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STATEMENT OF STOCKHOLDERS' EQUITY (USD $)
Total
Common Stock [Member]
Paid-in Capital [Member]
Subscription Receivable / Receivable for Issuance of Common Stock [Member]
Deferred Charges [Member]
Unrealized Loss on Securities [Member]
Accumulated Deficit [Member]
Deficit Accumulated During Development Stage [Member]
Balance at Dec. 31, 2002 $ (15,826) $ 1         $ (15,827)  
Balance, shares at Dec. 31, 2002   100            
Retroactive recapitalization upon reverse acquisition   706 (706)          
Retroactive recapitalization upon reverse acquisition, shares   706,973            
Balance at Dec. 31, 2003 (15,826) 707 (706)       (15,827)  
Balance, shares at Dec. 31, 2003   707,073            
Common stock issued to founders   13,293 (13,293)          
Common stock issued to founders, shares   13,292,927            
Common stock issued for future services transaction one 256,000 1,600 254,400          
Common stock issued for future services transaction one, shares   1,600,000            
Common stock issued for future services transaction two 75,000 638 74,362          
Common stock issued for future services transaction two, shares   637,500            
Common stock issued at merger   2,000 (2,000)          
Common stock issued at merger, shares   2,000,000            
Conversion of notes payable 30,000 187 29,813          
Conversion of notes payable, shares   187,500            
Net loss (722,146)             (722,146)
Balance at Dec. 31, 2004 (376,972) 18,425 342,576       (15,827) (722,146)
Balance, shares at Dec. 31, 2004   18,425,000            
Common stock issued for future services transaction one 585,500 210 585,290          
Common stock issued for future services transaction one, shares   210,000            
Common stock issued for future services transaction two 584,000 200 583,800          
Common stock issued for future services transaction two, shares   200,000            
Common stock issued in private placement transaction one 1,000,000 4,000 996,000          
Common stock issued in private placement transaction one, shares   4,000,000            
Conversion of notes payable 499,000 3,119 495,881          
Conversion of notes payable, shares   3,118,750            
Subscription receivable (6,500)     (6,500)        
Warrants issued for services transaction one 37,000   37,000          
Warrants issued for services transaction two 24,200   24,200          
Warrants issued for services transaction three 15,900   15,900          
Warrants issued for future services 435,060   435,060          
Exercise of warrants transaction one 75,000 300 74,700          
Exercise of warrants transaction one, shares   300,000            
Deferred charges for common stock issued for future services (584,000)       (584,000)      
Amortization of deferred charges 265,455       265,455      
Net loss (1,721,765)             (1,721,765)
Balance at Dec. 31, 2005 831,878 26,254 3,590,407 (6,500) (318,545)   (15,827) (2,443,911)
Balance, shares at Dec. 31, 2005   26,253,750            
Common stock issued for future services transaction one 270,000 300 269,700          
Common stock issued for future services transaction one, shares   300,000            
Common stock issued for future services transaction two 620,000 400 619,600          
Common stock issued for future services transaction two, shares   400,000            
Common stock issued for future services transaction three 36,250 25 36,225          
Common stock issued for future services transaction three, shares   25,000            
Common stock issued for future services transaction four 29,400 60 29,340          
Common stock issued for future services transaction four, shares   60,000            
Common stock issued in private placement transaction one 425,000 850 424,150          
Common stock issued in private placement transaction one, shares   850,000            
Contributed capital related to accrued interest 35,624   35,624          
Subscription receivable 6,500     6,500        
Warrants issued for services transaction one 66,500   66,500          
Warrants issued for future services 465,996   465,996          
Options issued for services transaction one 428,888   428,888          
Amortization of deferred charges 318,545       318,545      
Unrealized gain (loss) on securities (26,000)         (26,000)    
Net loss (2,933,809)             (2,933,809)
Balance at Dec. 31, 2006 574,772 27,889 5,966,430     (26,000) (15,827) (5,377,720)
Balance, shares at Dec. 31, 2006   27,888,750            
Balance at Dec. 31, 2009 746,988 41,167 17,385,295       (15,827) (16,663,647)
Balance, shares at Dec. 31, 2009   41,166,542            
Common stock issued in private placement transaction one 1,500,000 1,500 1,498,500          
Common stock issued in private placement transaction one, shares   1,500,000            
Common stock issued for services transaction one 6,000 4 5,996          
Common stock issued for services transaction one, shares   4,800            
Common stock issued for services transaction two 4,650 5 4,645          
