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Convertible Promissory Notes (Details Textual) (USD $)
3 Months Ended 9 Months Ended
Sep. 30, 2014
Sep. 30, 2013
Sep. 30, 2014
Sep. 30, 2013
Dec. 31, 2013
Short-term Debt [Line Items]          
Common stock, par value $ 0.0001   $ 0.0001   $ 0.0001
Amortization of debt discount $ 26,376 $ 4,142 $ (78,055) $ (4,142)  
Debt instrument, Unamortized discount 131,029   131,029   93,731
Convertible notes payable mature date on September 14, 2014 [Member]
         
Short-term Debt [Line Items]          
Convertible promissory notes 13,670   13,670    
Debt instrument, Maturity date     Sep. 14, 2014    
Debt instrument, Interest rate 12.00%   12.00%    
Debt instrument, Conversion price $ 0.00382   $ 0.00382    
Common stock, par value $ 0.013   $ 0.013    
Debt instrument, Convertible, Beneficial conversion feature     76,429    
Amortization of debt discount     53,231 0  
Debt instrument, Unamortized discount 0   0   0
Interest expense, Debt     6,859 0  
Debt instrument, Principal value     25,476    
Debt conversion, Principal amounts, Amount     12,738    
Convertible notes payable mature date on November 7, 2014 [Member]
         
Short-term Debt [Line Items]          
Convertible promissory notes 36,363   36,363    
Debt instrument, Maturity date     Nov. 07, 2014    
Debt instrument, Interest rate 20.00%   20.00%    
Common stock, par value $ 0.001   $ 0.001    
Fair value of warrants     6,884 9,121  
Amortization of debt discount     13,637 0  
Debt instrument, Unamortized discount 0   0   13,637
Interest expense, Debt     7,480 0  
Stock issued during period, Shares, Other     59,400,000    
Exercise price per share $ 0.10   $ 0.10    
Expected life     1 year    
Expected volatility     606.16%    
Dividend yield           
Risk-free interest rate     0.11%    
Convertible notes payable mature date on November 7, 2014 [Member] | Restricted stock [Member]
         
Short-term Debt [Line Items]          
Purchase of warrants exercisable     750,000    
Convertible notes payable mature date on November 7, 2014 [Member] | Common stock [Member]
         
Short-term Debt [Line Items]          
Purchase of warrants exercisable     1,000,000    
Convertible notes payable mature date on May 17, 2015 [Member]
         
Short-term Debt [Line Items]          
Convertible promissory notes 10,000   10,000    
Debt instrument, Maturity date     May 17, 2015    
Debt instrument, Interest rate 12.00%   12.00%    
Debt instrument, Conversion price $ 0.10   $ 0.10    
Fair value of warrants     1,297    
Amortization of debt discount     649 0  
Debt instrument, Unamortized discount 544   544   979
Interest expense, Debt     898 0  
Exercise price per share $ 0.125   $ 0.125    
Expected life     1 year    
Expected volatility     608.68%    
Dividend yield           
Risk-free interest rate     0.13%    
Convertible notes payable mature date on May 17, 2015 [Member] | Common stock [Member]
         
Short-term Debt [Line Items]          
Purchase of warrants exercisable     100,000    
Convertible notes payable mature date on August 1, 2015 [Member]
         
Short-term Debt [Line Items]          
Convertible promissory notes 5,000   5,000    
Debt instrument, Maturity date     Aug. 01, 2015    
Debt instrument, Interest rate 6.00%   6.00%    
Debt instrument, Conversion price $ 0.10   $ 0.10    
Fair value of warrants     651    
Amortization of debt discount     295 0  
Debt instrument, Unamortized discount 356   356   0
Interest expense, Debt     58 0  
Exercise price per share $ 0.125   $ 0.125    
Expected life     1 year    
Expected volatility     588.26%    
Dividend yield           
Risk-free interest rate     0.11%    
Convertible notes payable mature date on August 1, 2015 [Member] | Common stock [Member]
         
Short-term Debt [Line Items]          
Purchase of warrants exercisable     50,000    
Convertible notes payable mature date on May 31, 2015 [Member]
         
