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Statement of Shareholders' Equity (USD $)
Common Stock
Capital Paid in Excess of Par Value
Preferred Stock
Stock Subscription Receivable
Comprehensive Income / Loss
Deficit accumulated During the development stage
Total
Begining Balance, Amount at Aug. 16, 2009 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0
Begining Balance, Shares at Aug. 16, 2009 0            
August 17, 2009 issued 703,118 shares of par value $.001 common stock for services valued at or $.004 per share, Shares 703,118            
August 17, 2009 issued 703,118 shares of par value $.001 common stock for services valued at or $.004 per share, Amount 703 2,297         3,000
August 19, 2009 issued 218,388 shares of par value $.001 common stock for services valued at or $.004 per share, Shares 218,388            
August 19, 2009 issued 218,388 shares of par value $.001 common stock for services valued at or $.004 per share, Amount 218 714         932
August 20, 2009 issued 17,109,194 shares of par value $.001 common stock and 730,000 share of par value $0.10 preferred stock for license agreement Advanomics:Common valued at or $.004 per share and Preferred valued at or $.086 per share, Shares 17,109,194   850,000        
August 20, 2009 issued 17,109,194 shares of par value $.001 common stock and 730,000 share of par value $0.10 preferred stock for license agreement Advanomics:Common valued at or $.004 per share and Preferred valued at or $.086 per share, Amount 17,109 55,891 73,000       146,000
September 24, 2009 : Private Placement-The Company undertook to sell 2,220,552 shares of par value $.001 common stock for cash of $649,000 or $.2922 per share. Company bought 1,150,693 share of par value $.001stock for cash of $336,312 or $.2922 per share; the remaining 1,069,859 shares were collected for cash of $312,688 in October 2009., Shares 1,150,693            
September 24, 2009 : Private Placement-The Company undertook to sell 2,220,552 shares of par value $.001 common stock for cash of $649,000 or $.2922 per share. Company bought 1,150,693 share of par value $.001stock for cash of $336,312 or $.2922 per share; the remaining 1,069,859 shares were collected for cash of $312,688 in October 2009., Amount 1,151 335,161         336,312
September 24, 2009 Common stock subscription (see notation above) for 1,069,074 shares of par value $.001 common stock valued at $.2922 per share       (312,688) 312,688     
September 30, 2009 issued 1,710,748 shares of par value $.001 common stock for asset purchase from Sunshine Bio Investment valued at or $.2922 per share, Shares 1,710,748            
September 30, 2009 issued 1,710,748 shares of par value $.001 common stock for asset purchase from Sunshine Bio Investment valued at or $.2922 per share, Amount 1,711 498,289         500,000
Net (Loss)           (650,130) (650,130)
Ending balance, Amount at Sep. 30, 2009 20,892 892,352 73,000 (312,688) 312,688 (650,130) 336,114
Ending balance, Shares at Sep. 30, 2009 20,892,141   850,000        
October 31, 2009 issuance of common stock subscription, upon receipt of cash 1,069,859 shs of par value $.001 common stock valued at $.2922 per share, Shares 1,069,859            
October 31, 2009 issuance of common stock subscription, upon receipt of cash 1,069,859 shs of par value $.001 common stock valued at $.2922 per share, Amount 1,070 311,618   312,688 (312,688)   312,688
October 31, 2009 Outstanding stock of MWBS counted as issued for MWBS net deficit, Shares 888,000            
October 31, 2009 Outstanding stock of MWBS counted as issued for MWBS net deficit, Amount 888 (30,353)         (29,465)
Subtotal-at October 31, 2009 reverse merger date for accounting purposes, Shares 22,850,000   850,000        
Subtotal-at October 31, 2009 reverse merger date for accounting purposes, Amount 22,850 1,173,617 73,000     (650,130) 619,337
November 16, 2009 Note conversions, several, Principle of $26,500 and interest of $2,965, Shares 6,810,000            
November 16, 2009 Note conversions, several, Principle of $26,500 and interest of $2,965, Amount 6,810 22,655         29,465
Fractional Shares, Shares 7           0
