Annual report pursuant to Section 13 and 15(d)

CONSOLIDATED STATEMENTS OF CHANGES IN STOCKHOLDERS' EQUITY (DEFICIT)

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CONSOLIDATED STATEMENTS OF CHANGES IN STOCKHOLDERS' EQUITY (DEFICIT) - USD ($)
Preferred Stock [Member]
Series A Preferred Stock [Member]
Preferred Stock [Member]
Series B Preferred Stock [Member]
Preferred Stock [Member]
Series C Preferred Stock [Member]
Preferred Stock [Member]
Series D Preferred Stock [Member]
Preferred Stock [Member]
Series E Convertible Preferred Stock [Member]
Common Stock [Member]
Additional paid-in capital [Member]
Accumulated deficit [Member]
Series A Preferred Stock [Member]
Series C Preferred Stock [Member]
Total
Balance at Sep. 30, 2016 $ 26 $ 7 $ 2,039 $ 14,299,242 $ (14,652,520)     $ (351,206)
Balance, shares at Sep. 30, 2016 40,750 1 2,563,375 670,904 203,899,190          
Shares issued for cash                    
Series E Convertible Preferred shares issued for acquisition of assets $ 30 292,210     292,240
Series E Convertible Preferred shares issued for acquisition of assets, shares 3,000,000          
Series A Convertible Preferred shares issued for cash $ 6 262,867     262,873
Series A Convertible Preferred shares issued for cash, shares 525,746          
Net (loss) (859,183)     (859,183)
Balance at Sep. 30, 2017 $ 6 $ 26 $ 7 $ 30 $ 2,039 14,854,319 (15,511,703)     (655,276)
Balance, shares at Sep. 30, 2017 566,496 1 2,563,375 670,904 3,000,000 203,899,190          
Series A Convertible Preferred shares exchanged for Series C Covertible Preferred $ (1) $ 11     10
Series A Convertible Preferred shares exchanged for Series C Covertible Preferred, Shares (53,500) 1,070,000      
Series B Convertible Preferred shares exchanged for Series C Covertible Preferred $ 8     8
Series B Convertible Preferred shares exchanged for Series C Covertible Preferred, Shares (1) 800,000     53,500 1,070,000  
Net (loss) (532,809)     (532,809)
Balance at Sep. 30, 2018 $ 5 $ 45 $ 7 $ 30 $ 2,039 $ 14,854,301 $ (16,044,512)     $ (1,188,085)
Balance, shares at Sep. 30, 2018 512,996 4,433,375 670,904 3,000,000 203,899,190