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STATEMENTS OF STOCKHOLDERS' DEFICIT (USD $)
Total
Preferred Stock [Member]
Common Stock [Member]
Additional Paid-in Capital [Member]
Retained Earnings [Member]
Balance at Apr. 22, 2002          
Issuance of common stock 9/1/02, $1.25 [1] $ 10,000   $ 80 $ 9,920 $ 0
Issuance of common stock 9/1/02, $1.25 (in shares) [1]     7,981    
Issuance of common 10/23/02, $125.25/share 5,000     5,000  
Issuance of common 10/23/02, $125.25/share (in shares)     40    
Net loss (51,057)       (51,057)
Balance at Dec. 31, 2002 (36,057)   80 14,920 (51,057)
Balance (in shares) at Dec. 31, 2002     8,021    
Issuance of common stock [2] 400   3 397  
Issuance of common stock (in shares) [2]     320    
Issuance of common 6/11 & 12, $125.25 [3] 35,000   3 34,997  
Issuance of common 6/11 & 12, $125.25 (in shares) [3]     288    
Net loss (90,461)       (90,461)
Balance at Dec. 31, 2003 (91,118)   86 50,314 (141,518)
Balance (in shares) at Dec. 31, 2003     8,629    
Issuance of common 5/25/04, $1.25 [4] 110   1 109  
Issuance of common 5/25/04, $1.25 (in shares) [4]     88    
Net loss (90,353)       (90,353)
Balance at Dec. 31, 2004 (181,361)   87 50,423 (231,871)
Balance (in shares) at Dec. 31, 2004     8,717    
Issuance of common stock [5] 250   2 248  
Issuance of common stock (in shares) [5]     200    
Vested stock options and warrants 2,793   0 2,793  
Net loss (123,852)       (123,852)
Balance at Dec. 31, 2005 (302,170)   89 53,464 (355,723)
Balance (in shares) at Dec. 31, 2005     8,917    
Issuance of common 5/16 & 8/8, $1.25 [6] 1,451   12 1,439  
Issuance of common 5/16 & 8/8, $1.25 (in shares) [6]     1,159    
Issuance of common 10/19 & 23, $1.25 [7] 650   5 645  
Issuance of common 10/19 & 23, $1.25 (in shares) [7]     519    
Issuance of common 12/01, $125.25 [8] 44,810   4 44,806  
Issuance of common 12/01, $125.25 (in shares) [8]     384    
Vested stock options and warrants 13,644     13,644  
Net loss (273,026)       (273,026)
Balance at Dec. 31, 2006 (514,641)   110 113,998 (628,749)
Balance (in shares) at Dec. 31, 2006     10,979    
Issuance of common stock [9] 1,000   0 1,000  
Issuance of common stock (in shares) [9]     8    
Vested stock options and warrants 73,907   0 73,907  
Capital contributions resulting from waivers of debt 346,714   0 346,714  
Value of equity instruments issued with debt 132,938   0 132,938  
Net loss (752,415)       (752,415)
Balance at Dec. 31, 2007 (712,497)   110 668,557 (1,381,164)
Balance (in shares) at Dec. 31, 2007     10,987    
Issuance of common stock [10] 1,593,502   607 1,592,895  
Issuance of common stock (in shares) [10]     60,705    
Shares issued to finders, agents 0   268 (268)  
Shares issued to finders, agents (in shares)     26,836    
Shares issued to pay direct legal fees 0   38 (38)  
Shares issued to pay direct legal fees (in shares)     3,810    
Issuance of common due to anti-dilution provisions 0   27 (27)  
Issuance of common due to anti-dilution provisions (in shares)     2,746    
Shares issued to pay investor relations services 6/23/08, $26.25 87,500   33 87,467  
Shares issued to pay investor relations services 6/23/08, $26.25 (in shares)     3,334    
Vested stock options and warrants 354,994   0 354,994  
Capital contributions resulting from waivers of debt 129,684   0 129,684  
Net loss (1,762,628)       (1,762,628)
Balance at Dec. 31, 2008 (309,445)   1,084 2,833,264 (3,143,792)
Balance (in shares) at Dec. 31, 2008     108,418    
Cumulative effect of adoption of EITF 07-5 (479,910)   0 (486,564) 6,654
Vested stock options and warrants 111,835   0 111,835  
Shares issued 3/20/09 to pay for fund raising 0   17 (17)  
Shares issued 3/20/09 to pay for fund raising (in shares)     1,667    
Shares issued under PMM in 2009, $37.50 1,073,905   286 1,073,619  
Shares issued under PMM in 2009, $37.50 (in shares)     28,638    
Capital contributions resulting from waivers of debt 84,600   0 84,600  
Value of equity-linked financial instruments issued in connection with PPMs (222,296)   0 (222,296)  
Shares issued to consultant for fund raising 0   4 (4)  
Shares issued to consultant for fund raising (in shares)     400    
