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Supplemental Cash Flow Information (Details) (USD $)
1 Months Ended 3 Months Ended 9 Months Ended
Mar. 31, 2011
Sep. 30, 2013
Sep. 30, 2012
Sep. 30, 2013
Sep. 30, 2012
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]          
Stock based compensation       $ 13,961 $ 255,001
Shares issued for services rendered       458,553  
Share-based Goods and Nonemployee Services Transaction [Line Items]          
Common stock issued for services       4,200 167,494
Other Significant Noncash Transactions [Line Items]          
Shares issued to consultant         427,508
Value of shares issued to consultant         167,494
Accretion of discount on convertible notes payable       853,321 593,297
Reduction in accounts payable       (838,250)  
Gain on extinguishment of liabilities   67,106    481,590   
Stock issued to extinguish liabilities, shares       2,240,852  
Value of stock issued to extinguish liabilities       153,860  
Payments for extinguishment of liabilities       202,800   
Accounts payable to remaining vendors   58,817   58,817  
Reduction in accounts payable by returning equipment       (335,701)  
Total depreciation and amortization expense       183,564 918,206
Depreciation and amortization included in cost of sales       1,167 464,197
Depreciation related to equipment other property and equipment, and (iii) $2,538 for patent amortization.       174,784 446,396
Patent amortization   2,538 2,538 7,613 7,613
Property, Plant and Equipment [Line Items]          
Loss on disposal of assets   62,455 2,421 (74,166) 781
Proceeds from the sale of assets       80,504 3,171
Leasehold Improvements [Member]
         
Property, Plant and Equipment [Line Items]          
Loss on disposal of assets       (40,824)  
Furniture and Fixtures [Member]
         
Property, Plant and Equipment [Line Items]          
Loss on disposal of assets       (25,685)  
Equipment [Member]
         
Property, Plant and Equipment [Line Items]          
Loss on disposal of assets       (7,657)  
2012 Convertible Notes [Member]
         
Other Significant Noncash Transactions [Line Items]          
Accretion of discount on convertible notes payable   (23,878) 226,665 603,319 226,665
Unsecured Convertible Note [Member]
         
Other Significant Noncash Transactions [Line Items]          
Common stock issued for interest, shares 135,369        
Accretion of discount on convertible notes payable   83,334 83,334 250,002 250,002
Bridge Loan Note Payable [Member]
         
Other Significant Noncash Transactions [Line Items]          
Accretion of discount on convertible notes payable     17,662   116,630
Shares Issued to Consultant for Services [Member]
         
Other Significant Noncash Transactions [Line Items]          
Shares issued to consultant         250,000
Shares Issued to Consultant for Cancellation of Warrant [Member]
         
Other Significant Noncash Transactions [Line Items]          
Shares issued to consultant         177,508
Six Individuals [Member]
         
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]          
Shares issued for services       60,000  
Value of shares issued for services       4,200  
Restricted Stock Units [Member]
         
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]          
Settled by issuance of stock       258,553  
Value of shares issued for services       51,500  
Restricted stock units awarded       686,667 202,633
Deferred Compensation, Share-based Payments [Member]
         
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]          
Shares issued for services       200,000  
Value of shares issued for services       $ 15,000