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Note 4 - Convertible Notes Payable and Line of Credit (Tables)
3 Months Ended
Mar. 31, 2017
Notes Tables  
Schedule of Debt [Table Text Block]
 
 
DECEMBER
31,
 201
6
 
 
MARCH
3
1
,
 201
7
 
                 
Current liabilities:                
Convertible notes, mature July 8, 2017
  $
280,000
    $
 
Line of credit, matures December 1, 2017
   
50,000
     
50,000
 
Convertible notes, mature December 30, 2017
   
280,000
     
280,000
 
Subtotal:   $
610,000
    $
330,000
 
                 
Long-term liabilities:                
Convertible notes, mature June 1, 2018
   
4,800,097
     
4,680,097
 
Line of credit, matures March 31, 2019
   
     
175,000
 
Convertible notes, mature September 17, 2019
   
283,571
     
283,571
 
Convertible notes, mature December 31, 2019
   
167,000
     
292,000
 
Subtotal:   $
5,250,668
    $
5,430,668
 
                 
Total:
  $
5,860,668
    $
5,760,668
 
Convertible Debt [Table Text Block]
Unit/
Conversion
Price
 
 
Warrant
Exercise Price
 
 
Aggregate
Outstanding
 
$ 0.25     $
0.40
    $
1,652,384
 
$ 0.35     $
0.45
     
1,881,046
 
$ 0.55     $
0.70
     
1,146,667
 
         
 
    $
4,680,097