Shares issued upon conversion of debt and interest, $20.25 256,454   125 256,329  
Shares issued upon conversion of debt and interest, $20.25 (in shares)     12,473    
Value of equity instruments issued with debt 30,150   0 30,150  
Shares issued upon conversion of shareholder note, $26.25 4,906   2 4,904  
Shares issued upon conversion of shareholder note, $26.25 (in shares)     187    
Net loss (2,892,230)       (2,892,230)
Balance at Dec. 31, 2009 (2,342,031)   1,518 3,685,820 (6,029,368)
Balance (in shares) at Dec. 31, 2009     151,783    
Vested stock options and warrants 11,382   0 11,382  
Shares issued in 2010 under PPM, $37.50 177,275   47 177,228  
Shares issued in 2010 under PPM, $37.50 (in shares)     4,728    
Shares issued to consultants for IR and consulting, $37.50 187,045   50 186,995  
Shares issued to consultants for IR and consulting, $37.50 (in shares)     4,988    
Value of equity instruments issued for consulting services 354,602   0 354,602  
Value of equity-linked financial instruments issued in connection with PPM in first quarter (25,553)   0 (25,553)  
Shares issued in May 2010 to consultant, $37.50 6,425   2 6,423  
Shares issued in May 2010 to consultant, $37.50 (in shares)     172    
Shares issued in May 2010 to 2008 investors as a penalty for late registration, $37.50 355,124   95 355,029  
Shares issued in May 2010 to 2008 investors as a penalty for late registration, $37.50 (in shares)     9,470    
Value of equity instruments issued with debt 119,474   0 119,474  
Value of equity-linked financial instruments issued in connection with PPM in second quarter (31,332)   0 (31,332)  
Value of equity-linked financial instruments issued in connection with PPM in third quarter (31,506)   0 (31,506)  
Shares issued in September 2010 under PPM, $7.50 25,000   33 24,967  
Shares issued in September 2010 under PPM, $7.50 (in shares)     3,334    
Shares issued to consultants in third quarter at $16.50 per share 107,549   65 107,484  
Shares issued to consultants in third quarter at $16.50 per share (in shares)     6,519    
Shares issued in November 2010 upon exercise of warrants at $10.13 per share 17,357   17 17,340  
Shares issued in November 2010 upon exercise of warrants at $10.13 per share (in shares)     1,715    
Shares issued in November 2010 to directors as compensation at $11.25 per share 45,000   40 44,960  
Shares issued in November 2010 to directors as compensation at $11.25 per share (in shares)     4,000    
Vested stock options in fourth quarter 161,107   0 161,107  
Equity instruments issued to consultants in fourth quarter 26,234   0 26,234  
Net loss (1,352,709)       (1,352,709)
Balance at Dec. 31, 2010 (2,189,557)   1,867 5,190,654 (7,382,077)
Balance (in shares) at Dec. 31, 2010     186,709    
Value of equity instruments issued with debt 47,908   0 47,908  
Equity instruments issued to consultants in first quarter 91,504   0 91,504  
Shares issued at $5.63 per share under PPM 400,000   711 399,289  
Shares issued at $5.63 per share under PPM (in shares)     71,112    
Shares issued at $6.38 per share under PPM 160,000   251 159,749  
Shares issued at $6.38 per share under PPM (in shares)     25,099    
Shares issued at $6.75 per share under PPM 18,000   27 17,973  
Shares issued at $6.75 per share under PPM (in shares)     2,667    
Shares issued at $7.50 per share under PPM 15,000   20 14,980  
Shares issued at $7.50 per share under PPM (in shares)     2,000    
Stock issued upon conversion of debt in first quarter 20,000   55 19,945  
Stock issued upon conversion of debt in first quarter (in shares)     5,547    
Stock issued to pay interest on debt 22,500   21 22,479  
Stock issued to pay interest on debt (in shares)     2,108    
Shares issued at $5.25 per share under PPM 75,000   143 74,857  
Shares issued at $5.25 per share under PPM (in shares)     14,286    
Stock issued upon conversion of debt and interest 32,000   125 31,875  
Stock issued upon conversion of debt and interest (in shares)     12,548    
Equity instruments issued to consultants 12,256   0 12,256  
Equity instruments issued to consultants 147,116   0 147,116  
Shares issued at $4.50 per share under PPM 210,000   467 209,533  
