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AMERICAN INTERNATIONAL VENTURES, INC. (An Exploration Stage Company) CONSOLIDATED STATEMENT OF CHANGES IN STOCKHOLDER'S EQUITY For the Period January 25, 2012 (Date of Formation) to May 31, 2014 (USD $)
Common Shares Number
Common Shares Par Value
USD ($)
Paid In Capital
USD ($)
Accumulated Deficit
USD ($)
Non-controlling interest
USD ($)
Total
USD ($)
Balance, value at Jan. 24, 2012            
Shares issued to founders, value   $ 38,500 $ (38,500)      
Shares issued to founders, stock 38,500,000          
Shares issued for cash, value   24,350 462,650     487,000
Shares issued for cash, stock 24,350,000          
Shares issued for mining claims acquired from company under common control, value   100,000 (100,000)      
Shares issued for mining claims acquired from company under common control, stock 100,000,000          
Shares issued for other mining claims, value   400 159,600     160,000
Shares issued for other mining claims, stock 400,000          
Loss prior to reverse acquisition       (60,360)   (60,360)
Subtotal, value   163,250 483,750 (60,360)   586,640
Subtotal, stock 163,250,000          
Recapitalization as part of reverse acquisition, value   (161,424) 195,844     34,420
Recapitalization as part of reverse acquisition, stock 19,345,044          
Shares issued for cash after acquisition, value   30 414,970     415,000
Shares issued for cash after acquisition, stock 3,020,000          
Shares issued for mining claims after reverse recapitalization, value   6 154,994     155,000
Shares issued for mining claims after reverse recapitalization, stock 600,000          
Shares issued to secure escrow agreements, value   23 554,977     555,000
Shares issued to secure escrow agreements, stock 2,250,000          
Warrants issued to secure escrow agreements     35,000     35,000
Loss since reverse recapitalization       (170,514)   (170,514)
Balance, value at May. 31, 2012   1,885 1,804,535 (230,874)   1,610,546
Balance, stock at May. 31, 2012 188,465,044          
Shares issued for abandoned claims, value   11 347,989     348,000
Shares issued for abandoned claims, stock 1,120,000          
Shares issued as lease incentive, value   10 369,990     370,000
Shares issued as lease incentive, stock 1,000,000          
Other shares for service, value   63 2,236,187     2,236,250
Other shares for service, stock 6,275,000          
Fair value of options granted     495,000     495,000
Fair value of warrants issued as compensation     300,000     300,000
Shares issued for mining claim acquisition, value     21,500     21,500
Shares issued for mining claim acquisition, stock 50,000          
Loss for year       (5,412,524)   (5,412,524)
Shares issued for cash, value   73 913,677     913,750
Shares issued for cash, stock 24,350,000          
Balance, value at May. 31, 2013   2,042 6,523,878 (5,643,398)   882,522
Balance, stock at May. 31, 2013 204,220,044         204,220,044
Other shares for service, value   18 228,982     229,000
Other shares for service, stock 1,800,000          
Loss for year       (228,590) (17,807) (246,397)
Additional capital contributions     150,000   89 150,089
Balance, value at May. 31, 2014   $ 2,060 $ 6,902,860 $ (5,871,988) $ (17,807) $ (246,397)
Balance, stock at May. 31, 2014 206,020,044