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Consolidated Statement of Changes in Capital Deficit (USD $)
Common Stock [Member]
Common Stock Additional Paid-In Capital [Member]
Common Shares to be Issued [Member]
Deficit Accumulated During the Development Stage [Member]
Total
Beginning Balance at Jan. 22, 2004          
Capital stock issued for cash on January 23, 2004 - at $0.0033 $ 12,000 $ 28,000     $ 40,000
Capital stock issued for cash on January 23, 2004 - at $0.0033 (Shares) 12,000,000        
Net Income (Loss)       (14,395) (14,395)
Ending Balance at Sep. 30, 2004 12,000 28,000   (14,395) 25,605
Ending Balance (Shares) at Sep. 30, 2004 12,000,000        
Capital stock issued for cash on December 31, 2004 - at $0.0033 7,200 16,800     24,000
Capital stock issued for cash on December 31, 2004 - at $0.0033 (Shares) 7,200,000        
Management fees contributed   13,000     13,000
Rent contributed   3,000     3,000
Net Income (Loss)       (91,625) (91,625)
Ending Balance at Sep. 30, 2005 19,200 60,800   (106,020) (26,020)
Ending Balance (Shares) at Sep. 30, 2005 19,200,000        
Management fees contributed   1,625     1,625
Rent contributed   750     750
Debt forgiven by directors   33,666     33,666
Net Income (Loss)       (25,532) (25,532)
Ending Balance at Sep. 30, 2006 19,200 96,841   (131,552) (15,511)
Beginning Balance (Shares) at Sep. 30, 2006 19,200,000        
Capital stock issued for research and development services on September 24, 2007 - at $3.60 222 799,778     800,000
Capital stock issued for research and development services on September 24, 2007 - at $3.60 (Shares) 222,222        
Capital stock issued for settlement of loan payable on September 25, 2007 - at $3.60 93 332,907     333,000
Capital stock issued for settlement of loan payable on September 25, 2007 - at $3.60 (Shares) 92,500        
Net Income (Loss)       (1,579,993) (1,579,993)
Ending Balance at Sep. 30, 2007 19,515 1,229,526   (1,711,545) (462,504)
Ending Balance (Shares) at Sep. 30, 2007 19,514,722        
Capital stock issued for cash on December 10, 2007- at $3.50 150 524,850     525,000
Capital stock issued for cash on December 10, 2007- at $3.50 (Shares) 150,000        
Capital stock issued for consulting services on December 18, 2007 - at $3.86 50 192,950     193,000
Capital stock issued for consulting services on December 18, 2007 - at $3.86 (Shares) 50,000        
Capital stock issued debt settlement of debt on December 18, 2007- at $4.50 10 44,990     45,000
Capital stock issued debt settlement of debt on December 18, 2007- at $4.50 (Shares) 10,000        
Stock-based compensation for shares issued at a discount   65,000     65,000
Capital stock issued for severance on May 15, 2008 - at $5.24 65 340,535     340,600
Capital stock issued for severance on May 15, 2008 - at $5.24 (Share) 65,000        
Common stock to be issued for consulting services     252,599   252,599
Capital stock issued for consulting services on August 19, 2008 - at $5.07 25 126,725 (126,750)    
Capital stock issued for consulting services on August 19, 2008 - at $5.07 (Shares) 25,000        
Capital stock issued for cash on August 19,2008 - at $4.25 142 606,325     606,467
Capital stock issued for cash on August 19,2008 - at $4.25 (Shares) 142,698        
Shares to be issued for consulting services     252,599   252,599
Stock based compensation   1,493,937     1,493,937
Net Income (Loss)       (5,351,269) (5,351,269)
Ending Balance at Sep. 30, 2008 19,957 4,624,838 125,849 (7,062,814) (2,292,170)
Ending Balance (Shares) at Sep. 30, 2008 19,957,420        
Capital stock issued for consulting services on November 20, 2008 at $2.63 25 65,725 (65,750)    
Capital stock issued for consulting services on November 20, 2008 at $2.63 (Shares) 25,000        
Capital stock issued for consulting services on February 20, 2009 at $2.50 25 62,475 (62,500)    
Capital stock issued for consulting services on February 20, 2009 at $2.50 (Shares) 25,000        
Capital stock issued for cash on March 6, 2009 at $2.25 89 200,494     200,583
Capital stock issued for cash on March 6, 2009 at $2.25 (Shares) 89,148        
Capital stock issued for consulting services on March 20, 2009 at $2.00 3 4,997     5,000
Capital stock issued for consulting services on March 20, 2009 at $2.00 (Shares) 2,500        
Capital stock issued for cash on March 20, 2009 at $2.25 11 24,289     24,300
Capital stock issued for cash on March 20, 2009 at $2.25 (Shares) 10,800        
Capital stock issued for cash on June 11, 2009 at $2.25 36 80,964     81,000
