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NOTE 5 - DERIVATIVE LIABILITIES (Tables)
6 Months Ended
Jun. 30, 2015
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Derivative Liabilities
      Derivative Liabilities  
Fair value at the commitment date-May 8, 2015     $ 331,434    
Fair value mark to market adjustment       166,548     
Balances as of June 30, 2015       497,982    
Assumptions used
    Commitment Date   Remeasurement Date
 Expected dividends     0%       0%  
 Expected volatility     167%       175%  
 Expected term      0.5 years        0.4 years   
 Risk free interest rate      0.08%        0.11%  
Fair value of the embedded derivative liability grant date
Grant Date   Fair Value   Term
(Years)
  Assumed Conversion Price   Market Price on Grant Date   Volatility Percentage   Risk-free
Rate
  3/20/2013     $ 546,119       3.0     $ 0.326     $ 0.465       238 %     0.0038