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STATEMENT OF CHANGES IN DEFICIT (USD $)
Preferred Stock (Series A)
Preferred Stock (Series B)
Common Stock
Additional Paid-In Capital
Accumulated Deficit
Concierge Technologies' Deficit
Non-controlling Interest
Total
Beginning Balance - Amount at Jun. 30, 2011 $ 596 $ 273 $ 233,668 $ 3,806,917 $ (4,744,353) $ (702,899) $ 108,931 $ (593,968)
Beginning Balance - Shares at Jun. 30, 2011 596,186 273,333 233,667,610          
Preferred shares issued for loan commitment fee, Amount                 
Series A preferred shares converted to common shares, Shares (390,000)   1,950,000          
Series A preferred shares converted to common shares, Amount (390)   1,950 (1,560)         
Non-controlling Interest             161,433 161,433
Net loss         75,487 75,487   75,487
Ending Balance, Amount at Jun. 30, 2012 206 273 235,618 3,805,357 (4,668,865) (627,411) 270,364 (357,047)
Ending Balance, Shares at Jun. 30, 2012 206,186 273,333 235,617,610          
Series B preferred shares issued in settlement of debenture, Shares   560,000            
Series B preferred shares issued in settlement of debenture, Amount   560   111,440   112,000   112,000
Forgiveness of related party loans       75,450   75,450   75,450
Series B preferred shares issued to acquire Non Controlling Interest, Shares   10,000,000            
Series B preferred shares issued to acquire Non Controlling Interest, Amount   10,000   228,988   238,988 (238,988)  
Preferred shares issued for loan commitment fee, Amount               112,000
Series A preferred shares converted to common shares, Amount               4,667
Series B preferred shares converted to common shares, Shares   (233,333) 4,666,666          
Series B preferred shares converted to common shares, Amount   (233) 4,667 (4,434)        
Series B preferred shares cancelled in lieu of sale of subsidiary, Shares   (1,101,591)            
Series B preferred shares cancelled in lieu of sale of subsidiary, Amount   (1,102)   (263,280)   (264,382)   (264,382)
Gain on sale of subsidiary         340,744 340,744   340,744
Net loss         (245,768) (245,768) (31,375) (277,144)
Ending Balance, Amount at Jun. 30, 2013 $ 206 $ 9,498 $ 240,285 $ 3,953,521 $ (4,573,889) $ (370,380)   $ (370,380)
Ending Balance, Shares at Jun. 30, 2013 206,186 9,498,409 240,284,276