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]
SHARES TO BE REFUND [Member]
DEFICIT [Member]
NON CONTROLLING INTEREST [Member]
Total
Beginning Balance at Aug. 31, 2014 $ 34,249 $ 10,033,438 $ (35,200) $ (8,315,389)   $ 1,717,098
Beginning Balance (Shares) at Aug. 31, 2014 34,249,690          
Shares Cancelled $ (110) (35,090) 35,200      
Shares Cancelled (Shares) (110,000)          
Shares issued for PP @ $0.15 $ 305 45,475       45,780
Shares issued for PP @ $0.15 (Shares) 305,200          
Non-controlling Interest         $ (115,812) (115,812)
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   144,199       144,199
Shares issued for PP @$0.10 $ 5,000 462,100       467,100
Shares issued for PP @$0.10 (Shares) 5,000,000          
Shares cancelled $ (500) (44,500)       (45,000)
Shares cancelled (Shares) (500,000)          
Shares issued per agreement @ $0.19 $ 250 47,250       47,500
Shares issued per agreement @ $0.19 (Shares) 250,000          
Shares issued per agreement @ $0.20 $ 420 83,112       83,532
Shares issued per agreement @ $0.20 (Shares) 420,000          
Return of commission from previous PP   4,899       4,899
Stock Options issued @$0.10   52,801       52,801
Comprehensive income (loss):       (1,770,500)   (1,770,500)
Ending Balance at Aug. 31, 2015 $ 39,852 10,818,446   (10,085,889) (115,812) 656,597
Ending Balance (Shares) at Aug. 31, 2015 39,852,984          
Non-controlling Interest         (43,990) (43,990)
Shares issued per agreement @ $0.19 $ 100 18,900       19,000
Shares issued per agreement @ $0.19 (Shares) 100,000          
Stock options issued @$0.19   18,873       18,873
Shares to be issued     36,000     36,000
Shares issued per PP $ 500 86,980 $ 36,000     51,480
Shares issued per PP (Shares) 500,000          
Stock issued per agreement @$0.19 $ 50 9,450       9,500
Stock issued per agreement @$0.19 (Shares) 50,000          
Share forward split 1.1 $ 4,050.3 4,050.3        
Share forward split 1.1 (Shares) 4,050,298          
Comprehensive income (loss):       (642,312)   (642,312)
Ending Balance at Feb. 29, 2016 $ 44,552 $ 10,948,599   $ (10,728,201) $ (159,802) $ 105,148
Ending Balance (Shares) at Feb. 29, 2016 44,553,282