Quarterly report pursuant to sections 13 or 15(d)

Condensed Consolidated Statement Of Shareholders' Equity

v2.3.0.15
Condensed Consolidated Statement Of Shareholders' Equity (USD $)
Common Stock [Member]
Additional Paid-In Capital [Member]
Loan Receivable From Related Party [Member]
Accumulated Deficit [Member]
Accumulated Other Comprehensive Income (Loss) [Member]
Videocon Industries Limited Global Depository Receipts [Member]
Accumulated Other Comprehensive Income (Loss) [Member]
Digital Info Security Co. Inc. Common Stock [Member]
Accumulated Other Comprehensive Income (Loss) [Member]
Videocon Industries Limited Global Depository Receipts [Member]
Digital Info Security Co. Inc. Common Stock [Member]
Total
Balance at Oct. 31, 2010 $ 1,537,444 $ 120,098,640 $ (5,000,000) $ (113,452,487)     $ 1,412,358     $ 4,595,955
Balance, shares at Oct. 31, 2010 153,744,438                  
Stock option compensation to employees   643,024               643,024
Stock option compensation to consultant   44,034               44,034
Common stock issued upon exercise of stock options under stock option plans 46,700 1,052,150               1,098,850
Common stock issued upon exercise of stock options under stock option plans, shares 4,670,000                  
Common stock issued to employees pursuant to stock incentive plans 63,961 1,249,085               1,313,046
Common stock issued to employees pursuant to stock incentive plans, shares 6,396,075                  
Common stock issued to consultants pursuant to stock incentive plans 3,458 80,763               84,221
Common stock issued to consultants pursuant to stock incentive plans, shares 345,794                  
Common stock and warrants issued in a private placement 70,000 1,180,000               1,250,000
Common stock and warrants issued in a private placement, shares 7,000,000                  
Unrealized (loss) on investment         (2,162,992) (38,395)   (2,162,992) (38,395)  
Net loss       (4,586,647)           (4,586,647)
Balance at Jul. 31, 2011 $ 1,721,563 $ 124,347,696 $ (5,000,000) $ (118,039,134)     $ (789,029)     $ 2,241,096
Balance, shares at Jul. 31, 2011 172,156,307