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Business, Reduction of Operations, Going Concern, Recent Financing Activities and Basis of Preparation and Summary of Significant Accounting Policies (Schedule of Activity of Fair Value Liability) (Details) (USD $)
In Thousands, except Per Share data, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2012
Sep. 30, 2011
Sep. 30, 2012
Sep. 30, 2011
Fair value liability for price adjustable warrants and subscription investment units        
Beginning balance     $ 3,485  
Fair value of warrants issued     2,561  
Reclassification to equity upon exercise of warrants     291  
Change in fair value included in statement of operations (50) (1,238) (3,278) (4,704)
Ending balance $ 2,447   $ 2,447  
Exercise Price        
Beginning balance     $ 0.76  
Fair value of warrants issued     $ 0.28  
Reclassification to equity upon exercise of warrants     $ 0.51  
Ending balance $ 0.25   $ 0.25  
Stock Price        
Beginning balance     $ 0.89  
Fair value of warrants issued     $ 0.49  
Reclassification to equity upon exercise of warrants     $ 0.74  
Ending balance $ 0.28   $ 0.28  
Volatility        
Beginning balance     124.00%  
Fair value of warrants issued     127.00%  
Reclassification to equity upon exercise of warrants     135.00%  
Ending balance 143.00%   143.00%  
Contractual life in years        
Beginning balance     5.4  
Fair value of warrants issued     5.5  
Reclassification to equity upon exercise of warrants     5.0  
Ending balance 4.7   4.7  
Risk free rate        
Beginning balance     0.90%  
Fair value of warrants issued     0.80%  
Reclassification to equity upon exercise of warrants     0.70%  
Ending balance 0.90%   0.90%