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6. Fair Value of Financial Instruments (Tables)
9 Months Ended
Sep. 30, 2014
Fair Value Disclosures [Abstract]  
Schedule of Assets and Liabilities Measured on a Non-recurring Basis

    Fair Value Measurements at September 30, 2014  
    Level 1     Level 2     Level 3  
Assets                        
Cash   $ 71,963     $     $  
Intangible assets                 451,391  
Goodwill                 1,355,361  
Total assets     71,963             1,806,752  
Liabilities                        
Lines of credit           83,260        
Capital leases           7,031        
Notes payable, related parties           1,186,618        
Convertible debts, net of discount of $0.00           152,275        
Long term debts, including current maturities           911,467        
Total Liabilities           2,340,651        
    $ 71,963     $ (2,340,651 )   $ 1,806,752  

 

    Fair Value Measurements at December 31, 2013  
    Level 1     Level 2     Level 3  
Assets                        
Cash   $ 208,567     $     $  
Intangible assets                 374,162  
Goodwill                 255,460  
Total assets     208,567             629,622  
Liabilities                        
Lines of credit           73,232        
Capital leases           17,421        
Long term debts           1,211,929        
Notes payable, related parties           482,368        
Convertible debts, net of discount of $109,583           157,294        
Total Liabilities           1,942,244        
    $ 208,567     $ (1,942,244 )   $ 629,622