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Condensed Statement of Changes in Stockholders' Equity/(Deficiency) (USD $)
Total
Preferred Stock
Common Stock
Additional Paid-In Capital
Treasury Stock
Accumulated Deficit during Development Stage
Subscription Receivable
Balance at Aug. 13, 2007                     
Beginning Balance (shares) at Aug. 13, 2007                
Common stock issued for services to founder ($0.0001) 500    500            
Common stock issued for services to founder ($0.0001) , Shares      5,000,000        
Common stock issued for cash ($0.10/ per share) 39,000    124 123,876       (85,000)
Common stock issued for cash ($0.10/ per share) , Shares      1,240,000        
In kind contribution of cash 100       100         
In-kind contribution of services 700       700         
Net Loss (12,300)             (12,300)   
Balance at Sep. 30, 2007 28,000    624 124,676       (85,000)
Balance, (Shares) at Sep. 30, 2007      6,240,000        
Common stock issued for cash ($0.10/ per share) 19,750    20 19,730         
Common stock issued for cash ($0.10/ per share) , Shares     197,500        
Purchase of treasury stock (40,000)          (40,000)      
Cash received for subscription receivable 85,000                85,000
In-kind contribution of services 5,200       5,200         
Net Loss (204,665)             (204,665)   
Balance at Sep. 30, 2008 (106,715)    644 149,606 (40,000) (216,965)   
Balance, (Shares) at Sep. 30, 2008       6,437,500            
Common stock issued for cash ($0.10/ per share) 27,500    27 27,443         
Common stock issued for cash ($0.10/ per share) , Shares       275,000            
Purchase of treasury stock (53,000)          (53,000)      
In kind contribution of interest 16,118       16,118         
In-kind contribution of services 5,200       5,200         
Net Loss (181,654)                (181,654)
Balance at Sep. 30, 2009 (292,551)    671 198,397 (93,000) (398,619)   
Balance, (Shares) at Sep. 30, 2009       6,712,500            
Common stock issued for cash ($0.10/ per share) 32,500    32 32,468         
Common stock issued for cash ($0.10/ per share) , Shares       325,000            
In kind contribution of interest 25,506       25,506         
In-kind contribution of services 5,200       5,200         
Net Loss (64,882)             (64,882)   
Balance at Sep. 30, 2010 (294,167)    703 261,571 (93,000) (463,441)   
Balance, (Shares) at Sep. 30, 2010       7,037,500            
Common stock issued for services ($5.50/ per share) 27,500    2 27,498         
Common stock issued for services ($5.50/ per share) (Shares)       5,000            
Common stock issued for cash ($0.10/ per share) 5,000    5 4,995         
Common stock issued for cash ($0.10/ per share) , Shares       50,000            
Common stock issued for cash ($2/ per share) less stock offering costs 95,962    5 95,957         
Common stock issued for cash ($2/ per share) less stock offering costs (Shares)       50,000            
Common stock issued for cash ($3/ per share) 1,200,000    40 1,199,960         
Common stock issued for cash ($3/ per share) (shares)       400,000            
Common stock issued for cash ($2/ per share) 1,999,975    100 1,999,875         
Common stock issued for cash ($2/ per share) (shares)       1,000,000            
Conversion of $50,000 convertible note to 500,000 shares of stock 50,000    50 49,950         
Conversion of $50,000 convertible note to 500,000 shares of stock (Shares)       500,000            
Benefical conversion of convertible note payable 50,000       50,000         
Issuance of 3,010,000 shares in exchange for intellectual property 13,394,500    301 13,394,199         
Issuance of 3,010,000 shares in exchange for intellectual property (Shares)       3,010,000            
Issuance of 1,000,000 warrants in exchange for intellectual property 4,250,499       4,250,499         
Value of service provided for the acquisition of intellectual property 287,000       287,000         
In kind contribution of interest 12,824       12,824         
In-kind contribution of services 2,600       2,600         
Net Loss (19,130,616)             (19,130,616)   
Balance at Sep. 30, 2011 1,951,077    1,206 21,636,928 (93,000) (19,594,057)   
Balance, (Shares) at Sep. 30, 2011       12,052,500            
Common stock issued for services ($5.50/ per share) 5,500       5,500         
Common stock issued for services ($5.50/ per share) (Shares)       1,000            
Common stock issued for services ($4.00 per share) 28,000    1 27,999         
Common stock issued for services ($4.00 per share) (Shares)       7,000            
Issuance of Stock Options 287,819      287,819         
Exercise of 425,000 warrants ($.20 per share) 85,000    43 84,958         
Exercise of 425,000 warrants ($.20 per share) (Shares)      425,000           
Common stock issued for cash ($3.05 per share)       98 2,988,902         
Common stock issued for cash ($3.05 per share) (Shares)      980,000           
Cancelation of treasury shares,value       (250) (92,750) 93,000      
Cancelation of treasury shares (Shares)      (2,500,000)        
In-kind contribution of services               
Net Loss (1,752,901)             (1,752,901)   
Balance at Jun. 30, 2012 $ 3,593,495    $ 1,097 $ 24,939,356    $ (21,346,958)   
Balance, (Shares) at Jun. 30, 2012       10,965,500