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9. FAIR VALUE MEASUREMENT (Details1)
9 Months Ended
Dec. 31, 2012
Fair Value Assumptions and Methodology for Assets and Liabilities  
Risk free interest rate 1.44%
Average expected life minimum 10 years
Expected volatility minimum 117.50%
Fair Value Inputs Level 3
 
Fair Value Assumptions and Methodology for Assets and Liabilities  
Risk free interest rate 0.05%
Risk free interest rate maximum 0.60%
Average expected life minimum 7 days
Average expected life maximum 4 years 2 months 12 days
Expected volatility minimum 76.00%
Expected volatility maximum 107.10%
Expected dividends