Common stock issued for services transaction two, shares   5,000            
Common stock issued for services transaction three 12,000 10 11,990          
Common stock issued for services transaction three, shares   10,000            
Warrants issued for services transaction one 213,459   213,459          
Warrants issued for services transaction two 580,167   580,167          
Warrants issued for services transaction three 214,063   214,063          
Exercise of warrants transaction one 236,800 947 235,853          
Exercise of warrants transaction one, shares   947,200            
Exercise of warrants transaction two 3,450 10 3,440          
Exercise of warrants transaction two, shares   10,000            
Exercise of warrants transaction three 12,500 25 12,475          
Exercise of warrants transaction three, shares   25,000            
Exercise of warrants transaction four 282,500 283 282,218          
Exercise of warrants transaction four, shares   282,500            
Exercise of options 3,750 15 3,735          
Exercised   15,000            
Options issued for services transaction one 174,866   174,866          
Options issued for services transaction two 14,873   14,873          
Options issued for services transaction three 74,061   74,061          
Options issued for services transaction four 643,812   643,812          
Options issued for services transaction five 31,478   31,478          
Options issued for services transaction six 27,434   27,434          
Options issued for services transaction seven 286,002   286,002          
Net loss (3,713,232)             (3,713,232)
Balance at Dec. 31, 2010 1,355,621 43,966 21,704,361       (15,827) (20,376,879)
Balance, shares at Dec. 31, 2010   43,966,042            
Common stock issued in private placement transaction one 1,000,000 1,000 999,000          
Common stock issued in private placement transaction one, shares   1,000,000            
Common stock issued for services transaction one 14,500 10 14,490          
Common stock issued for services transaction one, shares   10,000            
Common stock issued for services transaction two 10,400 10 10,390          
Common stock issued for services transaction two, shares   10,000            
Common stock issued for services transaction three 14,500 10 14,490          
Common stock issued for services transaction three, shares   10,000            
Common stock issued for services transaction four 2,163 2 2,161          
Common stock issued for services transaction four, shares   2,018            
Common stock issued for commitment shares 162,896 151 162,746          
Common stock issued for commitment shares, shares   150,830            
Common stock issued for additional commitment shares transaction one 3,470 3 3,467          
Common stock issued for additional commitment shares transaction one, shares   3,017            
Common stock issued to institutional investor transaction one 200,000 185 199,815          
Common stock issued to institutional investor transaction one, shares   185,185            
Warrants issued for services transaction one 306,765   306,765          
Warrants issued for services transaction two 64,983   64,983          
Warrants issued for services transaction three 36,585   36,585          
Warrants issued for services transaction four 109,820   109,820          
Warrants issued for services transaction five 1,288   1,288          
Options issued for services transaction one 285   285          
Options issued for services transaction two 39,829   39,829          
Options issued for services transaction three 383,881   383,881          
Options issued for services transaction four 26,648   26,648          
Options issued for services transaction five 65,447   65,447          
Options issued for services transaction six 212,136   212,136          
Options issued for services transaction seven 79,702   79,702          
Options issued for services transaction eight 17,204   17,204          
Options issued for services transaction nine 4,384   4,384          
Options issued for services transaction ten 53,124   53,124          
Net loss (3,482,622)             (3,482,622)
Balance at Dec. 31, 2011 683,009 45,337 24,513,000       (15,827) (23,859,501)
Balance, shares at Dec. 31, 2011   45,337,092            
Common stock issued for services transaction one 1,607 1 1,606          
Common stock issued for services transaction one, shares   1,406            
Common stock issued for additional commitment shares transaction one 4,948 3 4,945          
Common stock issued for additional commitment shares transaction one, shares   3,017            
Common stock issued for additional commitment shares transaction two 5,038 3 5,035          
Common stock issued for additional commitment shares transaction two, shares   3,017            
Common stock issued for additional commitment shares transaction three 21,645 7 21,638          
Common stock issued for additional commitment shares transaction three, shares   7,542            
Common stock issued for additional commitment shares transaction four 5,943 3 5,940          
