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UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF CHANGES IN STOCKHOLDERS' EQUITY (DEFICIENCY) (Unaudited) - USD ($)
Preferred Stock
Common Stock
Subscription Receivable [Member]
Additional Paid-In Capital
Accumulated Deficit
Other Comprehensive Income / Loss
Sub Total [Member]
Noncontrolling Interest
Total
Beginning balance, shares at Jul. 31, 2019 78,608,419              
Beginning balance, value at Jul. 31, 2019 $ 78,608 $ 408,550,211 $ (418,727,875) $ 797,216 $ (9,301,840) $ 16,974,439 $ 7,672,599
Shares issued for deferred offering, shares 1,719,901              
Shares issued for deferred offering, value $ 1,720 (767,690) 765,970
Stock compensation expense 1,236,697 1,236,697 1,236,697
Shares issued for services, shares 560,000              
Shares issued for services, value $ 560 243,040 243,600   243,600
Issuance of common stock payable, shares 436,121              
Issuance of common stock payable, value $ 436 935,959 936,395 936,395
Conversion of debt to equity, shares 5,006,548              
Conversion of debt to equity, value $ 5,005 2,899,753 2,904,758 2,904,758
Issuance of common stock for acquisitions, shares 960,000              
Issuance of common stock for acquisitions, value $ 960 1,150,992 1,151,952 1,151,952
Reduction of derivative liabilities 2,276,078 2,276,078 2,276,078
Cancellation of shares, shares (20,375,900)              
Cancellation of shares, value $ (20,376) 20,376
Purchase of shares in subsidiary, shares 1,905,912              
Purchase of shares in subsidiary, value $ 1,906 1,985,484 1,987,390 (1,987,390)
Shares issued as debt issuance cost, shares 308,000              
Shares issued as debt issuance cost, value $ 308 141,682 141,990 141,990
Currency translation adjustment (22,025) (22,025) (22,025)
Net Income (Loss) (16,035,448) (16,035,448) (557,129) (16,592,577)
Ending balance, shares at Jan. 31, 2020 69,129,001              
Ending balance, vlaue at Jan. 31, 2020 $ 69,127 (767,690) 420,206,242 (434,763,323) 775,191 (14,480,453) 14,429,920 (50,533)
Beginning balance, shares at Oct. 31, 2019 61,225,895              
Beginning balance, value at Oct. 31, 2019 $ 61,226 417,064,612 (427,853,820) 796,922 (9,931,060) 14,800,447 4,869,387
Shares issued for deferred offering, shares 1,719,901              
Shares issued for deferred offering, value $ 1,720 (767,690) 765,970
Shares issued for services, shares 560,000              
Shares issued for services, value $ 560 243,040 243,600 243,600
Issuance of common stock payable, shares 32,611              
Issuance of common stock payable, value $ 33 14,468 14,501 14,501
Conversion of debt to equity, shares 3,376,682              
Conversion of debt to equity, value $ 3,374 1,164,546 1,167,920 1,167,920
Issuance of common stock for acquisitions, shares              
Issuance of common stock for acquisitions, value
Reduction of derivative liabilities 364,591 364,591 364,591
Purchase of shares in subsidiary, shares 1,905,912              
Purchase of shares in subsidiary, value $ 1,906 (1,906)
Shares issued as debt issuance cost, shares 308,000              
Shares issued as debt issuance cost, value $ 308 141,682 141,990 141,990
Currency translation adjustment (21,731) (21,731) (21,731)
Net Income (Loss) (6,909,503) (6,909,503) (370,527) (7,280,030)
Ending balance, shares at Jan. 31, 2020 69,129,001              
Ending balance, vlaue at Jan. 31, 2020 $ 69,127 (767,690) 420,206,242 (434,763,323) 775,191 (14,480,453) 14,429,920 (50,533)
Beginning balance, shares at Jul. 31, 2020 82,251,801              
Beginning balance, value at Jul. 31, 2020 $ 82,251 429,744,379 (452,062,905) 780,296 (21,455,979) 9,497,709 (11,958,270)
Stock compensation expense 1,742,050 1,742,050 1,742,050
Issuance of common stock as offering costs, shares 284,900              
Issuance of common stock as offering costs, value $ 285 (285)
Shares issued for services, shares 51,130              
Shares issued for services, value $ 51 10,942 10,993 10,993
Issuance of common stock payable, shares 3,529,415              
Issuance of common stock payable, value $ 3,529 1,469,297 1,472,826 1,472,826
Conversion of debt to equity, shares 5,860,255              
Conversion of debt to equity, value $ 5,860 1,121,982 1,127,842 1,127,842
Reduction of derivative liabilities 537,936 537,936 537,936
Issuance of common stock and warrants with attributed derivative liability from PIPE offering, shares 5,102,040              
Issuance of common stock and warrants with attributed derivative liability from PIPE offering, value $ 5,102 (19,729,318) (19,724,216) (19,724,216)
Deemed dividend related to issuance of warrants containing derivative liabilities 1,850,000 (1,850,000)
Settlement of derivative liability from exercise of warrants 1,840,530 1,840,530 1,840,530
Issuance of common stock, net of fees, shares 5,600,000              
Issuance of common stock, net of fees, value $ 5,600 1,159,016 1,164,616 1,164,616
Subscription receivable, shares 750,000              
Subscription receivable, value $ 750 (275,324) 274,574
Exercise of warrants, shares 9,142,973              
Exercise of warrants, value $ 9,144 9,144 9,144
Currency translation adjustment (14,258) (14,258) (14,258)
Net Income (Loss) (34,811,274) (34,811,274) (584,423) (35,395,697)
Ending balance, shares at Jan. 31, 2021 112,572,514              
Ending balance, vlaue at Jan. 31, 2021 $ 112,572 (275,324) 420,021,103 (488,724,179) 766,038 (68,099,790) 8,913,286 (59,186,504)
Beginning balance, shares at Oct. 31, 2020 108,037,614              
Beginning balance, value at Oct. 31, 2020 $ 108,037 418,411,365 (464,643,597) 778,094 (45,346,101) 9,239,325 (36,106,776)
Stock compensation expense 531,043 531,043 531,043
Issuance of common stock as offering costs, shares 284,900              
Issuance of common stock as offering costs, value $ 285 (285)
Issuance of common stock, net of fees, shares 3,500,000              
Issuance of common stock, net of fees, value $ 3,500 804,406 807,906 807,906
Subscription receivable, shares 750,000              
Subscription receivable, value $ 750 (275,324) 274,574
Currency translation adjustment (12,056) (12,056) (12,056)
Net Income (Loss) (24,080,582) (24,080,582) (326,039) (24,406,621)
Ending balance, shares at Jan. 31, 2021 112,572,514              
Ending balance, vlaue at Jan. 31, 2021 $ 112,572 $ (275,324) $ 420,021,103 $ (488,724,179) $ 766,038 $ (68,099,790) $ 8,913,286 $ (59,186,504)