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10. FINANCIAL INSTRUMENTS CARRIED AT FAIR VALUE (Details) - USD ($)
Dec. 31, 2017
Dec. 31, 2016
Dec. 31, 2015
Dec. 31, 2014
Assets        
Cash and cash equivalents $ 209,663 $ 13,791 $ 406,867 $ 392,702
Restricted cash 953 1,125    
Liabilities        
Accrued stock-based compensation 64,000 1,700,000    
BookValue        
Assets        
Cash and cash equivalents 209,663 13,718    
Restricted cash 953 1,125    
Liabilities        
Current and non-current portion of debt 1,410,000 1,681,989    
Current and non-current portion of convertible notes, net 611,144 230,583    
Derivative liability 13,013,260 7,493,066    
Accrued stock-based compensation 64,000 1,700,000    
FairValue        
Assets        
Cash and cash equivalents 209,663 13,718    
Restricted cash 953 1,125    
Liabilities        
Current and non-current portion of debt 1,410,000 1,681,989    
Current and non-current portion of convertible notes, net 611,144 230,583    
Derivative liability 13,013,260 7,493,066    
Accrued stock-based compensation $ 64,000 $ 1,700,000