Common stock issued for additional commitment shares transaction four, shares   3,017            
Common stock issued for additional commitment shares transaction five 11,765 5 11,760          
Common stock issued for additional commitment shares transaction five, shares   4,525            
Common stock issued for additional commitment shares transaction six 7,965 3 7,962          
Common stock issued for additional commitment shares transaction six, shares   3,017            
Common stock issued for additional commitment shares transaction seven 6,728 3 6,725          
Common stock issued for additional commitment shares transaction seven, shares   3,017            
Common stock issued for additional commitment shares transaction eight 5,431 3 5,428          
Common stock issued for additional commitment shares transaction eight, shares   3,017            
Common stock issued for additional commitment shares transaction nine 5,672 3 5,669          
Common stock issued for additional commitment shares transaction nine, shares   3,017            
Common stock issued for additional commitment shares transaction ten 5,793 3 5,790          
Common stock issued for additional commitment shares transaction ten, shares   3,017            
Common stock issued for additional commitment shares transaction eleven 4,827 3 4,824          
Common stock issued for additional commitment shares transaction eleven, shares   3,017            
Common stock issued for additional commitment shares transaction twelve 5,823 3 5,820          
Common stock issued for additional commitment shares transaction twelve, shares   3,017            
Common stock issued for additional commitment shares transaction thirteen 10,258 6 10,252          
Common stock issued for additional commitment shares transaction thirteen, shares   6,034            
Common stock issued for additional commitment shares transaction fourteen 4,073 3 4,070          
Common stock issued for additional commitment shares transaction fourteen, shares   3,017            
Common stock issued for additional commitment shares transaction fifteen 3,862 3 3,859          
Common stock issued for additional commitment shares transaction fifteen, shares   3,017            
Common stock issued for additional commitment shares transaction sixteen 3,862 3 3,859          
Common stock issued for additional commitment shares transaction sixteen, shares   3,017            
Common stock issued for additional commitment shares transaction seventeen 3,560 3 3,557          
Common stock issued for additional commitment shares transaction seventeen, shares   3,017            
Common stock issued for additional commitment shares transaction eighteen 3,258 3 3,255          
Common stock issued for additional commitment shares transaction eighteen, shares   3,017            
Common stock issued for additional commitment shares transaction nineteen 3,289 3 3,286          
Common stock issued for additional commitment shares transaction nineteen, shares   3,017            
Common stock issued for additional commitment shares transaction twenty 1,568 2 1,566          
Common stock issued for additional commitment shares transaction twenty, shares   1,508            
Common stock issued for additional commitment shares transaction twenty-one 2,488 2 2,486          
Common stock issued for additional commitment shares transaction twenty-one, shares   2,262            
Common stock issued for additional commitment shares transaction twenty-two 3,017 3 3,014          
Common stock issued for additional commitment shares transaction twenty-two, shares   3,017            
Common stock issued to institutional investor transaction one 200,000 198 199,802          
Common stock issued to institutional investor transaction one, shares   197,433            
Common stock issued to institutional investor transaction two 199,999 167 199,832          
Common stock issued to institutional investor transaction two, shares   167,084            
Common stock issued to institutional investor transaction three 499,999 317 499,682          
Common stock issued to institutional investor transaction three, shares   316,455            
Common stock issued to institutional investor transaction four 200,000 120 199,880          
Common stock issued to institutional investor transaction four, shares   120,482            
Common stock issued to institutional investor transaction five 299,999 158 299,841          
Common stock issued to institutional investor transaction five, shares   158,144            
Common stock issued to institutional investor transaction six 200,001 97 199,904          
Common stock issued to institutional investor transaction six, shares   96,479            
Common stock issued to institutional investor transaction seven 200,000 92 199,908          
Common stock issued to institutional investor transaction seven, shares   91,324            
Common stock issued to institutional investor transaction eight 200,001 119 199,882          
Common stock issued to institutional investor transaction eight, shares   119,048            
