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Non-interest Bearing Liabilities (Tables)
6 Months Ended
Mar. 31, 2015
Non-interest bearing liabilities [Table Text Block]
      March 31,     September 30,  
      2015     2014  
  Senior Convertible Debentures $ 133,727   $ 263,727  
  Derivative Financial Instruments   -     5,456,000  
    $ 133,727   $ 5,719,727  
Schedule Of Convertible Debt [Table Text Block]
      March 31,     September 30,  
      2015     2014  
               
  Senior Convertible Debentures, non-interest bearing ,unsecured, due March 18, 2044   3,527,566     7,446,044  
  Less: Debt Discount   (3,393,839 )   (7,182,317 )
  Total carrying value   133,727     263,727  
  Less: current portion   -     -  
  Long term liability $ 133,727   $ 263,727  
Company Issuance of Share Purchase Warrants [Table Text Block]
          Non-        
    Purchasers     purchasers     Total  
Series A Warrants   33,333,333     500,000     33,833,333  
Series B Warrants   33,333,333     500,000     33,833,333  
    66,666,666     1,000,000     67,666,666  
Fair Value of the Purchaser and Non-Purchaser Warrants at Issuance [Table Text Block]
Risk-free interest rate 1.56%
Expected life (years) 5.00
Expected volatility 97.16%
Dividend yields 0.00%
Schedule of Fair Value of Liabilities Activity [Table Text Block]
      March 31,     September 30,  
      2015     2014  
               
  Balance ,beginning of the period $ 5,456,000   $ 904,000  
  Fair value at issuance   527,000     8,277,000  
  Change in fair value during the period   487,000     (2,956,000 )
  Reclassification to equity upon change in triggering events   (3,931,000 )   (221,000 )
  Transfer to equity upon exercise   (2,539,000 )   (548,000 )
  Balance, end of the period $ -   $ 5,456,000  
Amendment Agreements [Member]  
Fair Value of the Purchaser and Non-Purchaser Warrants at Issuance [Table Text Block]
Risk-free interest rate 3.13%
Expected life (years) 29.58
Expected volatility 100.71%
Dividend yields 0.00%
Embedded conversion options and warrants [Member]  
Fair Value of the Purchaser and Non-Purchaser Warrants at Issuance [Table Text Block]
    Reclassification September
    Date 30, 2014
  Risk-free interest rate 1.47% 3.21%
  Expected life (years) 24.19 29.48
  Expected volatility 102.14% 100.07%
  Dividend yields 0.00% 0.00%