Quarterly report pursuant to Section 13 or 15(d)

CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY

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CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY - USD ($)
COMMON STOCK [Member]
ADDITIONAL PAID-IN CAPITAL [Member]
DEFICIT [Member]
NCI [Member]
Total
Beginning Balance at Aug. 31, 2015 $ 43,838 $ 10,814,460 $ (10,085,889) $ (115,812) $ 656,597
Beginning Balance (Shares) at Aug. 31, 2015 43,838,282        
Shares issued for services $ 625 78,875     79,500
Shares issued for services (Shares) 625,000        
Non-controlling Interest       (62,476) (62,476)
Stock based compensation   83,865     83,865
Private placement of shares, net of issuance cost $ 5,267 414,025     419,292
Private placement of shares, net of issuance cost (Shares) 5,266,858        
Private placement subscription receivable $ 1,558 91,942     93,500
Private placement subscription receivable (Shares) 1,558,333        
Warrants issued for services   32,252     32,252
Net loss     (1,214,773)   (1,214,773)
Ending Balance at Aug. 31, 2016 $ 51,288 11,515,419 (11,300,662) (178,288) 87,757
Ending Balance (Shares) at Aug. 31, 2016 51,288,473        
Shares issued for services $ 422 60,338     60,760
Shares issued for services (Shares) 422,536        
Non-controlling Interest       (5,108) (5,108)
Stock based compensation   17,567     17,567
Warrants issued for services   107,803     107,803
Exercise of stock options for cash $ 55 12,445     12,500
Exercise of stock options for cash (Shares) 55,000        
Exercise of warrants for cash $ 605 136,903     137,508
Exercise of warrants for cash (Shares) 605,000        
Warrants exercise subscription receivable $ 2,640 597,360     600,000
Warrants exercise subscription receivable (Shares) 2,640,000        
Net loss     (395,445)   (395,445)
Ending Balance at Nov. 30, 2016 $ 55,010 $ 12,447,835 $ (11,696,107) $ (183,396) $ 623,342
Ending Balance (Shares) at Nov. 30, 2016 55,011,009