v2.4.0.6
6. Fair Value Measurements (Detail) - Schedule of derivative liabilities at fair value (Parentheticals) (USD $)
9 Months Ended
Sep. 30, 2012
Derivative, valuation date 9/30/2012
Derivative liability, amount of note conversion (in Dollars) $ 12,000
Beginning Balance [Member]
 
Derivative, valuation date 1/1/2012
February 2012 Convertible note [Member]
 
Derivative, valuation date 8/26/2012
Derivative liability, date when debt became convertible Feb. 29, 2012
Settlement of derivative liabilities from note conversion [Member]
 
Derivative, valuation date 9/7/2012
Derivative liability, amount of note conversion (in Dollars) $ 12,000
March 2012 Convertible Note [Member]
 
Derivative, valuation date 9/18/2012
Derivative liability, date when debt became convertible Mar. 31, 2012
Mark to market of debt derivatives [Member]
 
Derivative, valuation date 9/30/2012