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Consolidated Statement of Changes in Stockholders' Equity Deficiency - USD ($)
Total
Common Stock
Additional Paid-in Capital
Retained Earnings
Begining Balance at Dec. 10, 2006
Begining Balance, Shares at Dec. 10, 2006 [1]      
Stock issued for cash on February 22, 2007 @ $0.001 per share, Value $ 3,000 $ 3,000    
Stock issued for cash on February 22, 2007 @ $0.001 per share, Shares [1]   3,000,000    
Stock issued for cash on March 15, 2007 @ $0.001 per share, Value 15,000 $ 1,500 $ 13,500  
Stock issued for cash on March 15, 2007 @ $0.001 per share, Shares [1]   1,500,000    
Stock issued for cash on May 9, 2007 @ $0.001 per share, Value 10,000 $ 500 9,500  
Stock issued for cash on May 9, 2007 @ $0.001 per share, Shares [1]   500,000    
Net loss (482)     $ (482)
Ending Balance at Jul. 31, 2007 27,518 $ 5,000 23,000 (482)
Ending Balance, Shares at Jul. 31, 2007 [1]   5,000,000    
Net loss (32,423)     (32,423)
Ending Balance at Jul. 31, 2008 (4,905) $ 5,000 23,000 (32,905)
Ending Balance, Shares at Jul. 31, 2008 [1]   5,000,000    
Net loss (21,664)     (21,664)
Ending Balance at Jul. 31, 2009 (26,569) $ 5,000 23,000 (54,569)
Ending Balance, Shares at Jul. 31, 2009 [1]   5,000,000    
Net loss (64,124)     (64,124)
Ending Balance at Jul. 31, 2010 (90,693) $ 5,000 23,000 (118,693)
Ending Balance, Shares at Jul. 31, 2010 [1]   5,000,000    
Net loss (113,969)     (113,969)
Ending Balance at Jul. 31, 2011 (204,662) $ 5,000 23,000 (232,662)
Ending Balance, Shares at Jul. 31, 2011 [1]   5,000,000    
Net loss 125,339     125,339
Ending Balance at Jul. 31, 2012 (79,323) $ 5,000 $ 23,000 (107,323)
Ending Balance, Shares at Jul. 31, 2012 [1]   5,000,000    
Net loss (306,792) $ (306,792)
Stock issued for cash on September 12, 2012 @ $11.90* per share, Value 200,000 $ 17 $ 199,983
Stock issued for cash on September 12, 2012 @ $11.90* per share, Shares [1]   16,807    
Stock issued for cash on September 27, 2013 @ $0.001 per share, Value 10 $ 10
Stock issued for cash on September 27, 2013 @ $0.001 per share, Shares [1]   10,000    
Stock issued for cash on October 2, 2013 @ $15.50* per share, Value 150,000 $ 10 $ 149,990
Stock issued for cash on October 2, 2013 @ $15.50* per share, Shares [1]   9,677    
Stock issued for cash on April 2, 2013 @ $2.502* per share, Value 20,015 $ 8 20,007
Stock issued for cash on April 2, 2013 @ $2.502* per share, Shares [1]   8,000    
Ending Balance at Jul. 31, 2013 (16,090) $ 5,045 $ 392,980 $ (414,115)
Ending Balance, Shares at Jul. 31, 2013 [1]   5,044,484    
Net loss (96,292) $ (96,292)
Stock issued for cash on July 7, 2014 @ $0.05 per share, Value 300,000 $ 6,000 $ 294,000
Stock issued for cash on July 7, 2014 @ $0.05 per share, Shares [1]   6,000,000    
Stock issued for cash on July 31, 2014 @ $0.001 per share, Value 1,250 $ 1,250
Stock issued for cash on July 31, 2014 @ $0.001 per share, Shares [1]   1,250,000    
Stock issued for cash on July 31, 2014 @ $0.05 per share, Value 40,000 $ 800 $ 39,200
Stock issued for cash on July 31, 2014 @ $0.05 per share, Shares [1]   800,000    
Stock issued for cash on July 31, 2014 @ $0.08 per share, Value 20,000 $ 250 19,750
Stock issued for cash on July 31, 2014 @ $0.08 per share, Shares [1]   250,000    
Ending Balance at Jul. 31, 2014 248,868 $ 13,345 745,930 $ (510,407)
Ending Balance, Shares at Jul. 31, 2014 [1]   13,344,484    
Net loss (306,928)     $ (306,928)
Stock issued for cash on October 1, 2014 @ $0.05 per share, Value 45,000 $ 900 44,100
Stock issued for cash on October 1, 2014 @ $0.05 per share, Shares [1]   900,000    
Stock issued for cash on October 20, 2014 @ $0.001 per share, Value 220,000 $ 2,000 218,000
Stock issued for cash on October 20, 2014 @ $0.001 per share, Shares [1]   2,000,000    
Cancellation on November 1, 2014 @ $0.05 per share, Value (5,000) $ (100) (4,900)
Cancellation on November 1, 2014 @ $0.05 per share, Shares [1]   (100,000)    
Ending Balance at Jul. 31, 2015 $ 201,940 $ 16,145 $ 1,003,130 $ (817,335)
Ending Balance, Shares at Jul. 31, 2015 [1]   16,144,484    
[1] Reflects the 10:1 reverse stock split effective August 13, 2013