Capital stock issued for cash on June 11, 2009 at $2.25 (Shares) 36,000        
Capital stock issued for services on June 11, 2009 at $2.25 29 65,731     65,760
Capital stock issued for services on June 11, 2009 at $2.25 (Shares) 29,227        
Capital stock issued for cash on June 19, 2009 at $2.25 496 1,114,504     1,115,000
Capital stock issued for cash on June 19, 2009 at $2.25 (Shares) 495,556        
Capital stock issued for finders fees on June 26, 2009 at $2.51 22 55,755     55,777
Capital stock issued for finders fees on June 26, 2009 at $2.51 (Shares) 22,222        
Shares to be issued for consulting services     236,337   236,337
Capital stock issued for cash on August 19, 2009 at $2.25 129 289,869     289,998
Capital stock issued for cash on August 19, 2009 at $2.25 (Shares) 128,888        
Less: Finders fees   (72,850)     (72,850)
Beneficial conversion features on convertible debt issuances   333,056     333,056
Extinguishment of debt   487,469     487,469
Cancellation of common shares (75) 234,011 (233,936)    
Cancellation of common shares (Shares) (75,000)        
Share subscriptions received     300,000   300,000
Stock based compensation   812,336     812,336
Net Income (Loss)       (5,499,419) (5,499,419)
Ending Balance at Sep. 30, 2009 20,747 8,383,663 300,000 (12,562,233) (3,857,823)
Ending Balance (Shares) at Sep. 30, 2009 20,746,761        
Cumulative effect of accounting changes   (333,056)   (550,804) (883,860)
Capital stock issued for cash on October 2, 2009 at $2.25 267 599,733 (300,000)   300,000
Capital stock issued for cash on October 2, 2009 at $2.25 (Shares) 266,666        
Capital stock issued in settlement of promissory note on February 2, 2010 at $2.02 49 99,951     100,000
Capital stock issued in settlement of promissory note on February 2, 2010 at $2.02 (Shares) 49,505        
Capital stock issued for cash on April 9, 2010 - at $2.60 93 240,405     240,498
Capital stock issued for cash on April 9, 2010 - at $2.60 (Shares) 92,499        
Capital stock issued in settlement of debt on April 30, 2010 - at $2.85 9 27,991     28,000
Capital stock issued in settlement of debt on April 30, 2010 - at $2.85 (Shares) 9,825        
Finders' fees paid in cash   (24,050)     (24,050)
Capital stock issued for cash on June 29, 2010 - at $2.50 941 2,351,559     2,352,500
Capital stock issued for cash on June 29, 2010 - at $2.50 (Shares) 941,000        
Finders fees paid in cash 2   (206,500)     (206,500)
Capital stock issued in settlement of debt on July 5, 2010 at $2.50 400 999,600     1,000,000
Capital stock issued in settlement of debt on July 5, 2010 at $2.50 (Shares) 400,000        
Capital stock issued for cash on September 3, 2010 at $2.75 163 448,087     448,250
Capital stock issued for cash on September 3, 2010 at $2.75 (Shares) 163,000        
Capital stock issued for finders fees on September 3, 2010 at $2.75 9 (9)      
Capital stock issued for finders fees on September 3, 2010 at $2.75 (Shares) 9,000        
Finders' fees paid in cash 3   (15,125)     (15,125)
Shares issued on conversion of promissory note on September 30, 2010 at $2.25 328 737,802     738,130
Shares issued on conversion of promissory note on September 30, 2010 at $2.25 (Shares) 328,058        
Shares issued on conversion of promissory note on September 30, 2010 at $2.35 511 1,199,489     1,200,000
Shares issued on conversion of promissory note on September 30, 2010 at $2.35 (Shares) 510,638        
Reclassification of derivative liability on modification of note   3,144,520     3,144,520
Settlement of accounts payable   444,000     444,000
Equity component of convertible promissory note   44,220     44,220
Stock based compensation   770,055     770,055
Net Income (Loss)       (8,783,037) (8,783,037)
Ending Balance at Sep. 30, 2010 23,517 18,912,335   (21,896,074) (2,960,222)
Ending Balance (Shares) at Sep. 30, 2010 23,516,952        
Capital stock issued for cash on November 18, 2010 at $2.75 393 1,082,682     1,083,075
Capital stock issued for cash on November 18, 2010 at $2.75 (Shares) 393,846        
Less: Share issue costs   (65,363)     (65,363)
Capital stock issued for finders fees on November 18, 2010 at $2.75 4 (4)      
Capital stock issued for finders fees on November 18, 2010 at $2.75 (Shares) 3,636        
Shares issued on conversion of promissory note on November 18, 2010 at $2.25 853 1,918,565     1,919,418
Shares issued on conversion of promissory note on November 18, 2010 at $2.25 (Shares) 853,075        
Debt conversion expense   504,160     504,160
