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LIQUIDITY AND SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES: (Tables)
12 Months Ended
Sep. 30, 2012
LIQUIDITY AND SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES:  
Schedule of assets and liabilities that are measured at fair value on a recurring basis and are categorized using the fair value hierarchy

 

 

 
  September 30,  
 
  2012   2011  

Asset:

             

Tradenames

  $ 0   $ 0  
           

Liability:

             

Derivative financial instruments

  $ 119   $ 182  
           
Summary of activity for assets and liabilities measured at fair value on a recurring basis

 

 

Asset: Tradenames

       

Balance, September 30, 2010

  $ 2,583  

Impairment loss included in results of operations

    (2,583 )
       

Balance, September 30, 2011

     

Impairment loss included in results of operations

     
       

Balance, September 30, 2012

  $  
       

Liability: Fair Value of Derivative Financial Instruments

       

Balance, September 30, 2010

  $  

Fair value of warrants

    (289 )

Change in fair value included in results of operations

    107  
       

Balance, September 30, 2011

  $ (182 )

Fair value of warrants

    (42 )

Change in fair value included in results of operations

    105  
       

Balance, September 30, 2012

  $ (119 )
       
Schedule of determination of weighted average shares used in the computation of earnings (loss) per share

 

 

 
  2012   2011  

Basic and Diluted:

             

Loss from continuing operations

    7,026     5,460  

Gain (loss) from discontinued operation

    N/A     5,460