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Fair Value Measurements (Tables)
9 Months Ended
Sep. 30, 2012
Fair Value Measurements [Abstract]  
Assets And Liabilities Measure At Fair Value On A Recurring Basis By Level

 

Fair Value at September 30, 2012

 

Total

Level 1

Level 2

Level 3

Assets at Fair Value:

 

 

 

 

    Cash equivalents

$        100,159

         100,159

              -  

              -  

    Derivative asset

                 816

                     -  

              -  

        816

Total Assets at Fair Value

$        100,975

         100,159

              -  

        816

 

 

 

 

 

Liabilities at Fair Value:

 

 

 

 

    Warrants issued December 29, 2008

$           114,174

                     -  

              -  

    114,174

    Warrants issued May 10, 2012

          1,166,910

                     -  

              -  

 1,166,910

    Derivative liability

             196,391

                     -  

              -  

    196,391

Total Liabilities at Fair Value:

$        1,477,475

               -  

         -  

 1,477,475

 

 

 

 

 

 

Summary Of Changes In The Fair Value Of The Company's Level 3 Financial Asset And Liabilities

 

Derivative Asset

Total Assets

 

Warrants issued December 29, 2008

Warrants issued
May 10,
2012

Derivative Liability

Total Liabilities

Balance at beginning of period(1)

$           18,508

$           18,508

 

$         125,415

$ 7,573,466

$      3,476,134

$    11,175,015

    Settlements

                    -  

                    -  

 

                    -  

                -  

                    -  

                    -  

    Revaluation

            (17,692)

           (17,692)

 

         (11,241)

 (6,406,556)

      (3,279,743)

      (9,697,540)

Balance at end of period

$                816

$               816

 

$          114,174 

$ 1,166,910 

$         196,391

$      1,477,475 

 

 

 

 

 

 

 

 

(1)The beginning of the period is December 31, 2011 for warrants issued December 29, 2008.  The beginning of the period for the derivative asset, warrants issued May 10, 2012, and derivative liability is May 10, 2012.