v2.4.0.6
CONDENSED CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY (DEFICIENCY) (USD $)
Total
Common Stock [Member]
Additional Paid-in Capital [Member]
Accumulated Deficit [Member]
Balance at Mar. 31, 2010 $ (608,450) $ 791 $ 308,584 $ (917,825)
Balance, shares at Mar. 31, 2010   7,909,375    
Share based compensation 560,880   560,880  
Common stock issued for services 151,400      
Stock issued during period for services 365,500 12 365,488  
Stock issued during period for services, shares   122,813    
Warrants issued for services         
Beneficial conversion feature on notes payable 107,000   107,000  
Net Income (loss) (6,979,488)     (6,979,498)
Reverse recapitalization transaction (320,000) 14 (320,014)  
Reverse recapitalization transaction, shares   143,375    
Common stock issued in Private Placement, net of offering costs   224 4,085,339  
Common stock issued in Private Placement, net of offering costs, shares 4,085,563 2,237,500    
Warrants issued in Unit offering (2,182,732)   (2,182,732)  
Common shares issued on conversion of related party note payable 687,500 52 687,448  
Common shares issued on conversion of related party note payable, shares   515,367    
Beneficial conversion feature on related party loan         
Retirement of common shares (151,400) (4) (151,396)  
Retirement of common shares, shares   (42,056)    
Settlement of derivative liabilities         
Balance at Mar. 31, 2011 (4,435,637) 1,089 3,460,597 (7,897,323)
Balance, shares at Mar. 31, 2011 10,886,374 10,886,374    
Share based compensation 356,702   356,702  
Common stock issued for services         
Stock issued during period for services 184,000 2 183,998  
Stock issued during period for services, shares   16,849    
Warrants issued for services 132,707   132,707  
Warrants issued for asset acquisition 162,192   162,192  
Common shares issued for assets acquisition 500,000 25 499,975  
Common shares issued for assets acquisition, shares   250,000    
Beneficial conversion feature on notes payable 243,711   243,711  
Net Income (loss) (8,076,982)     (8,076,982)
Warrants issued with convertible notes 811,447   811,447  
Common stock issued in Private Placement, net of offering costs   29 914,071  
Common stock issued in Private Placement, net of offering costs, shares 914,100 292,500    
Warrants issued in Unit offering (27,647,425)   (26,353,122) (1,294,303)
Common shares issued on conversion of related party note payable 107,000 13    
Common shares issued on conversion of related party note payable, shares   133,750 106,987  
Beneficial conversion feature on related party loan 243,711      
Settlement of derivative liabilities 13,323   13,323  
Common shares issued in Unit offering, net of Offering cost 10,894,253 1,563 10,892,690  
Common shares issued in Unit offering, net of Offering cost, shares   15,625,945    
Placement Agent consideration For Unit offering    10 (10)  
Placement Agent consideration For Unit offering, shares   100,000    
Common shares issued on conversion of notes payable in Unit offering 4,980,763 404 4,980,359  
Common shares issued on conversion of notes payable in Unit offering, shares   4,041,563    
Cashless exercise of Placement Agent warrants 3,594,435 33 3,594,402  
Cashless exercise of Placement Agent warrants, shares   331,303    
Shares issued under repricing agreement    29 (29)  
Shares issued under repricing agreement, shares   292,500    
Balance at Mar. 31, 2012 (17,265,411) 3,197    (17,268,908)
Balance, shares at Mar. 31, 2012 31,970,784 31,970,784    
Share based compensation 135,108   135,108  
Common stock issued for services 229,997 15 229,982  
Common stock issued for services, shares   150,000    
Warrants issued for services (1,331)   (1,331)  
Common shares issued for assets acquisition 257,500 25 257,475  
Common shares issued for assets acquisition, shares   250,000    
Warrants issued for asset acquisition, including warrant modification 241,880   241,880  
Beneficial conversion feature on notes payable 533,032   533,032  
Net Income (loss) 2,185,047     2,185,047
Beneficial conversion feature on related party loan 533,032      
Balance at Sep. 30, 2012 $ (13,684,178) $ 3,237 $ 1,396,146 $ (15,083,561)
Balance, shares at Sep. 30, 2012 32,370,784 32,370,784