derivative liability - Retirement of Series B Preferred Shares, November 30, 2010       69,449     69,449
Common shares issued for consulting and legal services valued at $1.46 per share, November 30, 2010     3 4,997     5,000
Common shares issued for consulting and legal services valued at $1.46 per share, November 30, 2010 (in shares)     3,425        
Common shares issued for conversion of warrants to Common Stock at $1.00 per share, December 10, 2010     25 24,975     25,000
Common shares issued for conversion of warrants to Common Stock at $1.00 per share, December 10, 2010 (in shares)     25,000        
Common shares issued as compensation pursuant to S-8 at $1.28 per share, December 10, 2010     50 63,950     64,000
Common shares issued as compensation pursuant to S-8 at $1.28 per share, December 10, 2010 (in shares)     50,000        
Common shares issued for conversion of Series B Preferred Shares at $1.10 per share, December 14, 2010     91       91
Common shares issued for conversion of Series B Preferred Shares at $1.10 per share, December 14, 2010 (in shares)     90,840        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, December 14, 2010   (10)         (10)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, December 14, 2010 (in shares)   (10,000)          
Dividend paid to Seaside 88, LP, December 14 2010       (384)     (384)
Common shares issued as Dividend to Seaside 88, LP, at $1.10 per share, December 14, 2010     0 384     384
Common shares issued as Dividend to Seaside 88, LP, at $1.10 per share, December 14, 2010 (in shares)     348        
Derivative liability - retirement of Series B Preferred Shares, December 14, 2010       17,438     17,438
Series B Preferred Shares issued to SeaSide 88, LP, December 21, 2010   250   2,499,750     2,500,000
Series B Preferred Shares issued to SeaSide 88, LP, December 21, 2010 (in shares)   250,000          
Placement Agents fees related to sale of Convertible Preferred shares, December 21, 2010       (200,000)     (200,000)
Common shares issued for consulting and legal services valued at $1.32 per share, December 31, 2010     5 5,995     6,000
Common shares issued for consulting and legal services valued at $1.32 per share, December 31, 2010 (in shares)     4,545        
Adjustment     33       33
Common shares issued for conversion of Series B Preferred Shares at $1.16 per share, January 3, 2011     344       344
Common shares issued for conversion of Series B Preferred Shares at $1.16 per share, January 3, 2011 (in shares)     343,796        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, January 3, 2011   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, January 3, 2011 (in shares)   (40,000)          
Dividend paid to Seaside 88, LP, January 3, 2011       (8,904)     (8,904)
Common shares issued as dividend to Seaside 88, LP at $1.16 per share, January 3, 2011     8 8,896     8,904
Common shares issued as dividend to Seaside 88, LP at $1.16 per share, January 3, 2011 (in shares)     7,653        
Derivative liability - retirement of Series B Preferred Shares, January 3, 2011       73,532     73,532
Common shares issued for conversion of Series B Preferred Shares at $1.26 per share, January 17, 2011     318       318
Common shares issued for conversion of Series B Preferred Shares at $1.26 per share, January 17, 2011 (in shares)     317,965        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, January 17, 2011   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, January 17, 2011 (in shares)   (40,000)          
Dividend paid to Seaside 88, LP, January 17, 2011       (8,055)     (8,055)
Common shares issued as dividend to Seaside 88, LP at $1.26 per share, January 17, 2011     6 8,049     8,055
Common shares issued as dividend to Seaside 88, LP at $1.26 per share, January 17, 2011 (in shares)     6,403        
Derivative liability - retirement of Series B Preferred Shares, January 17, 2011       70,882     70,882
Common shares issued for conversion of Series B Preferred Shares at $1.12 per share, January 31, 2011     356       356
Common shares issued for conversion of Series B Preferred Shares at $1.12 per share, January 31, 2011 (in shares)     356,422        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, January 31, 2011   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, January 31, 2011 (in shares)   (40,000)          
Dividend paid to Seaside 88, LP, January 31, 2011       (6,521)     (6,521)
Common shares issued as dividend to Seaside 88, LP at $1.24 per share, January 31, 2011     5 6,516     6,521