Common stock issued to institutional investor transaction nine 399,999 221 399,778          
Common stock issued to institutional investor transaction nine, shares   220,994            
Common stock issued to institutional investor transaction ten 200,001 131 199,870          
Common stock issued to institutional investor transaction ten, shares   130,719            
Common stock issued to institutional investor transaction eleven 200,000 120 199,880          
Common stock issued to institutional investor transaction eleven, shares   119,976            
Common stock issued to institutional investor transaction twelve 199,999 132 199,867          
Common stock issued to institutional investor transaction twelve, shares   132,450            
Common stock issued to institutional investor transaction thirteen 200,001 119 199,882          
Common stock issued to institutional investor transaction thirteen, shares   119,261            
Common stock issued to institutional investor transaction fourteen 200,000 177 199,823          
Common stock issued to institutional investor transaction fourteen, shares   176,991            
Common stock issued to institutional investor transaction fifteen 200,001 178 199,823          
Common stock issued to institutional investor transaction fifteen, shares   177,510            
Common stock issued to institutional investor transaction sixteen 200,000 180 199,820          
Common stock issued to institutional investor transaction sixteen, shares   180,668            
Common stock issued to institutional investor transaction seventeen 200,000 182 199,818          
Common stock issued to institutional investor transaction seventeen, shares   181,818            
Common stock issued to institutional investor transaction eighteen 200,000 188 199,812          
Common stock issued to institutional investor transaction eighteen, shares   188,147            
Common stock issued to institutional investor transaction nineteen 199,999 196 199,803          
Common stock issued to institutional investor transaction nineteen, shares   196,078            
Common stock issued to institutional investor transaction twenty 100,000 98 99,902          
Common stock issued to institutional investor transaction twenty, shares   98,039            
Common stock issued to institutional investor transaction twenty-one 350,000 350 349,650          
Common stock issued to institutional investor transaction twenty-one, shares   350,000            
Warrants issued for services transaction one 36,605   36,605          
Warrants issued for services transaction two 157,127   157,127          
Warrants issued for services transaction three 13,709   13,709          
Warrants issued for services transaction four 55,648   55,648          
Warrants issued for services transaction five 28,237   28,237          
Exercise of warrants transaction one 50,000 40 49,960          
Exercise of warrants transaction one, shares   40,000            
Exercise of warrants transaction two 6,900 20 6,880          
Exercise of warrants transaction two, shares   20,000            
Exercise of warrants transaction three 225,000 900 224,100          
Exercise of warrants transaction three, shares   900,000            
Exercise of options 162,500 250 162,250          
Exercised   250,000            
Options issued for services transaction one 38,194   38,194          
Options issued for services transaction two 85,290   85,290          
Options issued for services transaction three 48,510   48,510          
Options issued for services transaction four 41,156   41,156          
Options issued for services transaction five 26,304   26,304          
Options issued for services transaction six 51,392   51,392          
Options issued for services transaction seven 139,755   139,755          
Options issued for services transaction eight 42,227   42,227          
Options issued for services transaction nine 462,455   462,455          
Options issued for services transaction ten 56,568   56,568          
Options issued for services transaction eleven 15,611   15,611          
Options issued for services transaction twelve 7,137   7,137          
Options issued for services transaction thirteen 266,710   266,710          
Options issued for services transaction fourteen 25,420   25,420          
Options issued for services transaction fifteen 60,283   60,283          
Options issued for services transaction sixteen 309,049   309,049          
Options issued for services transaction seventeen 29,375   29,375          
Options issued for services transaction eighteen 39,270   39,270          
Options issued for services transaction nineteen 29,529   29,529          
Options issued for services transaction twenty 42,195   42,195          
Net loss (4,556,538)             (4,556,538)
Balance at Dec. 31, 2012 3,661,046 50,161 32,042,751       (15,827) (28,416,039)
Balance, shares at Dec. 31, 2012 50,160,758 50,160,758            
Balance at Dec. 31, 2006 574,772 27,889 5,966,430     (26,000) (15,827) (5,377,720)
