Quarterly report pursuant to Section 13 or 15(d)

3. RESTATEMENT (Tables)

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3. RESTATEMENT (Tables)
6 Months Ended
Jun. 30, 2013
Accounting Changes and Error Corrections [Abstract]  
Adjustments in accounting

The effect of these adjustments on the condensed consolidated balance sheet as of June 30, 2013 is summarized below (the letters included in brackets below refer to the lettered paragraphs above):

 

    As previously reported     Adjustment     As restated  
Intangible assets (net) (a)(b)   $ 4,995,895     $ (1,228,395 )   $ 3,767,500  
Goodwill (c)     26,998,125       (25,142,613 )     1,855,512  
Amount due under the PhytoSPHERE Agreement (d)     23,750,000       (18,786,094 )     4,963,906  
Additional paid in capital (d)     10,643,257       (8,193,906 )     2,449,351  
Retained earnings  (accumulated deficit) (a)     (418,809 )     608,992       190,183  

  

The effect of theses adjustments on the condensed consolidated statement of operations for the three months ended June 30, 2013 is as follows:

 

    As previously reported     Adjustment     As restated  
General and administrative expenses (a)   $ 1,131,660     $ (712,658 )   $ 419,002  
Net income (loss) (a)     (1,060,792 )     712,658       (348,134 )
Earnings (loss) per share (a)     (0.12 )     0.08       (0.04 )

 

The effect of theses adjustments on the condensed consolidated statement of operations for the six months ended June 30, 2013 is as follows:

 

    As previously reported     Adjustment     As restated  
General and administrative expenses (a)   $ 1,222,386     $ (608,992 )   $ 613,394  
Net income (loss) (a)     (274,593 )     608,992       334,399  
Earnings (loss) per share (a)     (0.03 )     0.07       0.04  


 

The effect of theses adjustments on the condensed consolidated statement of cash flows for the six months ended June 30, 2013 is as follows:

 

    As previously reported     Adjustment     As restated  
Net income (loss) (a)   $ (274,593 )   $ 608,992     $ 334,399  
Amortization expense (a)     951,492       (608,992 )     342,500  
Inventory (e)     (1,832,345 )     (1 )     (1,832,346 )
Accounts receivable (e)     (1,165,059 )     1       (1,165,058 )