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DERIVATIVE FINANCIAL INSTRUMENTS (Tables)
12 Months Ended
Mar. 31, 2013
DERIVATIVE FINANCIAL INSTRUMENTS [Abstract]  
Schedule of Derivative Liabilities at Fair Value

 

     March 31, 2013

 

 

Convertible Notes

 

        -

Common Stock Warrants

 

-

 

 $         -

Schedule of Changes in Fair Value of Derivative Instruments

 

Derivative

Liability Total

Balance, April 23, 2012

 

      

       Increase in derivative value due to issuances of convertible notes and tainting of other

       convertible notes and warrants

$        108,905

       Promissory notes converted during the period

(36,349)

       Change in fair market value of derivative liabilities due to mark to market adjustments

39,461

Balance, June 30, 2012

       112,017

       Increase in derivative value due to issuances of convertible notes and warrants

       

18,054

       Change in fair market value of derivative liabilities due to mark to market adjustments

123,740

Balance, September 30, 2012

$       253,811

       

       Increase in derivative value due to issuances of convertible notes and tainting of other

       convertible notes and warrants

       Promissory notes converted during the period

       Change in fair market value of derivative liabilities due to mark to market adjustments          

Balance, December 31, 2012

      

       Increase in derivative value due to issuances of convertible notes and tainting of other

       convertible notes and warrants

       Promissory notes repaid during the period

       Change in fair market value of derivative liabilities due to mark to market adjustments          

Balance, March 31, 2013



18,255

(45,153)

(154,812)

$          72,101


11,011


(109,355)

26,223

$                  -