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Condensed Consolidated Statement of Stockholders' Equity (Unaudited) - USD ($)
Preferred Stock [Member]
Series-1 Preferred Stock [Member]
Preferred Stock [Member]
Series A Preferred Stock [Member]
Preferred Stock [Member]
Series C Preferred Stock [Member]
Common Stock [Member]
Additional Paid-in Capital [Member]
Retained Earnings [Member]
Treasury Stock [Member]
AOCI Attributable to Parent [Member]
Total
Noncontrolling Interest [Member]
Balance at September 30, 2019, as reported at Aug. 31, 2019 $ 2,111 $ 1,000 $ 3,963 $ 40,344,837 $ (20,067,685) $ 796,004 $ 21,080,230 $ 885,874
Balance, shares at Aug. 31, 2019 2,110,718 1,000,000 3,962,790            
Adjustment (1,002,030) 3,562,301 958,814 (3,605,517) (70,690)
Balance at September 30, 2020, as restated at Sep. 30, 2019 $ 2,111 $ 1,000 $ 3,963 39,342,807 (23,629,986) 1,754,818 17,474,713 815,184
Balance, shares at Sep. 30, 2019 2,110,718 1,000,000 3,962,790            
Foreign currency translation gain               57,639 57,639
Share-based compensation     $ 100   191,316       191,416  
Share-based compensation, shares     100,000              
Shares issued for goods and services       $ 513 532,275       532,788  
Shares issued for goods and services, shares       513,358            
Shares sold in Securities Purchase Agreements, net of offering costs       $ 6,644 11,615,276       11,621,920  
Shares sold in Securities Purchase Agreements, net of offering costs, shares   6,643,872            
Purchase of treasury stock             (338,775)   (338,775)  
Cancellation of Shares not issued in 2019 ATM offering       $ (28) 28        
Cancellation of Shares not issued in 2019 ATM offering, shares       (27,954)            
Retirement of treasury stock $ (171)       (190,313)   190,484    
Retirement of treasury stock, shares (171,033)                  
Shares issued to pay notes payable       $ 6,531 8,730,594       8,737,125  
Shares issued to pay notes payable, shares       6,530,473            
Dividends paid in Series 1 preferred shares $ 217       (217)        
Dividends paid in Series 1 preferred shares, shares 217,099                  
Income/(loss) attributable to noncontrolling interest                 227,116
Net loss           (10,470,081)     (10,470,081)  
Balance at September 30, 2020, as restated at Sep. 30, 2020 $ 2,157 $ 1,000 $ 100 $ 17,623 60,221,766 (34,100,067) (148,291) 1,812,457 27,806,745 1,042,300
Balance, shares at Sep. 30, 2020 2,156,784 1,000,000 100,000 17,622,539            
Balance at September 30, 2019, as reported at Aug. 31, 2020 $ 2,157 $ 1,000 $ 100 $ 17,623 63,313,336 (33,172,690) (148,291) 853,643 28,996,207 1,077,645
Balance, shares at Aug. 31, 2020 2,156,784 1,000,000 100,000 17,622,539            
Adjustment (3,091,570) 297,430 923,469 (1,870,671)
Balance at September 30, 2020, as restated at Sep. 30, 2020 $ 2,157 $ 1,000 $ 100 $ 17,623 60,221,766 (34,100,067) (148,291) 1,812,457 27,806,745 1,042,300
Balance, shares at Sep. 30, 2020 2,156,784 1,000,000 100,000 17,622,539            
Foreign currency translation gain               996,100 996,100  
Defined benefit plan actuarial gain/(loss)               87,895 87,895  
Share-based compensation         156,419       156,419  
Shares issued to pay notes payable       $ 3,159 5,022,492       5,025,651  
Shares issued to pay notes payable, shares       3,159,655            
Dividends paid in Series 1 preferred shares $ 198       (198)        
Dividends paid in Series 1 preferred shares, shares 198,316                  
Income/(loss) attributable to noncontrolling interest                 (78,274)
Shares  and options surrendered in settelment agreement $ (470) $ (1,000) $ (50)   (3,672,645)       (3,674,165)  
Stock Issued During Period Shares and Options Surrendered In Settlement Agreement (469,949) (1,000,000.00) (50,000)              
Net loss           (7,807,995)   (7,807,995)  
Balance at September 30, 2020, as restated at Sep. 30, 2021 $ 1,885 $ 50 $ 20,782 $ 61,727,834 $ (41,908,062) $ (148,291) $ 2,896,452 $ 22,590,650 $ 964,026
Balance, shares at Sep. 30, 2021 1,885,151 50 20,782,194