Annual report pursuant to Section 13 and 15(d)

Consolidated Statements of Stockholders' Equity

v2.4.0.8
Consolidated Statements of Stockholders' Equity (USD $)
Common Stock [Member]
Additional Paid-in Capital [Member]
Treasury Stock [Member]
Retained Earnings [Member]
Stock Sub-scriptions Receivable [Member]
Shares To Be Issued [Member]
Accumulated Other Comprehensive Income (Loss) [Member]
Noncontrolling Interest [Member]
Total
Balance at Jun. 30, 2011 $ 55,532 $ 97,886,492 $ (396,008) $ (34,130,944) $ (2,198,460)   $ (8,805,922) $ 12,500,484 $ 64,911,174
Balance (in Shares) at Jun. 30, 2011 5,553,186                
Excercise of common stock options 2,312 964,465     78,972 (125,000)     920,749
Excercise of common stock options (in Shares) 231,259                
Cash 16,675 5,503,067             5,519,742
Cash (in Shares) 1,667,500                
Services 493 386,078       (170,125)     216,446
Services (in Shares) 49,300                
Settlement of liabilities 125 49,875             50,000
Settlement of liabilities (in Shares) 12,500                
Purchase of Treasury Shares     (19,417)           (19,417)
Equity component shown as current liability           (105,575)     (105,575)
Fair market value of options issued   1,291,523             1,291,523
Acqusition of non controlling interest in subsidiary               792,351 792,351
Dividend to non controlling interest               (341,567) (341,567)
Beneficial conversion feature   19,665             19,665
Foreign currency translation adjusts             (3,555,837) (1,754,573) (5,310,410)
Net income for the year       2,446,545       4,202,726 6,649,271
Balance at Jun. 30, 2012 75,137 106,101,165 (415,425) (31,684,399) (2,119,488)   (12,361,759) 15,399,421 74,994,652
Balance (in Shares) at Jun. 30, 2012 7,513,745                
Excercise of common stock options 4,519 2,568,181     (161,000)       2,411,700
Excercise of common stock options (in Shares) 451,985                
Excercise of subsidiary common stock options               107,945 107,945
Excercise of common stock warrants 678 125,335             126,013
Excercise of common stock warrants (in Shares) 67,749                
Services 123 55,917       (17,250)     38,790
Services (in Shares) 12,300                
Conversion of convertible note 8,114 3,991,886             4,000,000
Conversion of convertible note (in Shares) 811,360                
Payment of interest on convertible note 724 390,387             391,111
Payment of interest on convertible note (in Shares) 72,428                
Payment of Fractional shares (44) (194)             (194)
Payment of Fractional shares (44) (194)             (194)
Equity component shown as current liability           (88,325)     (88,325)
Fair market value of options issued   678,494             678,494
Acqusition of non controlling interest in subsidiary               (699,349) (699,349)
Dividend to non controlling interest               (388,997) (388,997)
Beneficial conversion feature   381,339             381,339
Foreign currency translation adjusts             (3,352,353) (1,372,669) (4,725,022)
Net income for the year       7,863,143       4,224,912 12,088,055
Balance at Jun. 30, 2013 $ 89,295 $ 114,292,510 $ (415,425) $ (23,821,256) $ (2,280,488)   $ (15,714,112) $ 17,271,263 $ 89,421,787
Balance (in Shares) at Jun. 30, 2013 8,929,523