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Summary of Significant Accounting Policies (Tables)
12 Months Ended
Dec. 31, 2017
Defined Benefit Plan Disclosure [Line Items]  
Schedule of fair value of financial instruments measured on a recurring basis
  As of December 31, 2017 
Description Total  Level 1  Level 2  Level 3 
Liabilities:            
Warrant liability $1,381,465  $  $  $1,381,465 
Premium conversion derivative  462,174         462,174 
Total liabilities at fair value $1,843,639  $  $  $1,843,639 

 

 

  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
  2017  2016 
Warrant liability        
Balance as of beginning of period $345,960  $ 
Issuance of warrants in connection with convertible promissory notes  777,490   345,640 
Change in fair value of warrant liability  258,015   320 
Balance as of end of period $1,381,465  $345,960 

 

  2017  2016 
Premium debt conversion derivative      
Balance as of beginning of period $137,650  $ 
Value assigned to the underlying derivative in connection with convertible notes  342,486   137,564 
Change in fair value of premium debt conversion derivative  (17,962)  86 
Balance as of end of period $462,174  $137,650 
Schedule of computation of diluted net loss per share
  2017  2016 
Warrants  189,750(1)  388,886 
Stock options  365,716    

 

(1)There are additional potential warrants to be included which will be known, if and when a qualified financing event greater than $3 million occurs in the future.