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DERIVATIVE LIABILITY AND FAIR VALUE MEASUREMENTS (Details) (USD $)
3 Months Ended 12 Months Ended
Jun. 30, 2013
Mar. 31, 2013
Balance, Beginning $ (213,001)   
Net Change in Fair Value 102,182  
Settlement Through Modification of Gemini Note II 110,819  
Fair Value of Issuance of Secured Notes (5,962,763)  
Fair Value at Issuance   539,764
Net Change in Fair Value   1,513,237
Conversion of Debt   (1,840,000)
Balance, ending (5,962,763) (213,001)
Derivative Liability
   
Balance, Beginning     
Fair Value at Issuance   82,709
Net Change in Fair Value   122,945
Conversion of Debt   (155,109)
Balance, ending   50,545
Convertible Feature Liability
   
Balance, Beginning     
Fair Value at Issuance   457,055
Net Change in Fair Value   1,390,292
Conversion of Debt   (1,684,891)
Balance, ending   162,456
Down-round Protection Derivative
   
Balance, Beginning (50,545)  
Net Change in Fair Value 40,545  
Settlement Through Modification of Gemini Note II 10,000  
Fair Value of Issuance of Secured Notes (641,113)  
Balance, ending (641,113)  
Convertible Feature Derivative
   
Balance, Beginning (162,456)  
Net Change in Fair Value 61,637  
Settlement Through Modification of Gemini Note II 100,819  
Fair Value of Issuance of Secured Notes (2,923,370)  
Balance, ending (2,923,370)  
Warrant Derivative
   
Balance, Beginning     
Net Change in Fair Value     
Settlement Through Modification of Gemini Note II     
Fair Value of Issuance of Secured Notes (1,781,592)  
Balance, ending (1,781,592)  
Warrant Down-round Protection Derivative
   
Balance, Beginning     
Net Change in Fair Value     
Settlement Through Modification of Gemini Note II     
Fair Value of Issuance of Secured Notes (616,688)  
Balance, ending $ (616,688)