Short-term Debt [Line Items]          
Convertible promissory notes 5,000   5,000    
Debt instrument, Maturity date     May 31, 2015    
Debt instrument, Interest rate 12.00%   12.00%    
Debt instrument, Conversion price $ 0.10   $ 0.10    
Fair value of warrants     3,324    
Amortization of debt discount     1,612 0  
Debt instrument, Unamortized discount 1,712   1,712   0
Interest expense, Debt     152 0  
Exercise price per share $ 0.125   $ 0.125    
Expected life     1 year    
Expected volatility     600.29%    
Dividend yield           
Risk-free interest rate     0.12%    
Convertible notes payable mature date on May 31, 2015 [Member] | Common stock [Member]
         
Short-term Debt [Line Items]          
Purchase of warrants exercisable     100,000    
Convertible notes payable mature date on December 10, 2015 [Member]
         
Short-term Debt [Line Items]          
Convertible promissory notes 10,000   10,000    
Debt instrument, Maturity date     Dec. 10, 2015    
Debt instrument, Interest rate 12.00%   12.00%    
Debt instrument, Conversion price $ 0.10   $ 0.10    
Fair value of warrants     3,324    
Amortization of debt discount     1,060 0  
Debt instrument, Unamortized discount 2,264   2,264   0
Interest expense, Debt     671 0  
Exercise price per share $ 0.125   $ 0.125    
Expected life     1 year    
Expected volatility     600.26%    
Dividend yield           
Risk-free interest rate     0.12%    
Convertible notes payable mature date on December 10, 2015 [Member] | Common stock [Member]
         
Short-term Debt [Line Items]          
Purchase of warrants exercisable     100,000    
Convertible notes payable mature date on October 17, 2015 [Member]
         
Short-term Debt [Line Items]          
Convertible promissory notes 10,000   10,000    
Debt instrument, Maturity date     Oct. 17, 2015    
Debt instrument, Interest rate 12.00%   12.00%    
Debt instrument, Conversion price $ 0.10   $ 0.10    
Fair value of warrants     8,000    
Amortization of debt discount     4,011 0  
Debt instrument, Unamortized discount 3,989   3,989   0
Interest expense, Debt     848 0  
Exercise price per share $ 0.125   $ 0.125    
Expected life     1 year    
Expected volatility     444.14%    
Dividend yield           
Risk-free interest rate     0.11%    
Convertible notes payable mature date on October 17, 2015 [Member] | Common stock [Member]
         
Short-term Debt [Line Items]          
Purchase of warrants exercisable     100,000    
Convertible notes payable mature date on December 10, 2015 [Member]
         
Short-term Debt [Line Items]          
Convertible promissory notes 10,000   10,000    
Debt instrument, Maturity date     Dec. 10, 2015    
Debt instrument, Interest rate 12.00%   12.00%    
Debt instrument, Conversion price $ 0.10   $ 0.10    
Fair value of warrants     8,400    
Amortization of debt discount     4,211 0  
Debt instrument, Unamortized discount 4,189   4,189   0
Interest expense, Debt     408 0  
Exercise price per share $ 0.125   $ 0.125    
Expected life     1 year    
Expected volatility     290.82%    
Dividend yield           
Risk-free interest rate     0.10%    
Convertible notes payable mature date on December 10, 2015 [Member] | Common stock [Member]
         
Short-term Debt [Line Items]          
Purchase of warrants exercisable     100,000    
Convertible notes payable mature date on July 7, 2015 [Member]
         
Short-term Debt [Line Items]          
Convertible promissory notes 10,000   10,000    
Debt instrument, Maturity date     Jul. 07, 2015    
Debt instrument, Interest rate 12.00%   12.00%    
Debt instrument, Conversion price $ 0.10   $ 0.10    
Fair value of warrants     8,400    
Amortization of debt discount     2,000 0  
Debt instrument, Unamortized discount 6,400   6,400   0
Interest expense, Debt     $ 279 $ 0  
Exercise price per share $ 0.125   $ 0.125    
Expected life     1 year    
Expected volatility     290.82%    
Dividend yield           
Risk-free interest rate     0.12%    
Convertible notes payable mature date on July 7, 2015 [Member] | Common stock [Member]
         
Short-term Debt [Line Items]          
Purchase of warrants exercisable     100,000