Shares issued at $4.50 per share under PPM (in shares)     46,667    
Shares issued at $15.00 per share under PPM 275,000   183 274,817  
Shares issued at $15.00 per share under PPM (in shares)     18,334    
Restricted stock issued to consultants 55,000   110 54,890  
Restricted stock issued to consultants (in shares)     10,972    
Shares issued at $26.25 per share IR compensation 201,250   77 201,173  
Shares issued at $26.25 per share IR compensation (in shares)     7,667    
Equity instruments upon conversion of Accounts Payable 20,000   0 20,000  
Shares issued to private investor at $11.25 per share 232,000   206 231,794  
Shares issued to private investor at $11.25 per share (in shares)     20,623    
Vested stock options and warrants in first quarter 1,937,638   0 1,937,638  
Shares issued upon exercise of options at $.75 per share 1,000   13 987  
Shares issued upon exercise of options at $.75 per share (in shares)     1,334    
Net loss (4,486,879)       (4,486,879)
Balance at Dec. 31, 2011 (2,703,264)   4,277 9,161,417 (11,868,956)
Balance (in shares) at Dec. 31, 2011     427,673    
Vested stock options and warrants 830,372   0 830,372  
Value of equity instruments issued with debt 33,469   0 33,469  
Shares issued to institutional investor upon conversion of Note Payable at $10.07 per share 8,000   8 7,992  
Shares issued to institutional investor upon conversion of Note Payable at $10.07 per share (in shares)     795    
Shares issued to institutional investor upon conversion of Note Payable at $9.75 per share 14,000   14 13,986  
Shares issued to institutional investor upon conversion of Note Payable at $9.75 per share (in shares)     1,436    
Shares issued to institutional investor upon conversion of Note Payable at $6.60 per share 15,000   23 14,977  
Shares issued to institutional investor upon conversion of Note Payable at $6.60 per share (in shares)     2,273    
Shares issued to institutional investor upon conversion of Note Payable at $3.35 per share 16,000   46 15,954  
Shares issued to institutional investor upon conversion of Note Payable at $3.35 per share (in shares)     4,578    
Shares issued to institutional investor upon conversion of Note Payable at $3.35 per share 12,000   36 11,964  
Shares issued to institutional investor upon conversion of Note Payable at $3.35 per share (in shares)     3,588    
Shares issued to institutional investor upon conversion of Note Payable at $3.35 per share 10,000   36 9,964  
Shares issued to institutional investor upon conversion of Note Payable at $3.35 per share (in shares)     3,583    
Shares issued to institutional investor upon conversion of Note Payable at $2.98 per share 8,500   57 8,443  
Shares issued to institutional investor upon conversion of Note Payable at $2.98 per share (in shares)     5,709    
Shares issued to a private investor at $4.88 per share 600,000   1,231 598,769  
Shares issued to a private investor at $4.88 per share (in shares)     123,076    
Shares issued for consulting to the then interim CEO at $4.88 per share 19,500   40 19,460  
Shares issued for consulting to the then interim CEO at $4.88 per share (in shares)     4,000    
Shares issued to an institutional investor upon conversion of Note Payable at $2.15 per share 10,000   47 9,953  
Shares issued to an institutional investor upon conversion of Note Payable at $2.15 per share (in shares)     4,661    
Shares issued to a private investor at $11.25 per share 39,500   35 39,465  
Shares issued to a private investor at $11.25 per share (in shares)     3,511    
Stock issued upon conversion of debt at $11.25 per share 493,884   439 493,445  
Stock issued upon conversion of debt at $11.25 per share (in shares)     43,900    
Stock issued upon conversion of debt at $4.88 per share 185,299   380 184,919  
Stock issued upon conversion of debt at $4.88 per share (in shares)     38,010    
Shares issued to a private investor per a convertible note default at $11.25 per share 1,125,000   1,000 1,124,000  
Shares issued to a private investor per a convertible note default at $11.25 per share (in shares)     100,000    
