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Rollforward Schedule of Fair Value of Liabilities (Details) (USD $)
3 Months Ended
Sep. 30, 2012
Jun. 30, 2012
Derivative Liability
   
Fair Value at Issuance   $ 8,270
Net Change in Fair Value 105,636 (28,600)
Balance, Ending 159,745  
Convertible Feature Liability
   
Fair Value at Issuance   4,557,055
Net Change in Fair Value (678,636) 1,735,309
Balance, Ending 1,513,728  
Total Liabilities
   
Fair Value at Issuance   539,764
Net Change in Fair Value (573,000) 1,706,709
Balance, Ending $ 1,673,473