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Consolidated Statements of Stockholders' Equity (Deficit) - USD ($)
Preferred Stock
Common Stock
Additional Paid-In Capital
Subscription Payable
Accumulated Deficit
Total
Beginning Balance, Share at Jun. 30, 2013 1,220,044 51,244,242        
Beginning Balance, Amount at Jun. 30, 2013 $ 1,220 $ 51,243 $ 36,564,046 $ 0 $ (41,651,214) $ (5,034,705)
Common shares issued for cash, net of offering costs, Shares   9,951,750        
Common shares issued for cash, net of offering costs, Amount   $ 9,952 956,613   966,565
Share-Based Compensation to Directors and Employees- Common shares, shares   2,272,495        
Share-Based Compensation to Directors and Employees- Common shares, Amount   $ 2,272 614,518   616,790
Share-Based Compensation for Consulting Services and Rent, shares   1,862,399        
Share-Based Compensation for Consulting Services and Rent, amount   $ 1,862 466,530   468,392
Common stock issued as incentive with Convertible debt, shares   229,250        
Common stock issued as incentive with Convertible debt, amount   $ 230 46,053   46,283
Share-based compensation - warrants and options     289,791   289,791
Shares Issued for Conversion of Debt and Interest, Shares   1,271,534        
Shares Issued for Conversion of Debt and Interest, Amount   $ 1,272 125,881   127,153
Common stock issued for conversion of conversion of warrants/options, shares   43,758        
Common stock issued for conversion of conversion of warrants/options, amount   $ 44 (44)      
Warrants and common shares issued for interest expense, Shares   3,040,775        
Warrants and common shares issued for interest expense, Amount   $ 3,041 769,268   772,309
Common stock issued to extend the maturity dates on debt, shares   380,000        
Common stock issued to extend the maturity dates on debt, amount   $ 381 104,844   105,225
Beneficial conversion feature on issuance of convertible debt, Amount     620,226   620,226
NET LOSS         $ (5,333,915) (5,333,915)
Ending Balance, Shares at Jun. 30, 2014 1,220,044 70,296,203        
Ending Balance, Amount at Jun. 30, 2014 $ 1,220 $ 70,297 40,557,726 0 (46,985,129) (6,355,886)
Common shares issued for cash, net of offering costs, Shares   12,017,259        
Common shares issued for cash, net of offering costs, Amount   $ 12,017 4,354,615 35,000   4,401,632
Share-Based Compensation to Directors and Employees- Common shares, shares   2,934,804        
Share-Based Compensation to Directors and Employees- Common shares, Amount   $ 2,940 1,028,000     1,030,940
Share-Based Compensation for Consulting Services and Rent, shares   385,221        
Share-Based Compensation for Consulting Services and Rent, amount   $ 385 165,973     166,358
Common stock issued as incentive with Convertible debt, shares   43,500        
Common stock issued as incentive with Convertible debt, amount   $ 45 10,216     10,261
Share-based compensation - warrants and options     1,329,758     1,329,758
Shares Issued for Conversion of Debt and Interest, Shares   5,889,105        
Shares Issued for Conversion of Debt and Interest, Amount   $ 5,889 737,196     743,085
Common stock issued for conversion of conversion of warrants/options, shares   750,000        
Common stock issued for conversion of conversion of warrants/options, amount   $ 750 149,250     150,000
Common stock issued for conversion of cashless preferred stock and dividends, shares (80,000) 214,119        
Common stock issued for conversion of cashless preferred stock and dividends, amount $ (80) $ 214 43,638     43,772
Warrants and common shares issued for interest expense, Shares   2,700,046        
Warrants and common shares issued for interest expense, Amount   $ 2,700 1,739,351     1,742,051
Common stock issued to extend the maturity dates on debt, shares   50,000        
Common stock issued to extend the maturity dates on debt, amount   $ 50 15,700     15,750
Beneficial conversion feature on issuance of convertible debt, Amount     527,000     527,000
Derivative liability     (4,343,658)     (4,343,658)
NET LOSS         (11,180,318) (11,180,318)
Ending Balance, Shares at Jun. 30, 2015 1,140,044 95,280,257        
Ending Balance, Amount at Jun. 30, 2015 $ 1,140 $ 95,287 $ 46,314,765 $ 35,000 $ (58,164,447) $ (11,719,255)