Common shares issued as dividend to Seaside 88, LP at $1.24 per share, January 31, 2011 (in shares)     5,271        
Derivative liability - retirement ofSeries B Preferred Shares, January 31, 2011       72,432     72,432
Common shares issued for consulting and legal services valued at $1.47 per share, January 31, 2011     4 5,996     6,000
Common shares issued for consulting and legal services valued at $1.47 per share, January 31, 2011 (in shares)     4,087        
Common shares issued for conversion of warrants at $1.00 per share, February 4, 2011     25 24,975     25,000
Common shares issued for conversion of warrants at $1.00 per share, February 4, 2011 (in shares)     25,000        
Common shares issued for conversion of Series B Preferred Shares at $1.08 per share, February 14, 2011     370       370
Common shares issued for conversion of Series B Preferred Shares at $1.08 per share, February 14, 2011 (in shares)     370,017        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, February 14, 2011   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, February 14, 2011 (in shares)   (40,000)          
Dividend paid to Seaside 88, LP, February 14, 2011       (4,986)     (4,986)
Common shares issued as dividend to Seaside 88, LP, at $1.08 per share, February 14, 2011     5 4,981     4,986
Common shares issued as dividend to Seaside 88, LP, at $1.08 per share, February 14, 2011 (in shares)     4,613        
Derivative liability - retirement of Series B Preferred Shares, February 14, 2011       71,699     71,699
Warrants issued to Scientific Advisory Board, Feburary 15, 2011       54,000     54,000
Common shares issued for conversion of Series B Preferred Shares at $0.99 per share, February 28, 2011     406       406
Common shares issued for conversion of Series B Preferred Shares at $0.99 per share, February 28, 2011 (in shares)     405,610        
Derivative liability - retirement of Series B Preferred Shares, February 28, 2011       71,490     71,490
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, February 28, 2011   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, February 28, 2011 (in shares)   (40,000)          
Dividend paid to Seaside 88, LP, February 28, 2011       (3,452)     (3,452)
Common shares issued as dividend to Seaside 88, LP at $0.99 per shares, February 28, 2011     4 3,448     3,452
Common shares issued as dividend to Seaside 88, LP at $0.99 per shares, February 28, 2011 (in shares)     3,500        
Common shares issued for consulting and legal services valued at $1.22 per share, February 28, 2011     5 5,995     6,000
Common shares issued for consulting and legal services valued at $1.22 per share, February 28, 2011 (in shares)     4,902        
Common shares issued for employee stock compensation at $1.32 per share, March 3, 2011     125 158,000     158,125
Common shares issued for employee stock compensation at $1.32 per share, March 3, 2011 (in shares)     125,000        
Common shares issued for employee stock compensation at $1.32 per share, March 3, 2011     125 158,000     158,125
Common shares issued for employee stock compensation at $1.32 per share, March 3, 2011 (in shares)     125,000        
Series A Preferred Shares issued for employee stock compensation, March 3, 2011 250     574,331     574,581
Series A Preferred Shares issued for employee stock compensation, March 3, 2011 (in shares) 250,000            
Series A Preferred Shares issued for employee stock compensation, March 3, 2011 250     574,331     574,581
Series A Preferred Shares issued for employee stock compensation, March 3, 2011 (in shares) 250,000            
Series A Preferred Shares issued for employee stock compensation, March 3, 2011 94     215,374     215,468
Series A Preferred Shares issued for employee stock compensation, March 3, 2011 (in shares) 93,750            
Common shares issued for conversion of Series B Preferred Shares at $1.09 per share, March 14, 2011     367       367
Common shares issued for conversion of Series B Preferred Shares at $1.09 per share, March 14, 2011 (in shares)     367,274        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, March 14, 2011   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, March 14, 2011 (in shares)   (40,000)          
Dividend paid to Seaside 88, LP, March 14, 2011       (1,918)     (1,918)
Common shares issued as Dividend to Seaside 88, LP at $1.09 per shares, March 14, 2011     2 1,916     1,918
Common shares issued as Dividend to Seaside 88, LP at $1.09 per shares, March 14, 2011 (in shares)     1,761        