Balance, shares at Dec. 31, 2006   27,888,750            
Common stock issued for future services transaction one 106,250 152 106,098          
Common stock issued for future services transaction one, shares   151,785            
Common stock issued for future services transaction two 580,000 1,000 579,000          
Common stock issued for future services transaction two, shares   1,000,000            
Common stock issued in private placement transaction one 1,241,000 2,482 1,238,518          
Common stock issued in private placement transaction one, shares   2,482,000            
Common stock issued in private placement transaction two 1,060,524 1,768 1,058,756          
Common stock issued in private placement transaction two, shares   1,767,540            
Common stock issued for services and settlement for accounts payable transaction one 35,000 100 34,900          
Common stock issued for services and settlement for accounts payable transaction one, shares   100,000            
Common stock issued for services transaction one 102,000 150 101,850          
Common stock issued for services transaction one, shares   150,000            
Common stock issued for services transaction two 135,000 150 134,850          
Common stock issued for services transaction two, shares   150,000            
Common stock issued for services transaction three 288,000 400 287,600          
Common stock issued for services transaction three, shares   400,000            
Common stock subscription rescinded during the period (200,000) (400) (199,600)          
Common stock subscription rescinded during the period, shares   (400,000)            
Warrants issued for services transaction one 36,370   36,370          
Warrants issued for services transaction two 52,180   52,180          
Warrants issued for services transaction three 293,476   293,476          
Warrants issued for services transaction four 140,490   140,490          
Warrants issued for services transaction five 52,946   52,946          
Warrants issued for services transaction six 61,449   61,449          
Warrants issued for services transaction seven 52,292   52,292          
Warrants issued for services transaction eight 1,159   1,159          
Warrants issued for future services 348,000   348,000          
Options issued for services transaction one 17,589   17,589          
Options issued for services transaction two 43,757   43,757          
Options issued for services transaction three 41,653   41,653          
Deferred charges for common stock issued for future services (928,000)       (928,000)      
Amortization of deferred charges 773,333       773,333      
Unrealized gain (loss) on securities (32,610)         (32,610)    
Net loss (4,223,449)             (4,223,449)
Balance at Dec. 31, 2007 653,180 33,690 10,449,763   (154,667) (58,610) (15,827) (9,601,169)
Balance, shares at Dec. 31, 2007   33,690,075            
Common stock issued in private placement transaction one 414,000 690 413,310          
Common stock issued in private placement transaction one, shares   690,001            
Common stock issued for services transaction one 75,000 100 74,900          
Common stock issued for services transaction one, shares   100,000            
Common stock issued for services transaction two 360,000 200 359,800          
Common stock issued for services transaction two, shares   200,000            
Receivable for the issuance of common stock (12,500)     (12,500)        
Warrants issued for services transaction one 27,014   27,014          
Warrants issued for services transaction two 10,885   10,885          
Warrants issued for services transaction three 121,713   121,713          
Warrants issued for services transaction four 48,738   48,738          
Warrants issued for services transaction five 31,444   31,444          
Warrants issued for services transaction six 12,487   12,487          
Warrants issued for services transaction seven 976,193   976,193          
Warrants issued for future services     332,000   (332,000)      
Exercise of warrants transaction one 80,000 320 79,680          
Exercise of warrants transaction one, shares   320,000            
Exercise of warrants transaction two 160,270 641 159,629          
Exercise of warrants transaction two, shares   641,080            
Exercise of warrants transaction three 135,000 270 134,730          
Exercise of warrants transaction three, shares   270,000            
Options issued for services transaction one 286,803   286,803          
Options issued for services transaction two 30,750   30,750          
Options issued for services transaction three 114,519   114,519          
Options issued for services transaction four 525,263   525,263          
Options issued for services transaction five 6,439   6,439          
Amortization of deferred charges 431,337       431,337      
Realized loss reclassification 58,610         58,610    
Net loss (4,340,607)             (4,340,607)
Balance at Dec. 31, 2008 206,538 35,911 14,196,060 (12,500) (55,330)   (15,827) (13,941,776)
Balance, shares at Dec. 31, 2008   35,911,156            
