XML 29 R17.htm IDEA: XBRL DOCUMENT v2.4.0.8
PRIVATE PLACEMENT OFFERING (Tables)
6 Months Ended
Jun. 30, 2014
Private Placement Offering Tables  
Allocated to the instruments as follows

The proceeds of $2,000,100 were allocated to the instruments as follows:

 

Warrant liabilities   $ 141,027  
Redeemable and Convertible Preferred Stock     1,388,367  
Common Stock     470,706  
Total allocated gross proceeds:   $ 2,000,100  
Warrants
    2014     2013  
   

Number

of

warrants

   

Weighted

average

exercise

price

   

Number

of

warrants

   

Weighted

average

exercise

price

 
Balance at January 1     6,909,000     $ 0.15       6,909,000     $ 0.15  
Issued during the period     -     $ -       -     $ -  
Exercised during the period     -     $ -       -     $ -  
Expired during the period     -     $ -       -     $ -  
                                 
Balance at June 30     6,909,000     $ 0.15       6,909,000     $ 0.15  
Summarizes the fair value of the warrants liabilities

The following table summarizes the fair value of the warrants as of the balance sheet date:

 

Fair values  

June 30,

2014

   

December 31,

2013

   

At

transaction

date

 
                   
September 7, 2007 financing   $ -     $ -     $ 141,027  
Assumptions for the valuation of the fair value of the warrant liability

The following are the assumptions for the valuation of the fair value of the warrant liability:

 

   

June

30,

2014

   

December

31,

2013

   

At

transaction

date

 
Warrants outstanding     -       -       6,909,000  
Exercise price   $ -     $ -     $ 0.15  
Annual dividend yield     - %     - %     4.01 %
Expected life (years)     -       -       5  
Risk-free interest rate     - %     - %     4.14 %
Expected volatility     - %     - %     53.94 %