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CONDENSED CONSOLIDATED STATEMENT OF STOCKHOLDERS DEFICIENCY (USD $)
3 Months Ended9 Months Ended165 Months Ended
Sep. 30, 2011
Sep. 30, 2011
Sep. 30, 2011
Balance $ (6,416,299) 
Common stock issued for conversion of convertible debt 4,702,386 
Fair value of options issued as compensation 919,289 
Common stock issued for services 862,0003,202,931
Common stock issued upon exercise of options 21,000 
Fair value of warrants and beneficial conversion feature of issued convertible notes 4,132,505 
Fair value of warrants issued for services 339,122 
Net loss for the nine months ended September 30, 2011(2,251,754)(7,511,015)(65,943,935)
Balance(2,951,012)(2,951,012)(2,951,012)
EquityIssuanceDollarAmountPerShareMember
   
Common stock issued for conversion of convertible debt 0.25 
Common stock issued upon exercise of warrants 0.47 
Common stock issued upon exercise of options 0.27 
Common Stock [Member]
   
Balance 91,453 
Balance (in Shares) 91,453,194 
Common stock issued for conversion of convertible debt 18,810 
Common stock issued for conversion of convertible debt (in Shares) 18,809,542 
Common stock issued upon exercise of warrants 81 
Common stock issued upon exercise of warrants (in Shares) 81,020 
Common stock issued for services 2,550 
Common stock issued for services (in Shares) 2,550,000 
Common stock issued upon exercise of options 78 
Common stock issued upon exercise of options (in Shares) 77,778 
Balance112,972112,972112,972
Balance (in Shares)112,971,534112,971,534112,971,534
Capital Units [Member]
   
Common stock issued for services 62,500 
Balance62,50062,50062,500
Additional Paid-in Capital [Member]
   
Balance 51,925,168 
Common stock issued for conversion of convertible debt 4,683,576 
Common stock issued upon exercise of warrants (81) 
Fair value of options issued as compensation 919,289 
Common stock issued for services 796,950 
Common stock issued upon exercise of options 20,922 
Fair value of warrants and beneficial conversion feature of issued convertible notes 4,132,505 
Fair value of warrants issued for services 339,122 
Balance62,817,45162,817,45162,817,451
Retained Earnings [Member]
   
Balance (58,432,920) 
Net loss for the nine months ended September 30, 2011 (7,511,015) 
Balance$ (65,943,935)$ (65,943,935)$ (65,943,935)