Shares issued to private investor upon conversion of Note Payable at $13.50 per share 57,042   42 57,000  
Shares issued to private investor upon conversion of Note Payable at $13.50 per share (in shares)     4,225    
Shares issued to private investor upon conversion of Note Payable at $3.90 per share 59,534   153 59,381  
Shares issued to private investor upon conversion of Note Payable at $3.90 per share (in shares)     15,293    
Shares issued to private investor upon conversion of Note Payable at $7.50 per share 56,584   75 56,509  
Shares issued to private investor upon conversion of Note Payable at $7.50 per share (in shares)     7,543    
Shares issued to an institutional investor upon conversion of Note Payable at $2.33 per share 12,000   52 11,948  
Shares issued to an institutional investor upon conversion of Note Payable at $2.33 per share (in shares)     5,160    
Stock issued upon conversion of debt at $11.25 per share 59,590   53 59,537  
Stock issued upon conversion of debt at $11.25 per share (in shares)     5,296    
Shares issued to a Director as compensation at $6.75 per share 25,000   37 24,963  
Shares issued to a Director as compensation at $6.75 per share (in shares)     3,703    
Shares issued under PPM at $5.25 per share 690,946   1,316 689,629  
Shares issued under PPM at $5.25 per share (in shares)     131,608    
Shares issued to institutional investor upon conversion of Note Payable at $2.65 per share 18,000   68 17,932  
Shares issued to institutional investor upon conversion of Note Payable at $2.65 per share (in shares)     6,797    
Shares issued to a private investor upon conversion of Note Payable at $2,40 per share 9,022   38 8,984  
Shares issued to a private investor upon conversion of Note Payable at $2,40 per share (in shares)     3,782    
Shares issued to an institutional investor upon conversion of Note Payable at $2.23 per share including $11,021 of interest. 33,021   99 32,922  
Shares issued to an institutional investor upon conversion of Note Payable at $2.23 per share including $11,021 of interest. (in shares)     9,876    
Shares issued at $11.25 per share as Investor Relations compensation 93,750   83 93,667  
Shares issued at $11.25 per share as Investor Relations compensation (in shares)     8,333    
Shares issued to a private investor upon conversion of Note Payable at $2.40 per share 50,000   210 49,790  
Shares issued to a private investor upon conversion of Note Payable at $2.40 per share (in shares)     20,963    
Shares issued as settlement to remove anti-dilution agreement at $4.88 per share 1,722,500   3,533 1,718,967  
Shares issued as settlement to remove anti-dilution agreement at $4.88 per share (in shares)     353,333    
Shares issued in settlement with former COO at $11.25 per share less shares cancelled at $6.75 per share 142,333   107 142,226  
Shares issued in settlement with former COO at $11.25 per share less shares cancelled at $6.75 per share (in shares)     10,715    
Equity value for options and warrants 150,189   0 150,189  
Shares issued at $5.25 per share as Investor Relations compensation 21,000   40 20,960  
Shares issued at $5.25 per share as Investor Relations compensation (in shares)     4,000    
Shares issued at $11.25 per share as conversion of debt 23,563   21 23,542  
Shares issued at $11.25 per share as conversion of debt (in shares)     2,094    
Shares issued to a private investor exercising options at $.75 per share 718   10 708  
Shares issued to a private investor exercising options at $.75 per share (in shares)     957    
Shares issued to debtors as compensation at $7.50 per share 156,243   208 156,035  
Shares issued to debtors as compensation at $7.50 per share (in shares)     20,839    
Shares issued upon conversion of Note Payable at $5.25 per share 16,525   31 16,494  
Shares issued upon conversion of Note Payable at $5.25 per share (in shares)     3,147    
Share true-up to certified shareholders list per the stock transfer agency 2   0 1  
Share true-up to certified shareholders list per the stock transfer agency (in shares)     1    
Shares issued upon exercise of options at $.75 per share 4,130   55 4,075  
Shares issued upon exercise of options at $.75 per share (in shares)     5,506    
