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CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
CASH FLOWS FROM OPERATING ACTIVITIES:    
Net loss $ (20,248,360) $ (19,798,058)
Adjustments to reconcile net loss to net cash used in operating activities:    
Bad debt expense, net of recoveries 75,165 42,625
Depreciation and amortization 1,092,143 1,179,160
Stock-based compensation 717,863 2,047,731
Change in fair value of derivative liabilities 470,052 (492,311)
Change in fair value of contingent consideration 0 4,334,932
Settlement of contingency 0 471,250
Amortization of deferred costs 248,606 136,436
Non-cash interest expense - amortization of debt discount 323,146 614,450
Deferred income tax provision 18,589 18,000
Loss (Gain) on disposal of assets (594,173) 84,336
Effect of amendment to contingent consideration 1,006,159 0
Loss on extinguishment of debt 19,868 0
Effect of issuance of warrants for term loan modification 303,517 0
Inducement expense 0 1,513,371
Change in operating assets and liabilities, net of those acquired:    
Accounts and other receivable, net (2,268,104) (260,510)
Inventory 58,590 (602,108)
Prepaid expenses and other current assets (210,153) 60,105
Accounts payable and accrued expenses 5,206,301 (83,767)
Deferred revenues 2,182,842 (654,721)
Other liabilities 196,953 (3,740)
Net cash used in operating activities (11,400,996) (11,392,819)
CASH FLOWS FROM INVESTING ACTIVITIES:    
Property and equipment acquisitions (750,697) (2,087,562)
Cash acquired in business combination 0 24,563
Proceeds from sale of equipment 2,139,672 471,289
Net cash provided by (used in) investing activities 1,388,975 (1,591,710)
CASH FLOWS FROM FINANCING ACTIVITIES:    
Proceeds from issuance of debt 6,240,797 0
Proceeds from issuance of common stock, net 5,462,132 9,493,906
Redemption of preferred stock 0 (169,986)
Repayment of note payable (1,020,000) 0
Proceeds from option and warrant exercises 0 4,066,959
Dividends paid on preferred stock 0 (36,595)
Net cash provided by financing activities 10,682,929 13,354,284
Net increase in cash 670,908 369,755
Cash, beginning of period 2,615,805 2,246,050
Cash, end of period $ 3,286,713 $ 2,615,805