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CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY (USD $)
Series A Convertible Preferred Stock
Series B Convertible Preferred Stock
Common Stock
Treasury Stock at Cost
Additional Paid-In Capital
Retained Earning (Deficit)
Total
Beginning balance at Dec. 31, 2009       $ 800       $ (50,697) $ (49,897)
Beginning balance, shares at Dec. 31, 2009       80,000,000        
Stock issued in private placement, net of offering costs       200    149,175    149,375
Stock issued in private placement, shares     20,000,000        
Restricted shares issued to an Executive       40    39,960    40,000
Restricted shares issued to an Executive, shares     4,000,000        
Restricted Shares Issued to a Consultant       1    1,199    1,200
Restricted Shares Issued to a Consultant, shares     120,000        
Restricted common shares issued in investment of 44.5 % of Triple 8 Limited       250    7,499,750    7,500,000
Restricted common shares issued in investment of 44.5 % of Triple 8 Limited, shares     25,000,000        
Restricted common shares issued to acquire a 20% interest in Forex NYC       10    199,990    200,000
Restricted common shares issued to acquire a 20% interest in Forex NYC, shares     1,000,000        
Return and cancellation of Medirad shares       (300)          (300)
Return and cancellation of Medirad shares, shares     (30,000,000)        
Return and cancellation of Rasel LTD shares       (400)          (400)
Return and cancellation of Rasel LTD shares, shares     (40,000,000)        
Private placement shares issued     35   519,965   520,000
Private placement shares issued, shares     3,466,666        
Net loss                (439,654) (439,654)
Ending balance at Dec. 31, 2010       636    8,410,039 (490,351)  
Ending balance, shares at Dec. 31, 2010       63,586,666         
Stock issued in private placement, net of offering costs       2    28,343    28,345
Stock issued in private placement, shares     188,965        
Restricted shares issued to an Executive               
Restricted Shares Issued to a Consultant             2,000    2,000
Restricted Shares Issued to a Consultant, shares     10,000        
Restricted common shares issued to ATL for certain draws on a note to pay certain expenses       3    71,733    71,736
Restricted common shares issued to ATL for certain draws on a note to pay certain expenses, shares     324,234        
Restricted common shares issued to investor relations firm       7    209,993    210,000
Restricted common shares issued to investor relations firm, shares     700,000        
Mladen Poropat conversion of debt to common shares       25    199,975    200,000
Mladen Poropat conversion of debt to common shares, shares     2,500,000        
Restricted common shares issued for commitment fee in investment       13    149,987    150,000
Restricted common shares issued for commitment fee in investment, shares     1,300,954        
Issuance of Series A preferred shares to HAM pursuant to share exchange agreement to acquire an additional 5% of Triple 8 Limited             1,200,000    1,200,000
Issuance of Series A preferred shares to HAM pursuant to share exchange agreement to acquire an additional 5% of Triple 8 Limited, shares 12,000            
Issuance of Series A preferred shares to APH pursuant to share exchange agreement and cancellation of related common shares 1    (330)    329      
Issuance of Series A preferred shares to APH pursuant to share exchange agreement and cancellation of related common shares, shares 100,000   (33,000,000)        
Return and cancellation of common shares issued for Forex NYC       (10)    (199,990)    (200,000)
Return and cancellation of common shares issued for Forex NYC, shares     (1,000,000)        
Repurchase of common shares on open market          (11,059)       (11,059)
Repurchase of common shares on open market,shares     (38,000) 38,000      
Issuance of Series B preferred shares to ATL and in exchange cancellation of common shares as per settlement agreement       (3)    3      
Issuance of Series B preferred shares to ATL and in exchange cancellation of common shares as per settlement agreement, shares   45,000 (324,234)        
Annulment of 49.5 % investment in Triple 8 Limited             (7,499,750)    (7,499,750)
Cancellation of Series A preferred shares of HAM pursuant to Triple 8 settlement agreement             (1,200,000)    (1,200,000)
Cancellation of Series A preferred shares of HAM pursuant to Triple 8 settlement agreement, shares (12,000)            
Cancellation of common stock Series A preferred shares issued to APH pursuant to Triple 8 Limited settlement agreement (1)          (329)    (330)
Cancellation of common stock Series A preferred shares issued to APH pursuant to Triple 8 Limited settlement agreement, shares (100,000)            
Net loss                (741,059) (741,059)
Ending balance at Dec. 31, 2011       $ 343 $ (11,059) $ 1,372,333 $ (1,231,410) $ 130,207
Ending balance, shares at Dec. 31, 2011    45,000 34,248,585 38,000