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4. DERIVATIVE LIABILITIES - Derivative Liabilities (Details) - Quarterly Report - USD ($)
Jun. 30, 2015
Mar. 31, 2015
Dec. 31, 2014
Fair value at the commitment date $ 51,378 $ 169,412 $ 346,467
Fair value mark to market adjustment 835,593 42,737 753,241
Balance at end of period 386,432 1,226,383 1,099,708
Convertible Debt [Member]      
Fair value at the commitment date   125,708 87,189
Fair value mark to market adjustment 618,168 24,677 429,948
Balance at end of period 0 618,168 517,137
Common Stock [Member]      
Fair value at the commitment date   0 259,278
Fair value mark to market adjustment 273,161 17,841 323,293
Balance at end of period 291,569 564,730 582,571
Service Agreements [Member]      
Fair value at the commitment date $ 51,378 43,704 0
Fair value mark to market adjustment 219  
Balance at end of period $ 94,863 $ 43,485 $ 0