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Fair Value Measurements (Detail 2) - USD ($)
12 Months Ended
Dec. 31, 2015
Dec. 31, 2014
Convertible Notes Payable [Member]    
Fair Value Disclosure [Line Items]    
Balance beginning $ 0 $ 534,975
Extinguishment   (434,500)
Fair value at issuance 0 189,300
Change in fair value 0 (289,775)
Balance ending 0 0
Series A-1 Preferred Stock [Member]    
Fair Value Disclosure [Line Items]    
Balance beginning 0 56,926
Extinguishment   0
Fair value at issuance 0 0
Change in fair value 0 (56,926)
Balance ending 0 0
Common stock warrants [Member]    
Fair Value Disclosure [Line Items]    
Balance beginning 30,278 0
Extinguishment   0
Fair value at issuance 41,306 466,706
Change in fair value (67,439) (436,428)
Balance ending $ 4,145 $ 30,278