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4. Fair Value (Tables)
9 Months Ended
Sep. 30, 2014
Fair Value Disclosures [Abstract]  
Schedule of convertible notes

    Level 3     Total  
September 30, 2014:                
                 
Derivative Instrument   $ 694,694     $ 694,694  

 

      Level 3       Total  
December 31, 2013:                
                 
Derivative Instrument   $     $  
Schedule of Level 3 financial instruments
   September 30, 2014 
Beginning Balance  $122,698 
Initial recognition - Derivative liability of embedded conversion feature of the Convertible Notes   1,223,923 
      
Change in fair value   (589,214
      
Ending Balance  $757,407