Quarterly report pursuant to Section 13 or 15(d)

Condensed Consolidated Statements of Operations

v2.4.0.6
Condensed Consolidated Statements of Operations (USD $)
3 Months Ended 9 Months Ended
Sep. 30, 2012
Sep. 30, 2011
Sep. 30, 2012
Sep. 30, 2011
Revenue:        
Restaurant sales, net $ 1,710,632 $ 0 $ 4,794,250 $ 0
Management fee income - non-affiliates 25,000 25,000 75,000 466,667
Management fee income - affiliates 31,880 (30,726) 38,578 1,750
Total revenue 1,767,512 (5,726) 4,907,828 468,417
Expenses:        
Restaurant cost of sales 714,551 0 2,005,714 0
Restaurant operating expenses 943,618 0 2,636,240 0
Restaurant pre-opening expenses 125,947 0 190,167 0
General and administrative expense 666,300 277,934 1,833,933 762,159
Depreciation and amortization 97,883 2,512 265,068 7,573
Total expenses 2,548,299 280,446 6,931,122 769,732
Loss from operations (780,787) (286,172) (2,023,294) (301,315)
Other income (expense)        
Equity in (earnings) losses of investments 33,412 (20,820) 10,474 (9,256)
Realized gains from sales of investments 0 19,991 0 19,991
Miscellaneous income 1,680 0    
Other than temporary decline in available-for-sale securities 0 (147,973) 0 (147,973)
Interest and other income     1,680 5,016
Interest expense (39,583) (41,190) (432,795) (63,876)
Total other expense (4,491) (209,983) (441,589) (196,098)
Net loss before income taxes (785,278) (496,155) (2,464,883) (497,413)
Provision for income taxes 7,997 0 7,997 0
Net loss before non-controlling interest (793,275) (496,155) (2,472,880) (497,413)
Non-controlling interest 53,509 399 185,711 1,376
Net loss (739,766) (495,756) (2,287,169) (496,037)
Other comprehensive income (loss):        
Unrealized loss on available-for-sale securities (none applies to non-controlling interest) (26,404) (172,031) (264,044) (224,240)
Foreign translation income 46,511 0 45,464 0
Other comprehensive loss $ (719,659) $ (667,787) $ (2,505,749) $ (720,277)
Net earnings (loss) per share, basic and diluted $ (0.20) $ (0.40) $ (1.06) $ (0.43)
Weighted average shares outstanding 3,698,896 1,238,880 2,153,148 1,166,111