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DERIVATIVE LIABILITY AND FAIR VALUE MEASUREMENTS (Details) - USD ($)
12 Months Ended
Dec. 31, 2016
Dec. 31, 2015
Reconciliation of Derivative Fair Value    
Balance, Beginning $ (1,557,716) $ (2,066,479)
Release of Warrant Liability Upon Exercise 160,245 230,332
Net Change in Fair Value 1,397,471 278,431
Balance, End (1,557,716)
Warrants [Member]    
Reconciliation of Derivative Fair Value    
Balance, Beginning (1,174,312) (1,809,949)
Release of Warrant Liability Upon Exercise 124,982 201,739
Net Change in Fair Value 1,049,330 433,898
Balance, End   (1,174,312)
Warrant Derivative [Member]    
Reconciliation of Derivative Fair Value    
Balance, Beginning (383,404) (256,530)
Release of Warrant Liability Upon Exercise 35,263 28,593
Net Change in Fair Value $ 348,141 (155,467)
Balance, End   $ (383,404)