Quarterly report pursuant to Section 13 or 15(d)

7. Convertible Promissory Notes and Other Notes Payable (Details Textuals)

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7. Convertible Promissory Notes and Other Notes Payable (Details Textuals) (USD $)
Dec. 31, 2012
Debt Instrument [Line Items]  
October 2012 Platinum Note principal amount $ 2,000,000
October 2012 Platinum Note tranch amount 500,000
October 2012 Platinum Note gross proceeds 1,000,000
Private Placements 951,256
Private placement proceeds 475,600
Private placement unit price $ 0.50
Financing required to sell Note 524,400
February2012ConvertibleNotes12PercentMember
 
Debt Instrument [Line Items]  
Liability under the Registration Rights Agreement 20,700
July 2012 Platinum Note 500,000
August 2012 Platinum Note 750,000
July and August note Rate 10.00%
Expected gross note proceeds 3,250,000
February 2012 Note 500,000
February Note rate 12.00%
Warrant value $ 2.75
Aggregate share value 272,724
Registration rights agreement liability 20,700
October 2012 Platinum Note principal amount 2,000,000
October 2012 Platinum Note tranch amount 500,000
October 2012 Platinum Note gross proceeds 1,000,000
Private Placements 951,256
Private placement proceeds 475,600
Private placement unit price $ 0.50
Financing required to sell Note $ 524,400