Derivative Liability - Retirement of Series B Preferred Shares, March 14, 2011       70,566     70,566
Common shares issued for conversion of Series B Preferred Shares at $1.11 per share, March 28, 2011     90       90
Common shares issued for conversion of Series B Preferred Shares at $1.11 per share, March 28, 2011 (in shares)     89,986        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, March 28, 2011   (10)         (10)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, March 28, 2011 (in shares)   (10,000)          
Dividend paid to Seaside 88, LP, March 28, 2011       (384)     (384)
Common shares issued as dividend to Seaside 88, LP, at $1.11 per share, March 28, 2011     0 384     384
Common shares issued as dividend to Seaside 88, LP, at $1.11 per share, March 28, 2011 (in shares)     345        
Derivative liability - retirement of Series B Preferred Shares, March 28, 2011       17,525     17,525
Common shares issued for consulting and legal services valued at $1.28 per share, March 31, 2011     5 5,995     6,000
Common shares issued for consulting and legal services valued at $1.28 per share, March 31, 2011 (in shares)     4,680        
Common shares issued for conversion of warrants to common stock at $1.00 per share, April 10, 2011     10 9,990     10,000
Common shares issued for conversion of warrants to common stock at $1.00 per share, April 10, 2011 (in shares)     10,000        
Series B Preferred Shares issued to SeaSide 88, LP, April 18, 2011   250   2,499,750     2,500,000
Series B Preferred Shares issued to SeaSide 88, LP, April 18, 2011 (in shares)   250,000          
Placement Agents fees related to sale of Convertible Preferred shares, April 18, 2011       (160,000)     (160,000)
Legal fees related to Sale of Convertible Preferred Stock, April 18, 2011       (25,000)     (25,000)
Derivative liability - issuance of Series B Preferred Shares       (429,725)     (429,725)
Common shares issued for conversion of Series B Preferred Shares at $1.28 per share, April 18, 2011     312 (272)     40
Common shares issued for conversion of Series B Preferred Shares at $1.28 per share, April 18, 2011 (in shares)     312,163        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, April 18, 2011   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, April 18, 2011 (in shares)   (40,000)          
Derivative liability - retirement of Series B Preferred Shares, April 18, 2011       68,756     68,756
Common shares issued for consulting and legal services valued at $1.47 per share, April 30, 2011     4 5,996     6,000
Common shares issued for consulting and legal services valued at $1.47 per share, April 30, 2011 (in shares)     4,087        
Common shares issued for conversion of Series B Preferred Shares at $1.18 per share, May 2, 2011     340 (300)     40
Common shares issued for conversion of Series B Preferred Shares at $1.18 per share, May 2, 2011 (in shares)     339,726        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, May 2, 2011   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, May 2, 2011 (in shares)   (40,000)          
Derivative liability - retirement of Series B Preferred Shares, May 2, 2011       68,941     68,941
Dividend paid to Seaside 88, LP, May 2, 2011       (8,055)     (8,055)
Common shares issued as dividend to Seaside 88, LP at $1.18 per shares, May 2, 2011     7 8,048     8,055
Common shares issued as dividend to Seaside 88, LP at $1.18 per shares, May 2, 2011 (in shares)     6,841        
Warrants issued to Scientific Advisory Board, May 15, 2011       50,400     50,400
Common shares issued for conversion of Series B Preferred Shares at $1.19 per share, May 16, 2011     337 (297)     40
Common shares issued for conversion of Series B Preferred Shares at $1.19 per share, May 16, 2011 (in shares)     336,501        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, May 16, 2011   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, May 16, 2011 (in shares)   (40,000)          
Derivative liability - retirement of Series B Preferred Shares, May 16, 2011       69,194     69,194
Dividend paid to Seaside 88, LP, May 16, 2011       (6,521)     (6,521)
Common shares issued as dividend to Seaside 88, LP at $1.20 per shares, May 16, 2011     5 6,516     6,521
Common shares issued as dividend to Seaside 88, LP at $1.20 per shares, May 16, 2011 (in shares)     5,438        
Common shares issued for conversion of Series B Preferred Shares at $1.23 per share, May 30, 2011     326 (286)     40
