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Convertible Debentures and Notes Payable (Tables)
12 Months Ended
Dec. 31, 2014
Debt Disclosure [Abstract]  
Schedule of Debt
  2014   2013
Note payable to the NRC bearing interest at 1% monthly installments of $17,500, unsecured $ 254,198   $ 460,453
Convertible notes payable, bearing interest at 10%, due February 20, 2015   1,060,000     1,060,000
Convertible notes payable, bearing interest at 8%, due July 27, 2017   3,069,900     3,069,900
Note payable to related parties bearing interest at 6% all principal interest due on December 31, 2017, secured   500,000     500,000
Total notes payable $ 4,884,098   $ 5,090,353
Less: unamortized debt discount   (548,479)     (688,330)
Less: current maturities   (1,268,327)     (341,373)
Notes payable, net of current installments and debt discount $ 3,067,292   $ 4,060,650
Schedule of Maturities of Long Term Debt
Years ending December 31,      
2015   $ 1,268,327
2016     45,871
2017     3,569,900
Thereafter     -
    $ 4,884,098