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6. Fair Value of Financial Instruments (Tables)
9 Months Ended
Sep. 30, 2013
Fair Value Disclosures [Abstract]  
Schedule of Assets and Liabilities Measured on a Non-recurring Basis

   Fair Value Measurements at September 30, 2013 
   Level 1   Level 2   Level 3 
Assets               
Cash  $43,085   $   $ 
Intangible assets           690,856 
Goodwill           255,460 
Total assets   43,085        946,316 
Liabilities               
Lines of credit       72,975     
Capital leases       26,812     
Notes payable, related parties       372,368     
Convertible debts, net of discount of $112,436       86,413     
Long term debts, including current maturities       1,119,688     
Total Liabilities       1,678,256     
   $43,085   $(1,678,256)  $946,316 

 

   Fair Value Measurements at December 31, 2012 
   Level 1   Level 2   Level 3 
Assets               
Cash  $46,101   $   $ 
Intangible assets           821,150 
Goodwill           255,460 
Total assets   46,101        1,076,610 
Liabilities               
Lines of credit       77,047     
Capital leases       43,120     
Notes payable, related parties       22,805     
Convertible debts, net of discount of $139,068       227,681     
Long term debts, including current maturities       1,111,162     
Total Liabilities       1,481,095     
   $46,101   $(1,481,095)  $1,076,610