Common shares issued for conversion of Series B Preferred Shares at $1.23 per share, May 30, 2011 (in shares)     326,480        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, May 30, 2011   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, May 30, 2011 (in shares)   (40,000)          
Derivative liability - retirement of Series B Preferred Shares, May 30, 2011       69,464     69,464
Dividend paid to Seaside 88, LP, May 30, 2011       (4,986)     (4,986)
Common shares issued as Dividend to Seaside 88, LP at $1.23 per share, May 30, 2011     4 4,982     4,986
Common shares issued as Dividend to Seaside 88, LP at $1.23 per share, May 30, 2011 (in shares)     4,070        
Common shares issued for consulting and legal services valued at $1.47 per share, May 31, 2011     4 5,996     6,000
Common shares issued for consulting and legal services valued at $1.47 per share, May 31, 2011 (in shares)     4,087        
Common shares issued for conversion of Series B Preferred Shares at $1.18 per share, June 13, 2011     340 (300)     40
Common shares issued for conversion of Series B Preferred Shares at $1.18 per share, June 13, 2011 (in shares)     339,971        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, June 13, 2011   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, June 13, 2011 (in shares)   (40,000)          
Derivative liability - retirement of Series B Preferred Shares, June 13, 2011       69,727     69,727
Dividend paid to Seaside 88, LP, June 13, 2011       (3,452)     (3,452)
Common shares issued as Dividend to Seaside 88, LP at $1.18 per share, June 13, 2011     3 3,449     3,452
Common shares issued as Dividend to Seaside 88, LP at $1.18 per share, June 13, 2011 (in shares)     2,934        
Common shares issued for conversion of Series B Preferred Shares at $1.02 per share, June 27, 2011     392 (352)     40
Common shares issued for conversion of Series B Preferred Shares at $1.02 per share, June 27, 2011 (in shares)     391,850        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, June 27, 2011   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, June 27, 2011 (in shares)   (40,000)          
Derivative Liability - Retirement of Series B Preferred Share, June 27, 2011       69,973     69,973
Dividend paid to Seaside 88, LP, June 27, 2011       (1,918)     (1,918)
Common shares issued as Dividend to Seaside 88, LP at $1.10 per share, June 27, 2011     2 1,916     1,918
Common shares issued as Dividend to Seaside 88, LP at $1.10 per share, June 27, 2011 (in shares)     1,741        
Common shares issued for consulting and legal services valued at $1.22 per share, June 30, 2011     5 5,995     6,000
Common shares issued for consulting and legal services valued at $1.22 per share, June 30, 2011 (in shares)     4,902        
Net loss           (6,477,166) (6,477,166)
Balance at Jun. 30, 2011 8,218 10 143,582 33,235,990 0 (23,216,909) 10,170,891
Balance (in shares) at Jun. 30, 2011 8,217,500 10,000 143,548,394        
Adjustment     (33) 33     0
Common shares issued for conversion of Series B Preferred Shares at $1.11 per share, July 11, 2011     90       90
Common shares issued for conversion of Series B Preferred Shares at $1.11 per share, July 11, 2011 (in shares)     89,986        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, July 11, 2011   (10)         (10)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, July 11, 2011 (in shares)   (10,000)          
Derivative liability - retirement of Series B Preferred Shares, July 11, 2011       17,880     17,880
Dividend to Seaside 88, LP, paid on July 11, 2011       (381)     (381)
Common shares issued as dividend to Seaside 88, LP at $1.18 per share, July 11, 2011     0 381     381
Common shares issued as dividend to Seaside 88, LP at $1.18 per share, July 11, 2011 (in shares)     345        
Series B Preferred Shares issued to SeaSide 88, LP, on July 26, 2011   250   2,499,750     2,500,000
Series B Preferred Shares issued to SeaSide 88, LP, on July 26, 2011 (in shares)   250,000          
Placement Agents fees related to sale of Convertible Preferred shares, July 26, 2011       (150,000)     (150,000)
Derivative liability - issuance of Series B Preferred Shares       (429,768)     (429,768)
Legal Fees related to Sale of Convertible Preferred Stock, July 26, 2011       (6,250)     (6,250)
Common shares issued in conversion of Series B Preferred Shares to common stock at $1.18 per share, July 26, 2011     378       378
Common shares issued in conversion of Series B Preferred Shares to common stock at $1.18 per share, July 26, 2011 (in shares)     377,800        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, July 26, 2011   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, July 26, 2011 (in shares)   (40,000)          