Shares issued on the conversion of a promissory note on November 18, 2010 - at $4.12 145 597,515     597,660
Shares issued on the conversion of a promissory note on November 18, 2010 - at $4.12 (Shares) 145,063        
Capital stock issued in settlement of debt on November 18, 2010 - at $4.12 182 748,908     749,090
Capital stock issued in settlement of debt on November 18, 2010 - at $4.12 (Shares) 181,818        
Capital stock issued for cash on November 25, 2010 at $3.35 30 99,970     100,000
Capital stock issued for cash on November 25, 2010 at $3.35 (Shares) 29,851        
Capital stock issued for finders fees on November 25, 2010 at $3.35 3 (3)      
Capital stock issued for finders fees on November 25, 2010 at $3.35 (Shares) 2,985        
Capital stock issued for cash on February 1, 2011 - at $3.75 61 228,739     228,800
Capital stock issued for cash on February 1, 2011 - at $3.75 (Shares) 61,014        
Capital stock issued for cash on May 3, 2011 - at $3.00 34 99,966     100,000
Capital stock issued for cash on May 3, 2011 - at $3.00 (Shares) 33,334        
Capital stock issued on exercise of warrants for cash on June 19, 2011 - at $2.25 700 1,574,300     1,575,000
Capital stock issued on exercise of warrants for cash on June 19, 2011 - at $2.25 (Shares) 700,000        
Equity units issued in settlement of an account payable on September 28, 2011 650 1,059,313     1,059,963
Equity units issued in settlement of an account payable on September 28, 2011 (Shares) 650,000        
Stock based compensation   1,273,162     1,273,162
Net Income (Loss)       (7,307,147) (7,307,147)
Ending Balance at Sep. 30, 2011 26,572 28,034,245   (29,203,221) (1,142,404)
Ending Balance (Shares) at Sep. 30, 2011 26,571,574        
Rent contributed         0
Capital stock issued for cash on December 6, 2011 - at $1.25 616 768,884     769,500
Capital stock issued for cash on December 6, 2011 - at $1.25 (Shares) 615,600        
Less: Share issue costs   (77,000)     (77,000)
Capital stock issued for cash on February 9, 2012 - at $1.25 270 337,230     337,500
Capital stock issued for cash on February 9, 2012 - at $1.25 Shares 270,000        
Less: Share Issue costs 2   (33,750)     (33,750)
Equity units issued for services on February 9, 2012 - at $1.99 8 15,888     15,896
Equity units issued for services on February 9, 2012 - at $1.99 (Share) 8,000        
Equity units issued for settlement of loans payable on May 31, 2012 2,700 5,176,884     5,179,584
Equity units issued for settlement of loans payable on May 31, 2012 (Share) 2,700,513        
Capital stock issued for services on July 12, 2012 - at $1.00 75 74,925     75,000
Capital stock issued for services on July 12, 2012 - at $1.00 (Shares) 75,000        
Stock based compensation   302,208     302,208
Net Income (Loss)       (8,301,705) (8,301,705)
Ending Balance at Sep. 30, 2012 30,241 34,599,514   (37,504,926) (2,875,171)
Ending Balance (Shares) at Sep. 30, 2012 30,240,687        
Rent contributed         0
Equity units issued for settlement of loans payable on July 5, 2013 4,209 2,563,011     2,567,220
Equity units issued for settlement of loans payable on July 5, 2013 (Shares) 4,208,910        
Capital stock issued for cash on July 5, 2013 - at $0.40 2,196 563,257     565,453
Capital stock issued for cash on July 5, 2013 - at $0.40 (Shares) 2,196,133        
Less: Share issue costs   (112,174)     (112,174)
Initial purchase shares issued under equity line on July 5, 2013 - at $0.40 592 99,750     100,342
Initial purchase shares issued under equity line on July 5, 2013 - at $0.40 (Shares) 591,858        
Less: Share Issue costs 2   (71,335)     (71,335)
Common stock to be issued for cash - at $0.50     60,000   60,000
Stock based compensation   1,002,500     1,002,500
Net Income (Loss)       (3,700,046) (3,700,046)
Ending Balance at Sep. 30, 2013 37,238 38,644,523 60,000 (41,204,972) (2,463,211)
Ending Balance (Shares) at Sep. 30, 2013 37,237,588        
Rent contributed         0
Equity units issued under equity line 400 187,770     188,170
Equity units issued under equity line (Shares) 400,000        
Commitment shares issued under terms of equity line 3 (3)      
Commitment shares issued under terms of equity line (Shares) 2,510        
Recovery of share issue costs   25,150     25,150
Reclassification of derivative liability upon modification of warrant terms   221,000     221,000
Net Income (Loss)       358,637 358,637
Ending Balance at Dec. 31, 2013 $ 37,641 $ 39,078,440 $ 60,000 $ (40,846,335) $ (1,670,254)
Ending Balance (Shares) at Dec. 31, 2013 37,640,098