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BUSINESS COMBINATIONS (Schedule of Purchase Price Allocation) (Details) (USD $)
12 Months Ended
Dec. 31, 2013
Business Acquisition [Line Items]  
Current assets, net of current liabilities $ 6,252,000
Deposits and non-current assets 9,000
Investments at fair value 10,750,000
Other intangible assets 27,856,000
Goodwill 11,962,000
Fair value of assets acquired 56,829,000
Deferred tax liability, net 11,962,000
Non-controlling interest in subsidiary (4,300,000)
Total Purchase Price 40,567,000
Value of equity issued to acquiree 40,567,000
Fair value of 16,317,828 shares of DSS common stock issued to DSS Technology Management shareholders [Member]
 
Business Acquisition [Line Items]  
Value of equity issued to acquiree 30,514,000
Fair value of 7,100,000 shares of DSS common stock issued to DSS Technology Management shareholders to be held in escrow for up to one year [Member]
 
Business Acquisition [Line Items]  
Value of equity issued to acquiree 901,000
Fair value of options to purchase 2,000,000 shares DSS common stock for $3.00 per share exchanged for options to purchase DSS Technology Management's common stock that were granted to DSS Technology Management's employees which relate to pre-combination services [Member]
 
Business Acquisition [Line Items]  
Value of equity issued to acquiree 141,000
Fair value of warrants to purchase up to 4,859,894 shares of DSS common stock for $4.80 per share issued to DSS Technology Management shareholders [Member]
 
Business Acquisition [Line Items]  
Value of equity issued to acquiree 2,661,000
Fair value of warrants to purchase 3,432,170 shares of DSS common stock for $0.02 per share issued to certain DSS Technology Management shareholders
 
Business Acquisition [Line Items]  
Value of equity issued to acquiree $ 6,350,000