Net loss (7,422,155)       (7,422,155)
Balance at Dec. 31, 2012 (3,303,203)   13,900 15,974,008 (19,291,111)
Balance (in shares) at Dec. 31, 2012     1,389,963    
Value of equity instruments issued with debt 392,556     392,556  
Shares issued to debtors as compensation at $11.25 per share 43,521   39 43,482  
Shares issued to debtors as compensation at $11.25 per share (in shares)     3,869    
Shares issued under PPM to five investors at $5.25 per share 500,000   952 499,048  
Shares issued under PPM to five investors at $5.25 per share (in shares)     95,238    
Shares issued to an escrow account underlying a debt agreement [11] 10,000   133 9,867  
Shares issued to an escrow account underlying a debt agreement (in shares) [11]     13,333    
Shares issued to debtors as compensation at $11.25 per share 34,550   31 34,519  
Shares issued to debtors as compensation at $11.25 per share (in shares)     3,071    
Shares issued to an institutional investor at $5.25 per share 500,000   952 499,048  
Shares issued to an institutional investor at $5.25 per share (in shares)     95,238    
Value of shares per an agreement with a former officer [12] 40,480   0 40,480  
Shares issued to consultant as compensation at $5.03 per share 16,750   33 16,717  
Shares issued to consultant as compensation at $5.03 per share (in shares)     3,333    
Shares issued to former consultant exercising options at $.75 per share 2,000   27 1,973  
Shares issued to former consultant exercising options at $.75 per share (in shares)     2,667    
Shares issued to former CEO exercising options at $.75 per share. 3,333   44 3,289  
Shares issued to former CEO exercising options at $.75 per share. (in shares)     4,444    
Shares issued upon conversion of four notes payable at $11.25 per share 156,243   139 156,104  
Shares issued upon conversion of four notes payable at $11.25 per share (in shares)     13,888    
Shares issued for interest to the four notes payable at $11.25 per share 11,170   10 11,160  
Shares issued for interest to the four notes payable at $11.25 per share (in shares)     993    
Shares issued for cashless exercise of warrants at $9.00 per share 2,778   37 2,741  
Shares issued for cashless exercise of warrants at $9.00 per share (in shares)     3,704    
Shares issued for cashless exercise of warrants at $12.00 per share 1,633   22 1,611  
Shares issued for cashless exercise of warrants at $12.00 per share (in shares)     2,178    
Shares issued for cashless exercise of warrants at $11.25 per share 6,327   84 6,243  
Shares issued for cashless exercise of warrants at $11.25 per share (in shares)     8,436    
Shares issued for cashless exercise of warrants at $15.00 per share 2,618   35 2,583  
Shares issued for cashless exercise of warrants at $15.00 per share (in shares)     3,491    
Shares issued to 24 warrant holders exercised at a reduced price for $7.50 per share 1,044,490   1,393 1,043,097  
Shares issued to 24 warrant holders exercised at a reduced price for $7.50 per share (in shares)     139,265    
Shares issued to 4 PPM investors converting notes at $9.00 per share 316,504   352 316,152  
Shares issued to 4 PPM investors converting notes at $9.00 per share (in shares)     35,167    
Shares issued to 10 PPM investors converting notes at $13.50 per share 1,020,200   721 1,019,479  
Shares issued to 10 PPM investors converting notes at $13.50 per share (in shares)     72,072    
Shares issued to consultant as compensation at $28.50 per share 57,000   20 56,980  
Shares issued to consultant as compensation at $28.50 per share (in shares)     2,000    
Shares issued for two note conversions at $1.05 per share 994,928   9,476 985,452  
Shares issued for two note conversions at $1.05 per share (in shares)     947,551    
Shares issued for warrant exercise at $11.25 per share 160,715   143 160,572  
Shares issued for warrant exercise at $11.25 per share (in shares)     14,286    
Shares issued to an investor for a cashless exercise of warrants at $12.75 per share 2,044   27 2,016  
Shares issued to an investor for a cashless exercise of warrants at $12.75 per share (in shares)     2,724    