Rights to purchase shares issued 132,058   132,058          
Common stock issued in private placement transaction one 855,000 2,480 852,520          
Common stock issued in private placement transaction one, shares   2,479,500            
Common stock issued for services and settlement for accounts payable transaction one 25,000 100 24,900          
Common stock issued for services and settlement for accounts payable transaction one, shares   100,000            
Common stock issued for services and settlement for accounts payable transaction two 50,000 145 49,855          
Common stock issued for services and settlement for accounts payable transaction two, shares   145,000            
Common stock issued for services transaction one 58,000 100 57,900          
Common stock issued for services transaction one, shares   100,000            
Common stock issued for services transaction two 40,000 116 39,884          
Common stock issued for services transaction two, shares   116,000            
Common stock issued for services transaction three 75,000 100 74,900          
Common stock issued for services transaction three, shares   100,000            
Warrants issued for services transaction one 177,881   177,881          
Exercise of purchase right agreement 45,138 181 44,957          
Exercise of purchase right agreement, shares   180,550            
Exercise of warrants transaction one 319,834 1,279 318,555          
Exercise of warrants transaction one, shares   1,279,336            
Exercise of warrants transaction two 400 400            
Exercise of warrants transaction two, shares   400,000            
Exercise of warrants transaction three 355,000 355 354,645          
Exercise of warrants transaction three, shares   355,000            
Options issued for services transaction one 199,234   199,234          
Options issued for services transaction two 13,583   13,583          
Options issued for services transaction three 67,838   67,838          
Options issued for services transaction four 623,246   623,246          
Options issued for services transaction five 61,346   61,346          
Options issued for services transaction six 13,136   13,136          
Options issued for services transaction seven 9,583   9,583          
Options issued for services transaction eight 21,085   21,085          
Contribution of accrued payroll 52,129   52,129          
Amortization of deferred charges 55,330       55,330      
Payment for the issuance of common stock 12,500     12,500        
Net loss (2,721,871)             (2,721,871)
Balance at Dec. 31, 2009 746,988 41,167 17,385,295       (15,827) (16,663,647)
Balance, shares at Dec. 31, 2009   41,166,542            
Balance at Dec. 31, 2012 3,661,046 50,161 32,042,751       (15,827) (28,416,039)
Balance, shares at Dec. 31, 2012 50,160,758 50,160,758            
Common stock issued for commitment shares 170,000 200 169,800          
Common stock issued for commitment shares, shares   200,000            
Common stock issued for additional commitment shares transaction one 3,349 3 3,346          
Common stock issued for additional commitment shares transaction one, shares   3,017            
Common stock issued for additional commitment shares transaction two 3,228 3 3,225          
Common stock issued for additional commitment shares transaction two, shares   3,017            
Common stock issued for additional commitment shares transaction three 4,103 3 4,100          
Common stock issued for additional commitment shares transaction three, shares   3,017            
Common stock issued for additional commitment shares transaction four 4,073 3 4,070          
Common stock issued for additional commitment shares transaction four, shares   3,017            
Common stock issued for additional commitment shares transaction five 4,797 3 4,794          
Common stock issued for additional commitment shares transaction five, shares   3,017            
Common stock issued for additional commitment shares transaction six 4,677 3 4,674          
Common stock issued for additional commitment shares transaction six, shares   3,017            
Common stock issued for additional commitment shares transaction seven 3,590 3 3,587          
Common stock issued for additional commitment shares transaction seven, shares   3,017            
Common stock issued for additional commitment shares transaction eight 3,259 3 3,256          
Common stock issued for additional commitment shares transaction eight, shares   3,017            
Common stock issued for additional commitment shares transaction nine 3,198 3 3,195          
Common stock issued for additional commitment shares transaction nine, shares   3,017            
Common stock issued for additional commitment shares transaction ten 1,782 2 1,780          
Common stock issued for additional commitment shares transaction ten, shares   1,730            
Common stock issued for additional commitment shares transaction eleven 1,452 1 1,451          
Common stock issued for additional commitment shares transaction eleven, shares   1,370            
