| REVENUES | 215.08K |
| Cost of Sales | 162.67K |
| Research and Development (including non-cash stock related charges of $0, $0 and $205,733 for the six months ended December 31, 2010 & 2011 and inception to date respectively) | 0 |
| General and Administrative (including non-cash stock related charges of $62,945, $6,520,500 and $19,274,854 for the six months ended December 31, 2010 & 2011 and inception to date respectively) | 250.09K |
| Depreciation and Amortization | 804 |
| TOTAL COSTS AND EXPENSES | 466.27K |
| OPERATING LOSS | -251.2K |
| Interest (Expense) | -92.38K |
| Net Reparation, Impairment and Other Income (Expense) | |
| Net (Charges)/Credits related to Convertible Debt | |
| TOTAL OTHER INCOME (EXPENSE) | |
| Income (Loss) From Continuing Operations, before Income Taxes | -580.33K |
| Income (Loss) From Discontinued Operations, Net of Income Taxes of $0 in 2010 and 2011, offset by benefit from tax loss carryforwards of $0 in 2010 and 2011 (including non-cash stock related charges of $0, $0 and $57,515,718 for the six months ended December 31, 2010 & 2011 and inception to date respectively) | |
| Income Taxes | 0 |
| Net Income (Loss) | -580.33K |
| Continuing Operations-Basic | |
| Discontinued Operations-Basic | |
| Continuing Operations-Diluted | |
| Discontinued Operations-Diluted | |
| Basic | |
| Diluted | |