Annual report pursuant to section 13 and 15(d)

Statements of Stockholders' Equity (Deficit)

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Statements of Stockholders' Equity (Deficit) (USD $)
Total
Preferred-A
Preferred-B
Common Stock
Additional Paid-in capital
Accumulated Deficit
Stock Subscriptions [Member]
Beginning balance at Dec. 31, 2011 $ 954,663 $ 10,000    $ 37,384 $ 15,557,096 $ (13,650,817) $ (999,000)
Beginning balance, shares at Dec. 31, 2011   10,000,000    37,384,414      
Sale of common stock 1,482,303     2,075 481,228   999,000
Sale of common stock, shares       2,075,000      
Issuance of Preferred Shares 900,000   1,000   899,000    
Issuance of Preferred Shares, Shares     1,000,000        
Common stock issued for conversion ofconvertible notes and accrued interest       1,529 2,294    
Common stock issued for conversion ofconvertible notes and accrued interest, Shares       1,529,036      
Common stock issued for compensation and services 1,596,313     1,172 1,595,141    
Common stock issued for compensation and services, shares       1,171,255      
Common stock issued for director compensation 462,250     275 461,975    
Common stock issued for director compensation, shares       275,000      
Warrants and options issued for compensation and services 843,899       843,899    
Deemed dividend on Series B Preferred shares converted into common shares and warrants               
Issuance of common stock in settlement of accounts payable               
Issuance of common stock for acquisition               
Retirement of reacquired stock               
Fair value of warrants issued in conjunction with sale of common stock deemed to be derivative liabilities               
Warrants issued with convertible debt 276,926       276,926    
Net loss (5,289,610)         (5,289,610)  
Balance at Dec. 31, 2012 1,230,567 10,000 1,000 42,435 20,117,559 (18,940,427)   
Balance, shares at Dec. 31, 2012   10,000,000 1,000,000 42,434,705      
Sale of common stock 15,104,567     25,325 15,079,242    
Sale of common stock, shares 17,785,714     25,325,714      
Issuance of warrants in conjunction with sale of common stock 2,160,942       2,160,942    
Common stock issued for compensation and services 2,419,370     1,968 2,417,402    
Common stock issued for compensation and services, shares       1,967,984      
Common stock issued for director compensation 145,500     100 145,400    
Common stock issued for director compensation, shares       100,000      
Common stock issued in settlement of agreement 3,420,000     2,000 3,418,000    
Common stock issued in settlement of agreement, Shares       2,000,000      
Common stock issued for software development 150,000     114 149,886    
Common stock issued for software development, shares       113,636      
Warrants and options issued for compensation and services 8,022,996       8,022,996    
Conversion of Series B preferred stock into common stock and warrants      (1,000) 2,500 (1,500)    
Conversion of Series B preferred stock into common stock and warrants, shares     (1,000,000) 2,500,000      
Deemed dividend on Series B Preferred shares converted into common shares and warrants 2,831,830       2,831,830 (2,831,830)  
Conversion of notes payable into common stock and warrants 852,491     330 852,161    
Conversion of notes payable into common stock and warrants, shares       330,000      
Issuance of common stock in settlement of accounts payable 85,390     61 85,329    
Issuance of common stock in settlement of accounts payable, Shares       60,993      
Issuance of common stock for acquisition 3,157,272     2,542 3,154,730    
Common stock issued for acquisition, Shares       2,541,801      
Retirement of reacquired stock (450,000)     250 449,750    
Retirement of reacquired stock, Shares       (250,000)      
Fair value of warrants issued in conjunction with sale of common stock deemed to be derivative liabilities 11,042,057       (11,042,057)    
Registration rights fee (1,543,000)       (1,543,000)    
Net loss (24,137,285)         (24,137,285)  
Balance at Dec. 31, 2013 $ 423,247 $ 10,000    $ 77,125 $ 45,399,170 $ (45,909,542)   
Balance, shares at Dec. 31, 2013   10,000,000    77,124,833