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Notes Payable (Tables)
3 Months Ended
May 31, 2015
Notes Payable [Abstract]  
Schedule of notes payable

    May 31,
2015
    February 28, 2015  
             
Demand notes payable, at 10% and 16%   $ 1,966,990     $ 1,942,990  
Convertible Promissory Note dated August 10, 2012, due August 10, 2017, convertible into shares of our common stock at a price of $0.76 per share. The note carries an interest rate of 7% with interest only payments due on the 10th of each month with the principal payment due on the maturity date. To-date, the Company has not made any interest payments as set forth in this note.     863,880       848,344  
Convertible Promissory Note dated October 2, 2012, due October 2, 2017, convertible into shares of our common stock at a price of $0.76 per share. The note carries an interest rate of 7% with interest only payments due on the 2nd of each month with the principal payment due on the maturity date. To-date, the Company has not made any interest payments as set forth in this note.     435,796       428,917  
Senior secured convertible notes dated May 7, 2013, due May 7, 2014, convertible into shares of our common stock at a price of $0.75 per share. The note was not repaid.     2,395,700       2,395,700  
Senior secured convertible notes dated June 20, 2013, due June 20, 2014, convertible into shares of our common stock at a price of $0.50 per share.  The note was not repaid.     325,000       325,000  
      5,987,366       5,940,951  
                 
Less: Current portion   $ 4,687,690     $ 4,663,690  
                 
Long-term portion   $ 1,299,676     $ 1,277,261  
Schedule of future maturities of notes payable
Year Ending February 28,   
2015 $- 
2016  - 
2017  1,299,676 
Total $1,299,676