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Note 6 - Derivatives (Details)
6 Months Ended
Jun. 30, 2014
Assumptions in estimating the fair value of the derivative liabilities  
Dividend Rate 0.00%
November Convertible Debt | Issuance Date
 
Assumptions in estimating the fair value of the derivative liabilities  
Expected Volatility 51.00%
Expected Term 9 months
Risk Free Interest Rate 0.20%
Dividend Rate 0.00%
November Convertible Debt | December 31, 2012
 
Assumptions in estimating the fair value of the derivative liabilities  
Expected Volatility 52.67%
Expected Term 7 months 6 days
Risk Free Interest Rate 0.16%
Dividend Rate 0.00%
November Convertible Debt | March 30, 2013
 
Assumptions in estimating the fair value of the derivative liabilities  
Expected Volatility 40.55%
Expected Term 3 months 18 days
Risk Free Interest Rate 0.07%
Dividend Rate 0.00%
November Convertible Debt | May 22, 2013
 
Assumptions in estimating the fair value of the derivative liabilities  
Expected Volatility 38.46%
Expected Term 1 month 28 days
Risk Free Interest Rate 0.04%
Dividend Rate 0.00%
November Convertible Debt | June 19, 2013
 
Assumptions in estimating the fair value of the derivative liabilities  
Expected Volatility 25.09%
Expected Term 1 month 6 days
Risk Free Interest Rate 0.05%
Dividend Rate 0.00%