Derivative liability - retirement of Series B Preferred Shares, July 26, 2011       68,425     68,425
Common shares issued for consulting and legal services valued at $1.26 per share, July 31, 2011     5 5,995     6,000
Common shares issued for consulting and legal services valued at $1.26 per share, July 31, 2011 (in shares)     4,762        
Warrants issued to Scientific Advisory Board, August 15, 2011       56,400     56,400
Common shares issued for conversion of Series B Preferred Shares at $0.92 per share, August 8, 2011     437       437
Common shares issued for conversion of Series B Preferred Shares at $0.92 per share, August 8, 2011 (in shares)     437,187        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, August 8, 2011   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, August 8, 2011 (in shares)   (40,000)          
Derivative liability - retirement of Series B Preferred Shares, August 8, 2011       69,193     69,193
Dividend to Seaside 88, LP, paid on August 8, 2011       (8,055)     (8,055)
Common shares issued as Dividend to Seaside 88, LP at $0.98 per share, August 8, 2011     8 8,047     8,055
Common shares issued as Dividend to Seaside 88, LP at $0.98 per share, August 8, 2011 (in shares)     8,205        
Common shares issued for conversion of Series B Preferred Shares at $0.95 per share, August 23, 2011     420       420
Common shares issued for conversion of Series B Preferred Shares at $0.95 per share, August 23, 2011 (in shares)     419,829        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, August 23, 2011   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, August 23, 2011 (in shares)   (40,000)          
Derivative liability - retirement of Series B Preferred Shares, August 23, 2011       69,351     69,351
Dividend paid to Seaside 88, LP, August 23, 2011       (6,521)     (6,521)
Common shares issued as Dividend to Seaside 88, LP at $0.95 per share, August 23, 2011     7 6,514     6,521
Common shares issued as Dividend to Seaside 88, LP at $0.95 per share, August 23, 2011 (in shares)     6,844        
Common shares issued for consulting and legal services valued at $1.14 per share, August 31, 2011     5 5,995     6,000
Common shares issued for consulting and legal services valued at $1.14 per share, August 31, 2011 (in shares)     5,263        
Common shares issued for conversion of Series B Preferred Shares at $0.95 per share, September 6, 2011     423       423
Common shares issued for conversion of Series B Preferred Shares at $0.95 per share, September 6, 2011 (in shares)     422,873        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, September 6, 2011   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, September 6, 2011 (in shares)   (40,000)          
Derivative liability - retirement of Series B Preferred Shares, September 6, 2011       69,887     69,887
Dividend paid to Seaside 88, LP, September 6, 2011       (4,986)     (4,986)
Common shares issued as Dividend to Seaside 88, LP at $0.95 per share, September 6, 2011     5 4,981     4,986
Common shares issued as Dividend to Seaside 88, LP at $0.95 per share, September 6, 2011 (in shares)     5,264        
Common shares issued in conversion of Series B Preferred Shares at $0.94 per share, September 19, 2011     428       428
Common shares issued in conversion of Series B Preferred Shares at $0.94 per share, September 19, 2011 (in shares)     427,652        
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, September 19, 2011   (40)         (40)
Retirement of Series B Preferred Shares converted into common stock by SeaSide 88, LP, September 19, 2011 (in shares)   (40,000)          
Derivative liability - retirement of Series B Preferred Share, September 19, 2011       69,970     69,970
Dividend to Seaside 88, LP, paid on September 19, 2011       (3,452)     (3,452)
Common shares issued as Dividend to Seaside 88, LP at $0.94 per share, September 19, 2011     3 3,449     3,452
Common shares issued as Dividend to Seaside 88, LP at $0.94 per share, September 19, 2011 (in shares)     3,691        
Common shares issued for consulting and legal services valued at $1.07 per share, September 30, 2011     6 5,994     6,000
Common shares issued for consulting and legal services valued at $1.07 per share, September 30, 2011 (in shares)     5,607        
Net loss           (1,139,976) (1,139,976)
Balance at Sep. 30, 2011 $ 8,218 $ 50 $ 145,764 $ 35,588,822 $ 0 $ (24,356,885) $ 11,385,969
Balance (in shares) at Sep. 30, 2011 8,217,500 50,000 145,763,702