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6. Fair Value of Financial Instruments (Tables)
9 Months Ended
Sep. 30, 2015
Fair Value Disclosures [Abstract]  
Schedule of Assets and Liabilities Measured on a Non-recurring Basis

  Fair Value Measurements at September 30, 2015 
  Level 1   Level 3   Level 3 
Assets               
Intangible assets  $   –   $   $259,484 
Goodwill           374,818 
Total assets           634,302 
Liabilities               
Lines of credit       66,798     
Capital leases       1,816     
Promissory notes       2,118,340     
Notes payable, related parties       1,172,698     
Derivatives       10,669     
Convertible debts, net of discount of $35,168       219,597     
Total Liabilities       3,589,918     
   $   $(3,589,918)  $634,302 

 

  Fair Value Measurements at December 31, 2014 
  Level 1   Level 2   Level 3 
Assets               
Intangible assets  $   $   $337,938 
Goodwill           374,818 
Total assets           712,756 
Liabilities               
Lines of credit       80,239     
Capital leases       5,890     
Long term debts       2,504,371     
Notes payable, related parties       1,221,323     
Convertible debts, net of discount of $131,774       88,739     
Total Liabilities       3,900,562      
   $   $(3,900,562)  $712,756