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FAIR VALUE OF FINANCIAL INSTRUMENTS (Tables)
6 Months Ended
Dec. 31, 2012
Fair Value Disclosures [Abstract]  
Schedule of fair value of financial instruments required to be measured at fair value
 
December 31, 2012 (unaudited)
Level 1
Level 2
Level 3
Total
Cash equivalents
$ 175,304 $ - $ - $ 175,304
Common stock warrant liability, warrants exercisable at $2.6058 from September 18, 2011 through September 18, 2016
$ - $ - $ 858,925 $ 858,925
Common stock warrant liability, warrants exercisable at $5.90 through September 14, 2013
$ - $ - $ 143 $ 143
June 30, 2012
Level 1
Level 2
Level 3
Total
Cash equivalents
$ 141,107 $ - $ - $ 141,107
Common stock warrant liability, warrants exercisable at $2.6058 from September 18, 2011 through September 18, 2016
$ - $ - $ 917,440 $ 917,440
Common stock warrant liability, warrants exercisable at $5.90 through September 14, 2013
$ - $ - $ 1,126 $ 1,126
 
Schedule of fair value, liabilities measured on recurring basis, unobservable input reconciliation
 
Six months ended
December 31,
2012
2011
(unaudited)
(unaudited)
Balance, Beginning of period
$ 918,566 $ 2,732,253
Purchase, sales, issuance, settlements, or transfers
Gain due to change in fair value of warrant liabilities, net
(59,498 ) (1,888,368 )
Balance, End of period
$ 859,068 $ 843,885