Common stock issued for additional commitment shares transaction twelve 1,587 2 1,585          
Common stock issued for additional commitment shares transaction twelve, shares   1,526            
Common stock issued for additional commitment shares transaction thirteen 1,553 1 1,552          
Common stock issued for additional commitment shares transaction thirteen, shares   1,508            
Common stock issued for additional commitment shares transaction fourteen 1,508 2 1,506          
Common stock issued for additional commitment shares transaction fourteen, shares   1,508            
Common stock issued to institutional investor transaction one 200,000 187 199,813          
Common stock issued to institutional investor transaction one, shares   186,916            
Common stock issued to institutional investor transaction two 199,999 196 199,803          
Common stock issued to institutional investor transaction two, shares   196,078            
Common stock issued to institutional investor transaction three 200,000 193 199,807          
Common stock issued to institutional investor transaction three, shares   192,864            
Common stock issued to institutional investor transaction four 200,000 176 199,824          
Common stock issued to institutional investor transaction four, shares   175,948            
Common stock issued to institutional investor transaction five 200,001 160 199,841          
Common stock issued to institutional investor transaction five, shares   159,579            
Common stock issued to institutional investor transaction six 200,000 149 199,851          
Common stock issued to institutional investor transaction six, shares   149,254            
Common stock issued to institutional investor transaction seven 200,000 175 199,825          
Common stock issued to institutional investor transaction seven, shares   175,439            
Common stock issued to institutional investor transaction eight 200,000 192 199,808          
Common stock issued to institutional investor transaction eight, shares   192,308            
Common stock issued to institutional investor transaction nine 200,000 200 199,800          
Common stock issued to institutional investor transaction nine, shares   200,000            
Common stock issued to institutional investor transaction ten 86,500 100 86,400          
Common stock issued to institutional investor transaction ten, shares   100,000            
Common stock issued to institutional investor transaction eleven 90,830 100 90,730          
Common stock issued to institutional investor transaction eleven, shares   100,000            
Common stock issued to institutional investor transaction twelve 101,170 100 101,070          
Common stock issued to institutional investor transaction twelve, shares   100,000            
Common stock issued to institutional investor transaction thirteen 100,000 100 99,900          
Common stock issued to institutional investor transaction thirteen, shares   100,000            
Common stock issued to institutional investor transaction fourteen 100,000 100 99,900          
Common stock issued to institutional investor transaction fourteen, shares   100,000            
Warrants issued for services transaction one 41,738   41,738          
Warrants issued for services transaction two 69,455   69,455          
Warrants issued for services transaction three 24,658   24,658          
Exercise of warrants transaction one 15,625 13 15,612          
Exercise of warrants transaction one, shares   12,500            
Exercise of warrants transaction two 6,900 20 6,880          
Exercise of warrants transaction two, shares   20,000            
Exercise of options 38,733 38 38,695          
Exercised   38,350            
Exercise of options two 11,250 25 11,225          
Exercised two   25,000            
Reversal of common stock issuance   (2) 2          
Reversal of common stock issuance, shares   2,000            
Options issued for services transaction one 80,634   80,634          
Options issued for services transaction two 48,378   48,378          
Options issued for services transaction three 13,531   13,531          
Options issued for services transaction four 26,232   26,232          
Options issued for services transaction five 51,252   51,252          
Options issued for services transaction six 29,154   29,154          
Options issued for services transaction seven 151,350   151,350          
Options issued for services transaction eight 36,287   36,287          
Options issued for services transaction nine 37,242   37,242          
Options issued for services transaction ten 6,920   6,920          
Options issued for services transaction eleven 33,986   33,986          
Options issued for services transaction twelve 2,394   2,394          
Options issued for services transaction thirteen 60,399   60,399          
Options issued for services transaction fourteen 46,337   46,337          
Options issued for services transaction fifteen 50,801   50,801          
Net loss $ (3,912,326)             $ (3,912,326)
Balance at Dec. 31, 2013