Annual report pursuant to Section 13 and 15(d)

CONSOLIDATED STATEMENTS OF STOCKHOLDERS EQUITY

v3.19.1
CONSOLIDATED STATEMENTS OF STOCKHOLDERS EQUITY - USD ($)
Convertible Series A Preferred Stock [Member]
Convertible Series B Preferred Stock [Member]
Common Stock
Additional Paid-In Capital
Accumulated Deficit
Noncontrolling Interest
Total
Beginning balance, Shares at Dec. 31, 2016 8 2,455,064 36,924,254        
Beginning balance, Amount at Dec. 31, 2016 $ 2,455 $ 36,924 $ 125,466,493 $ (72,870,999) $ (480,908) $ 52,153,965
Sale of Common Stock for Cash, Shares 2,983,137        
Sale of Common Stock for Cash, Amount $ 2,983 9,447,017 9,450,000
Issuance of warrants 689,542 689,542
Stock Option Compensation/Expense 692,971 692,971
Issuance of Preferred Stock for compensation, Shares 40,000        
Issuance of Preferred Stock for compensation, Amount $ 40 1,035,366 1,035,406
Issuance of Common Stock for compensation, Shares 158,867        
Issuance of Common Stock for compensation, Amount $ 160 490,720 490,880
Issuance of Common Stock for Director Fees, Shares 81,061        
Issuance of Common Stock for Director Fees, Amount $ 81 221,892 221,973
Issuance of Common Stock for services, Shares 389,374        
Issuance of Common Stock for services, Amount $ 389 1,284,173 1,284,562
Issuance of Common Stock for Prepaid Inventory, Shares 892,964        
Issuance of Common Stock for Prepaid Inventory, Amount $ 893 1,934,607 1,935,500
Issuance of Common Stock for debt and interest expense, Shares 8,284,283        
Issuance of Common Stock for debt and interest expense, Amount $ 8,284 29,776,987 29,785,271
Preferred Stock Series B Converted into Common Stock, Shares (2,209,741) 11,897,965        
Preferred Stock Series B Converted into Common Stock, Amount $ (2,210) $ 11,898 (9,688)
Purchase of Assets from Tech Center Drive, Shares 826,105        
Purchase of Assets from Tech Center Drive, Amount $ 826 2,725,320 2,726,146
Settlement of Contingent Consideration, Shares (285,323) (619,450)        
Settlement of Contingent Consideration, Amount $ (285) $ (619) 4,740,542 4,739,638
Settlement of Contingent Consideration Recorded Against Additional Paid-In Capital 4,692,697 4,692,697
Reclass of Non-Controlling Interest to Additional Paid-In Capital for the Acquisition Additional Interest in Subsidiary (1,830,924) 1,830,924
Net Loss Attributable to Non-Controlling Interest (505,204) (505,204)
Cash Contribution from Non-Controlling Interest 86,547 86,548
Net Loss Attributable to Terra Tech Corp. (32,677,603) (32,677,603)
Ending balance, Shares at Dec. 31, 2017 8 61,818,560        
Ending balance, Amount at Dec. 31, 2017 $ 61,819 181,357,715 (105,548,602) 931,359 76,802,291
Issuance of warrants 889,276 889,276
Stock Option Compensation/Expense 2,527,982 2,527,982
Issuance of Common Stock for compensation, Shares 4 201,296        
Issuance of Common Stock for compensation, Amount $ 202 602,915 603,117
Issuance of Common Stock for Director Fees, Shares 49,500        
Issuance of Common Stock for Director Fees, Amount $ 49 99,941 99,990
Issuance of Common Stock for services, Shares 132,971        
Issuance of Common Stock for services, Amount $ 132 225,296 225,428
Net Loss Attributable to Non-Controlling Interest 279,609 279,609
Cash Contribution from Non-Controlling Interest            
Net Loss Attributable to Terra Tech Corp. (39,753,486) (39,753,486)
Opening Balance Sheet Adjustment - ASU 2017-11 5,238,296 2,547,801 7,786,097
Beneficial Conversion Feature - Convertible Notes 9,014,878 9,014,878
Reverse Stock Split round up shares, Shares 46,687        
Reverse Stock Split round up shares, Amount $ 47 (47)
Stock Cancellation, Shares (24,210)        
Stock Cancellation, Amount $ (25) (117,806) (117,831)
TCD Acquisition Clawback, Shares (101,083)        
TCD Acquisition Clawback, Amount $ (101) (350,971) (351,072)
Debt Conversion - Common Stock, Shares 16,652,002        
Debt Conversion - Common Stock, Amount $ 16,652 30,957,374 30,974,026
Stock issued for Assets, Shares 53,332        
Stock issued for Assets, Amount $ 53 199,942 199,995
Warrant Exercise, Shares 252,703        
Warrant Exercise, Amount $ 253 100,747 101,000
Issuance of Stock for Non-Controlling Interest, Shares 200,000        
Issuance of Stock for Non-Controlling Interest, Amount $ 200 199,800 (207,492) (7,492)
Stock issued for Cash, Shares 2,477,957        
Stock issued for Cash, Amount $ 2,478 5,597,522 5,600,000
Ending balance, Shares at Dec. 31, 2018 12 81,759,715        
Ending balance, Amount at Dec. 31, 2018 $ 81,759 $ 236,542,860 $ (142,754,287) $ 1,003,476 $ 94,873,808