Statements of Cash Flows (Unaudited) (USD $)
| 6 Months Ended | 91 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 costs | 201,826 | 670,674 | 13,795,000 |
| 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 | | 25,300 | 25,300 |
| 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 compensation | 725,725 | 406,654 | 11,692,336 |
| Amortization | 23,013 | 26,306 | 328,396 |
| Net change in operating assets and liabilities: | | | |
| Prepaid expense | 61,507 | 124,313 | (70,581) |
| Accounts receivable | (149,809) | (146,056) | (185,354) |
| Customer deposits | | | (194,809) |
| Notes payable | | | 109,337 |
| Accounts payable and accrued liabilities | 10,577 | (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 subscriptions | 670,904 | | 1,602,162 |
| Issuance of common stock | | | 2,756,994 |
| Cash provided (used) by financing activities | 658,028 | (90,062) | 15,575,443 |
| Net change in cash | (331,427) | (3,106,225) | (41,048) |
| Effect of foreign currency translation on cash | (132) | 32,179 | 95,324 |
| Cash and cash equivalents, beginning | 407,912 | 3,377,404 | 22,077 |
| Cash and cash equivalents, ending | $ 76,353 | $ 303,358 | $ 76,353 |