Shares issued to former Board Directors as compensation at $24.38 per share 100,000   13 99,987  
Shares issued to former Board Directors as compensation at $24.38 per share (in shares)     1,333    
Reduced warrant exercise compensation expense 2,140,946   0 2,140,946  
Options issued as part of employee bonus 147,500   0 147,500  
Shares issued to one investor for cashless warrant exercised at $9.00 per share 2,778   37 2,741  
Shares issued to one investor for cashless warrant exercised at $9.00 per share (in shares)     3,704    
Shares issued for a cashless exercise of warrants at $7.50 per share 30,244   403 29,841  
Shares issued for a cashless exercise of warrants at $7.50 per share (in shares)     40,325    
Shares issued for a cashless exercise of warrants at $5.63 per share 5,447   73 5,374  
Shares issued for a cashless exercise of warrants at $5.63 per share (in shares)     7,263    
Shares issued for cashless warrant exercise at $9.75 per share 1,597   21 1,576  
Shares issued for cashless warrant exercise at $9.75 per share (in shares)     2,130    
Shares issued for interest on two note conversions at $13.50 per share 7,365   5 7,360  
Shares issued for interest on two note conversions at $13.50 per share (in shares)     546    
Shares issued in settlement with a former noteholder at $20.25 per share 102,060   50 102,010  
Shares issued in settlement with a former noteholder at $20.25 per share (in shares)     5,040    
Shares issued for a stock option exercise at $4.88 per share 650   1 649  
Shares issued for a stock option exercise at $4.88 per share (in shares)     133    
Shares issued to one warrant holder executed at a reduced price of $9.38 per share 125,000   133 124,867  
Shares issued to one warrant holder executed at a reduced price of $9.38 per share (in shares)     13,333    
Vesting expense 1,505,270   0 1,505,270  
Shares issued for option exercise at $5.25 per share 1,190   2 1,188  
Shares issued for option exercise at $5.25 per share (in shares)     227    
Shares issued for cashless warrant exercise at $5.63 per share 1,167   16 1,151  
Shares issued for cashless warrant exercise at $5.63 per share (in shares)     1,556    
Net loss (9,406,304)       (9,406,304)
Balance at Dec. 31, 2013 (3,218,453)   29,325 25,449,636 (28,697,415)
Balance (in shares) at Dec. 31, 2013     2,932,501    
Value of equity instruments issued with debt 313,175     313,175  
Shares issued for cashless warrant exercise at $15.00 per share 1,296   17 1,279  
Shares issued for cashless warrant exercise at $15.00 per share (in shares)     1,728    
Shares issued for option exercise at $1.25 per share 5,430   43 5,387  
Shares issued for option exercise at $1.25 per share (in shares)     4,336    
Shares issued at $20.63 per share as Investor Relations compensation 41,250   20 41,230  
Shares issued at $20.63 per share as Investor Relations compensation (in shares)     2,000    
Shares issued for cashless warrant exercise at $12.75 per share 2,493   33 2,460  
Shares issued for cashless warrant exercise at $12.75 per share (in shares)     3,323    
Shares issued for an option exercise at $5.25 per share 1,400   3 1,397  
Shares issued for an option exercise at $5.25 per share (in shares)     267    
Shares issued for cashless warrant exercise at $.75 per share 1,630   22 1,608  
Shares issued for cashless warrant exercise at $.75 per share (in shares)     2,174    
Shares issued for warrant exercise at $13.50 per share 36,000   27 35,973  
Shares issued for warrant exercise at $13.50 per share (in shares)     2,667    
Shares issued at $18.75 per share as Investor Relations compensation 25,000   13 24,987  
Shares issued at $18.75 per share as Investor Relations compensation (in shares)     1,333    
Reduction in escrow account per settlement agreement (3,333)   (44) (3,289)  
Reduction in escrow account per settlement agreement (in shares)     (4,444)    
Shares issued for cashless warrant exercise at $7.50 per share 3,605   48 3,557  
Shares issued for cashless warrant exercise at $7.50 per share (in shares)     4,807    
Shares issued for cashless warrant exercise at $5.63 per share 2,333   31 2,302  
