Statements of Cash Flows (Unaudited) (USD $)
6 Months Ended91 Months Ended
Aug. 31, 2011
Aug. 31, 2010
Aug. 31, 2011
Cash flows from operating activities   
Net loss$ 1,585,803$ 2,239,586$ 47,879,726
Adjustments to reconcile net (loss) to net cash flows:   
Write off of note receivable  57,500
Impairment of mineral property costs201,826670,67413,795,000
Issuance of shares for consulting services  510,590
Issuance of shares for interest costs  82,500
Discount on convertible debenture  569,549
Deposit on equipment written off 25,30025,300
Gain on disposal of assets (15,130)(15,130)
Gain on sale of assets  (4,389,954)
Non-cash component of gain on settlement of debt(224,665) (310,907)
Beneficial conversion feature  4,081,091
Stock-based compensation725,725406,65411,692,336
Amortization23,01326,306328,396
Net change in operating assets and liabilities:   
Prepaid expense61,507124,313(70,581)
Accounts receivable(149,809)(146,056)(185,354)
Customer deposits  (194,809)
Notes payable  109,337
Accounts payable and accrued liabilities10,577(1,183,738)6,747,528
Cash used in operating activities(989,455)(3,001,937)(15,047,334)
Sale of equipment  33,316
Purchase of property and equipment (14,226)(602,473)
Cash provided (used) in investing activities (14,226)(569,157)
Financing activities   
Proceeds from loans payable  288,067
Proceeds from notes payable  3,162,196
Proceeds from convertible debentures  7,462,500
Proceeds from exercise of options  78,000
Proceeds from exercise of warrants  3,144,377
Repayment of loans payable(12,876)(45,388)(281,186)
Repayment of notes payable (44,674)(586,620)
Repayment of convertible debentures  (2,051,047)
Stock subscriptions670,904 1,602,162
Issuance of common stock  2,756,994
Cash provided (used) by financing activities658,028(90,062)15,575,443
Net change in cash(331,427)(3,106,225)(41,048)
Effect of foreign currency translation on cash(132)32,17995,324
Cash and cash equivalents, beginning407,9123,377,40422,077
Cash and cash equivalents, ending$ 76,353$ 303,358$ 76,353