Annual report pursuant to section 13 and 15(d)

Consolidated Statements Of Changes In Stockholders' Deficit

v2.3.0.11
Consolidated Statements Of Changes In Stockholders' Deficit (USD $)
Total
Series A Preferred Stock [Member]
Common Stock [Member]
Additional paid-in capital [Member]
Accumulated deficit [Member]
Balance at Sep. 30, 2009 $ (494,193)   $ 71,717 $ 4,830,648 $ (5,396,558)
Balance, shares at Sep. 30, 2009     71,717,454    
Common Shares issued for cash 500,000   27,473 472,527  
Common Shares issued for cash, shares     27,472,530    
Preferred Shares issued for cash 250,000 250   249,750  
Preferred Shares issued for cash, shares   250,000      
Shares issued for non-employee services 181,000   15,356 165,644  
Shares issued for non-employee services, shares 15,356,263   15,356,263    
Shares issued for note conversion 33,104   1,819 31,285  
Shares issued for note conversion, shares 1,818,832   1,818,832    
Shares issued for conversion of accrued expenses 267,392   15,193 252,199  
Shares issued for conversion of accrued expenses, shares 15,192,679   15,192,679    
Shares issued in connection with debt issuance 6,250   750 5,500  
Shares issued in connection with debt issuance, shares     750,000    
Net (loss) (1,087,016)       (1,087,016)
Balance at Sep. 30, 2010 (343,463) 250 132,308 6,007,553 (6,483,574)
Balance, shares at Sep. 30, 2010   250,000 132,307,758    
Preferred Shares issued for cash 650,000 650   649,350  
Preferred Shares issued for cash, shares   650,000      
Shares issued for non-employee services 53,654   8,581 45,073  
Shares issued for non-employee services, shares 8,581,446   8,581,446    
Shares issued in lieu of cash dividends 23,724   2,372 21,352  
Shares issued in lieu of cash dividends, shares 2,372,409   2,372,409    
Shares cancelled in exchange for Preferred Shares   174 (17,400) 17,226  
Shares cancelled in exchange for Preferred Shares, shares 174,000 174,000 (17,400,000)    
Shares issued for conversion of accrued expenses 50,800   8,796 42,004  
Shares issued for conversion of accrued expenses, shares 8,795,556   8,795,556    
Warrants issued in exchange for services 71,000     71,000  
Net (loss) (1,204,036)       (1,204,036)
Balance at Sep. 30, 2011 $ (698,321) $ 1,074 $ 134,657 $ 6,853,558 $ (7,687,610)
Balance, shares at Sep. 30, 2011   1,074,000 134,657,169