v2.4.0.8
Consolidated Statements of Changes in Stockholders' Deficit (USD $)
Common Stock [Member]
Additional Paid-in Capital [Member]
Retained Earnings [Member]
Total
at Oct. 20, 1998        
Balance at year end (in Shares) 213,527,909      
Shares issued for cash $ 11,745 $ 281,913   $ 293,658
Shares issued for cash (in Shares) 11,745,316      
Shares issued in business combination 36,533 958,646   995,179
Shares issued in business combination (in Shares) 36,533,130      
Shares re-acquired and cancelled (27,000) (112,178)   (139,178)
Shares re-acquired and cancelled (in Shares) (27,000,000)      
Shares issued for debt settlement 190,249 9,722,224   9,912,473
Shares issued for debt settlement (in Shares) 190,249,463      
2,000 595,649   597,649
Stock-based compensation (in Shares) 2,000,000      
Imputed interest   2,818,562   2,818,562
Net loss for the year     (32,255,396) (32,255,396)
at Dec. 31, 2010 213,527 23,428,360 (32,255,396) (8,613,509)
Balance at year end (in Shares) 213,977,909      
  2,682,855   2,682,855
Shares issued for stock options exercised 450 44,550   45,000
Shares issued for stock options exercised (in Shares) 450,000      
Imputed interest   179,261   179,261
Net loss for the year     (5,276,669) (5,276,669)
at Dec. 31, 2011 213,977 26,335,026 (37,532,065) (10,983,062)
Balance at year end (in Shares) 236,447,909     236,477,909
  5,597,662   5,597,662
Shares issued for stock options exercised 22,500 1,052,500   1,075,000
Shares issued for stock options exercised (in Shares) 22,500,000     (22,500,000)
Imputed interest   169,248   169,248
Net loss for the year     (8,328,660) (8,328,660)
at Dec. 31, 2012 236,477 33,154,436 (45,860,725) (12,469,812)
Balance at year end (in Shares) 239,477,909     239,477,909
  244,913   244,913
Shares issued for stock options exercised 3,000 87,000   90,000
Shares issued for stock options exercised (in Shares) 3,000,000     (3,000,000)
Imputed interest   183,988   183,988
Net loss for the year     (2,997,229) (2,997,229)
at Dec. 31, 2013 $ 239,477 $ 33,670,337 $ 48,857,954 $ (14,948,140)