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FAIR VALUE MEASUREMENTS (Details 1)
$ in Thousands
9 Months Ended
Sep. 30, 2015
USD ($)
Fair value of liability, beginning of period $ 163,989
Fair value of liability, end of period 49,616
Level 3 [Member]  
Fair value of liability, beginning of period 163,989
Total net losses (gains) included in: Fair value adjustments included in net loss (159,648)
Extinguishments through: Exercise (30,813)
Extinguishments through: Modifications 59,665
Extinguishments through: Cancellations (177,299)
Issuances of new instruments 195,944
Settlements (2,222)
Fair value of liability, end of period 49,616
Warrants [Member] | Level 3 [Member]  
Fair value of liability, beginning of period 123,898
Total net losses (gains) included in: Fair value adjustments included in net loss (98,899)
Extinguishments through: Exercise (24,634)
Extinguishments through: Modifications 59,665
Extinguishments through: Cancellations (168,240)
Issuances of new instruments $ 156,527
Settlements
Fair value of liability, end of period $ 48,317
Derivatives [Member] | Level 3 [Member]  
Fair value of liability, beginning of period 40,091
Total net losses (gains) included in: Fair value adjustments included in net loss (60,749)
Extinguishments through: Exercise $ (6,179)
Extinguishments through: Modifications
Extinguishments through: Cancellations $ (9,059)
Issuances of new instruments 39,417
Settlements (2,222)
Fair value of liability, end of period $ 1,299