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3. DEBT (Tables)
6 Months Ended
Jun. 30, 2013
Debt Disclosure [Abstract]  
Schedule of Notes Payable
  June 30,     December 31,              
Note Description 2013     2012     Maturity     Rate  
                         
IDB Bank   $ 5,000,000     $ 5,000,000     May-14       4.0 %
Insurance premium note     -       23,987     Jun-13       6.9 %
Capital lease obligations     141,375       150,072     Aug-19       8.0 %
Convertible notes - related parties     14,557,051       14,557,051     Nov-16       8.0 %
Convertible notes, net of discount     8,543,979       5,942,949     Nov-16       8.0 %
                               
Total debt     28,242,405       25,674,059                
                               
Less: current portion of long term debt                              
Capital lease obligations     18,476       17,754                
IDB Bank     5,000,000       5,000,000                
Insurance premium note     -       23,987                
Total current portion of long term debt     5,018,476       5,041,741                
Debt - long term   $ 23,223,929     $ 20,632,318