Net (Loss)           (551,000) (551,000)
Ending balance, Amount at Dec. 31, 2009 29,660 1,196,272 73,000 0 0 (1,201,130) 97,802
Ending balance, Shares at Dec. 31, 2009 29,660,007   850,000        
June 2, 2010 issued 1,675,000 shares of par value $.001 common stock for services valued at or $.94 per share, Shares 1,675,000            
June 2, 2010 issued 1,675,000 shares of par value $.001 common stock for services valued at or $.94 per share, Amount 1,675 1,572,825         1,574,500
September 30, 2010 reversed issuance of 1,625,000 shares of par value $.001 common stock for services valued at or $.94 per share, Shares (1,625,000)            
September 30, 2010 reversed issuance of 1,625,000 shares of par value $.001 common stock for services valued at or $.94 per share, Amount (1,625) (1,525,875)         (1,527,500)
September 30, 2010 issued 166,667 shares of par value $.001 common stock for cash at or $.60 per share, Shares 166,667            
September 30, 2010 issued 166,667 shares of par value $.001 common stock for cash at or $.60 per share, Amount 167 99,833         100,000
October 1, 2010 issued 217,000 shares of par value $.001 common stock for services valued at or $.60 per share, Shares 217,000            
October 1, 2010 issued 217,000 shares of par value $.001 common stock for services valued at or $.60 per share, Amount 217 129,983         130,200
October 29, 2010 issued 100,000 shares of par value $.001 common stock for services valued at or $.60 per share, Shares 100,000            
October 29, 2010 issued 100,000 shares of par value $.001 common stock for services valued at or $.60 per share, Amount 100 59,900         60,000
October 31, 2010 issued 419,334 shares of par value $.001 common stock for cash at or $.60 per share, Shares 419,334            
October 31, 2010 issued 419,334 shares of par value $.001 common stock for cash at or $.60 per share, Amount 419 251,181         251,600
November 30, 2010 issued 78,334 shares of par value $.001 common stock for cash at or $.60 per share, Shares 78,334            
November 30, 2010 issued 78,334 shares of par value $.001 common stock for cash at or $.60 per share, Amount 78 46,922         47,000
Net (Loss)           (537,382) (537,382)
Ending balance, Amount at Dec. 31, 2010 30,691 1,831,040 73,000 0 0 (1,738,512) 196,220
Ending balance, Shares at Dec. 31, 2010 30,691,342   850,000        
March 29, 2011 issued 20,000 shares of par value $.001 common stock for services valued at $ 12,000 or $.60 per share, Shares 20,000            
March 29, 2011 issued 20,000 shares of par value $.001 common stock for services valued at $ 12,000 or $.60 per share, Amount 20 11,980         12,000
September 1, 2011 issued 326,00 shares of par value $.001 common stock in a private offering for cash at $0.60 per share, Shares 326,000            
September 1, 2011 issued 326,00 shares of par value $.001 common stock in a private offering for cash at $0.60 per share, Shares, Amount 326 195,274         195,600
November 3, 2011 issued 400,000 shares of par value $.001 common stock for services for services valued at $ 200,000 or $.50 per share, Shares 400,000            
November 3, 2011 issued 400,000 shares of par value $.001 common stock for services for services valued at $ 200,000 or $.50 per share, Amount 400 199,600         200,000
December 16, 2011 issued 291,500 shares of par value $.001 common stock for services for services valued at $ 55,385 or $.19 per share, Shares 291,500            
December 16, 2011 issued 291,500 shares of par value $.001 common stock for services for services valued at $ 55,385 or $.19 per share, Amount 292 55,093         55,385
December 21, 2011 converted 850,000 shares of preferred stock into 17,000,000 shares of par value $.001 common stock, Shares 17,000,000   (850,000)        
December 21, 2011 converted 850,000 shares of preferred stock into 17,000,000 shares of par value $.001 common stock, Amount 17,000 56,000 (73,000)        
Net (Loss)           (556,202) (556,202)
Ending balance, Amount at Dec. 31, 2011 $ 48,729 $ 2,348,987 $ 0 $ 0 $ 0 $ (2,294,714) $ 103,003
Ending balance, Shares at Dec. 31, 2011 48,728,842