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Summary of Significant Accounting Policies (Tables)
9 Months Ended
Sep. 30, 2017
Defined Benefit Plan Disclosure [Line Items]  
Schedule of fair value of financial instruments measured on a recurring basis
  As of September 30, 2017 
Description Total  Level 1  Level 2  Level 3 
Liabilities:            
Warrant liability $774,172  $  $  $774,172 
Premium conversion derivative  441,823         441,823 
Total liabilities at fair value $1,215,995  $  $  $1,215,995 

 

  As of December 31, 2016 
Description Total  Level 1  Level 2  Level 3 
Liabilities:            
Warrant liability $345,960  $  $  $345,960 
Premium conversion derivative  137,650         137,650 
Total liabilities at fair value $483,610  $  $  $483,610 
Schedule of warrant liability and premium conversion derivative measured at fair value on a recurring basis

Warrant liability Nine months ended 
September 30,
2017
 
Balance as of beginning of period $345,960 
Issuance of warrants in connection with convertible promissory notes  440,919 
Change in fair value of warrant liability  (12,707)
Balance as of end of period $774,172 
Schedule of computation of diluted net loss per share
Warrants  1,074,181 
Stock options  365,716 
Fair Value, Inputs, Level 3 [Member]  
Defined Benefit Plan Disclosure [Line Items]  
Schedule of warrant liability and premium conversion derivative measured at fair value on a recurring basis
Premium conversion derivative Nine months ended 
September 30, 2017
 
Balance as of beginning of period $137,650 
Value assigned to the underlying derivative in connection with convertible notes  213,961 
Change in fair value of premium conversion derivative  90,212 
Balance as of end of period $441,823