Quarterly report pursuant to Section 13 or 15(d)

CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY AND COMPREHENSIVE INCOME

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CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY AND COMPREHENSIVE INCOME - USD ($)
COMMON STOCK [Member]
ADDITIONAL PAID-IN CAPITAL [Member]
DEFICIT [Member]
STOCK TO BE REFUND [Member]
Total
Beginning Balance at Oct. 31, 2013 $ 16,432 $ 7,140,148 $ (5,057,677)   $ 2,098,903
Beginning Balance (Shares) at Oct. 31, 2013 16,431,452        
Shares issued for PP @ $0.06 $ 500 29,500     30,000
Shares issued for PP @ $0.06 (Shares) 500,000        
Shares issued for services @ $0.10 $ 1,500 178,500     180,000
Shares issued for services @ $0.10 (Shares) 1,500,000        
Shares issued for services @ $0.40 $ 150 62,850     63,000
Shares issued for services @ $0.40 (Shares) 150,000        
Shares issued for services @ $0.60 $ 21 12,479     12,500
Shares issued for services @ $0.60 (Shares) 20,833        
Shares issued for PP @ $0.12 $ 11,420 1,246,735     1,258,155
Shares issued for PP @ $0.12 (Shares) 11,419,999        
Shares issued for option exercise @ $0.35 $ 50 17,450     17,500
Shares issued for option exercise @ $0.35 (Shares) 50,000        
Stock Options issued @ $0.60   26,112     26,112
Shares issued for debt conversion @$0.35 $ 552 192,781     193,333
Shares issued for debt conversion @$0.35 (Shares) 552,380        
Shares issued per LOI @ $0.40 $ 555 221,445     222,000
Shares issued per LOI @ $0.40 (Shares) 555,000        
Shares issued per agreement @ $0.39 $ 110 42,790     42,900
Shares issued per agreement @ $0.39 (Shares) 110,000        
Shares issued per agreement @ $0.32 $ 550 175,450     176,000
Shares issued per agreement @ $0.32 (Shares) 550,000        
Stock Options issued @ $0.25   183,432     183,432
Shares issued for option exercise @ $0.10 $ 50 4,950     5,000
Shares issued for option exercise @ $0.10 (Shares) 50,000        
Shares issued per agreement @ $0.30 $ 55 16,445     16,500
Shares issued per agreement @ $0.30 (Shares) 55,000        
Shares issued per agreement @ $0.26 $ 880 263,120     264,000
Shares issued per agreement @ $0.26 (Shares) 880,000        
Comprehensive income (loss):          
Shares issued per LOI @ $0.30 $ 92 27,408     27,500
Shares issued per LOI @ $0.30 (Shares) 91,662        
Shares issued per agreement @ $0.16 $ 82 13,043     13,125
Shares issued per agreement @ $0.16 (Shares) 82,031        
Shares issued for PP @ $0.15 $ 1,250 178,800     180,050
Shares issued for PP @ $0.15 (Shares) 1,251,333        
Comprehensive income (loss) for the period     (3,257,712)   (3,257,712)
Ending Balance at Aug. 31, 2014 $ 34,249 10,033,438 (8,315,389) $ (35,200) 1,717,098
Ending Balance (Shares) at Aug. 31, 2014 34,249,690        
Shares Cancelled $ (110) (35,090)   35,200  
Shares Cancelled (Shares) (110,000)        
Comprehensive income (loss):          
Shares issued for PP @ $0.15 $ 305 45,475     45,780
Shares issued for PP @ $0.15 (Shares) 305,200        
Shares issued per agreement @$0.105 $ 238 24,762     25,000
Shares issued per agreement @$0.105 (Shares) 238,094        
Stock Options issued @ $0.11 and $0.10   144,198     144,198
Non-controlling Interest         (16,061)
Shares issued for PP @$0.10 $ 5,000 462,100     467,100
Shares issued for PP @$0.10 (Shares) 5,000,000        
Stock Options issued @$0.10   52,802     52,802
Shares to be cancelled   (44,500)   (500) (45,000)
Comprehensive income (loss) for the period         (1,318,770)
Ending Balance at May. 31, 2015 $ 39,682 $ 10,683,185 $ (9,570,059) $ (500) $ 1,136,247
Ending Balance (Shares) at May. 31, 2015 39,682,984