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Consolidated Statements of Shareholders' Equity - USD ($)
Series A Preferred Stock [Member]
Series 1 Preferred Stock [Member]
Common Stock [Member]
Additional Paid-in Capital [Member]
Retained Earnings (Accumulated Deficit) [Member]
Accumulated Other Comprehensive Income (Loss) [Member]
Total
Balance at Sep. 30, 2016 $ 1,000 $ 9,460 $ 5,230,745 $ 11,424,900 $ (974,147) $ 15,087,828
Balance, shares at Sep. 30, 2016 1,000,000 9,460,283        
Foreign currency translations 840,655 840,655
Share-based compensation $ 38 67,462 67,500
Share-based compensation, shares 37,500        
Stock issued for convertible debt $ 1,237 3,690,391 $ 3,691,628
Stock issued for convertible debt, shares 1,237,105       1,237,105
Stock issued for services $ 33 108,584 $ 108,617
Stock issued for services, shares 33,074        
Stock repurchased and retired $ (364) (1,344,230) (1,344,594)
Stock repurchased and retired, shares (363,528)        
Preferred stock purchased during rights offering $ 1,402 12,734,027 12,735,429
Preferred stock purchased during rights offering, shares 1,401,875        
Payment of related party note in common stock and warrants $ 334 3,339,499 3,339,833
Payment of related party note in common stock and warrants, shares 333,983          
Cash dividend on common stock (195,700) (195,700)
Cash dividend on Series 1 Preferred Stock (332,938) (332,938)
Dividends paid in Series 1 preferred shares $ 87 867,846 (867,933)
Dividends paid in Series 1 preferred shares, shares 86,802        
Stock issued in offering, shares             1,307,679
Net income (loss) 4,389,915 $ 4,389,915
Balance at Sep. 30, 2017 $ 1,000 $ 1,823 $ 10,404 24,694,324 14,418,244 (133,492) 38,992,305
Balance, shares at Sep. 30, 2017 1,000,000 1,822,660 10,404,434        
Foreign currency translations (349,805) (349,805)
Share-based compensation 401,300 401,300
Share-based compensation, shares        
Stock issued for convertible debt $ 99 219,901 $ 220,000
Stock issued for convertible debt, shares 98,821       149,088
Payment of related party note in common stock and warrants            
Dividends paid in Series 1 preferred shares $ 91 914,988 (915,079)
Dividends paid in Series 1 preferred shares, shares 91,508        
Shares issued for compensation $ 4 6,699 6,703
Shares issued for compensation, shares 3,723        
Stock issued for interest on convertible debt $ 50 109,094 109,144
Stock issued for interest on convertible debt, shares 50,267        
Stock issued to pay notes payable $ 403 724,597 725,000
Stock issued to pay notes payable, shares 403,860        
Stock issued for investment in Vicon $ 1,013 2,912,917 2,913,930
Stock issued for investment in Vicon, shares 1,012,625        
Stock issued in offering $ 1,000 1,501,500 $ 1,502,500
Stock issued in offering, shares 1,000,000       2,568,936
Net income (loss) (9,240,409) $ (9,240,409)
Balance at Sep. 30, 2018 $ 1,000 $ 1,914 $ 12,973 $ 31,485,320 $ 4,262,756 $ (483,297) $ 35,280,666
Balance, shares at Sep. 30, 2018 1,000,000 1,914,168 12,973,730