Shares issued for cashless warrant exercise at $5.63 per share (in shares)     3,112    
Shares issued for cashless warrant exercise at $12.75 per share 224   3 221  
Shares issued for cashless warrant exercise at $12.75 per share (in shares)     299    
Shares issued to 16 shareholders of Series A Convertible Preferred Stock Dividends as converted to common shares at $19.50 per share 0   10 18,909 (18,919)
Shares issued to 16 shareholders of Series A Convertible Preferred Stock Dividends as converted to common shares at $19.50 per share (in shares)     972    
Vesting expense 422,184     422,184  
Options issued as part of employee bonus 694,500     694,500  
Shares issued for combined cashless and cash warrant exercise at $11.25 per share. 52,500   78 52,422  
Shares issued for combined cashless and cash warrant exercise at $11.25 per share. (in shares)     7,778    
Issuance of Preferred stock 2,055,001 206   2,054,795  
Shares issued to Investor Relations consultant exercisable at $11.25 per share 24,000   21 23,979  
Shares issued to Investor Relations consultant exercisable at $11.25 per share (in shares)     2,133    
Shares issued to Investor Relations consultant exercisable at $18.75 per share 25,000   13 24,987  
Shares issued to Investor Relations consultant exercisable at $18.75 per share (in shares)     1,333    
Shares issued for cashless warrant exercise at $13.50 per share 2,794   37 2,757  
Shares issued for cashless warrant exercise at $13.50 per share (in shares)     3,725    
Shares issued to 16 shareholders of Series A Convertible Preferred Stock Dividends as converted to common shares at $19.50 per share 0   16 30,384 (30,400)
Shares issued to 16 shareholders of Series A Convertible Preferred Stock Dividends as converted to common shares at $19.50 per share (in shares)     1,561    
Shares issued for cashless warrant exercise at $9.75 per share 1,058   14 1,044  
Shares issued for cashless warrant exercise at $9.75 per share (in shares)     1,410    
Shares issued for a cash warrant exercise at $5.63 per share 62,500   111 62,389  
Shares issued for a cash warrant exercise at $5.63 per share (in shares)     11,111    
Shares issued for an option exercise at $5.25 per share 1,750   3 1,747  
Shares issued for an option exercise at $5.25 per share (in shares)     333    
Shares issued for a note conversion at $6.68 per share 20,000   30 19,970  
Shares issued for a note conversion at $6.68 per share (in shares)     3,018    
Shares issued for a note conversion at $6.68 per share 20,000   30 19,970  
Shares issued for a note conversion at $6.68 per share (in shares)     3,019    
Shares issued for a note conversion at $5.85 per share 20,000   34 19,966  
Shares issued for a note conversion at $5.85 per share (in shares)     3,435    
Shares issued for a note conversion at $5.03 per share 20,000   38 19,961  
Shares issued for a note conversion at $5.03 per share (in shares)     3,894    
Shares issued to 16 shareholders of Series A Convertible Preferred Stock Dividends as converted to common shares at $19.50 per share 0   16 30,386 (30,401)
Shares issued to 16 shareholders of Series A Convertible Preferred Stock Dividends as converted to common shares at $19.50 per share (in shares)     1,561    
Net loss (4,468,170)       (4,468,170)
Balance at Sep. 30, 2014 $ (3,834,833) $ 206 $ 29,993 $ 29,380,273 $ (33,245,305)
Balance (in shares) at Sep. 30, 2014     2,999,386    
[1] Founders shares,1,000,000 per split.
[2] 23,492 (40,000 pre-split) shares valued at $.0167 per share as compensation for loan guarantees by management
[3] Investment including 670 shares issued as a 10% finder’s fee
[4] For payment of patent legal fees
[5] Compensation for loan guarantees by management
[6] For vendor contractual consideration
[7] Employment agreements
[8] Investment
[9] Conversion of convertible notes by management
[10] Investment, "October 2008 financing"
[11] The shares reduce by 1/3 yearly and are returned to the Company as the debt is paid.
[12] The Company purchased shares previously issued to a former officer equal to the cost of withholding taxes advanced by the Company. The value here represents the net pay from the transaction that was retained by the Company.