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FAIR VALUE MEASUREMENTS (Tables)
9 Months Ended
Sep. 30, 2015
Fair Value Disclosures [Abstract]  
Assets and liabilities measured at fair value
    As of September 30, 2015     As of December 31, 2014  
    Level 1     Level 2     Level 3     Total     Level 1     Level 2     Level 3     Total  
                                                 
Warrant liability   $ -     $ -     $ 48,317     $ 48,317     $ -     $ -     $ 123,898     $ 123,898  
Derivative liability     -       -       1,299       1,299       -       -       40,091       40,091  
                                                                 
Total   $ -     $ -     $ 49,616     $ 49,616     $ -     $ -     $ 163,989     $ 163,989  
Reconciliation of assets measured at fair value on a recurring basis
    Warrants     Derivatives     Total  
                   
Fair value of liability, beginning of period   $ 123,898     $ 40,091     $ 163,989  
Total net losses (gains) included in:                        
Fair value adjustments included in net loss     (98,899 )     (60,749 )     (159,648 )
Extinguishments through:                        
Exercise     (24,634 )     (6,179 )     (30,813 )
Modifications     59,665       -       59,665  
Cancellations     (168,240 )     (9,059 )     (177,299 )
Issuances of new instruments     156,527       39,417       195,944  
Settlements     -       (2,222 )     (2,222 )
                         
Fair value of liability, end of period   $ 48,317     $ 1,299     $ 49,616