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7. FAIR VALUE (Tables)
6 Months Ended
Jun. 30, 2015
Notes to Financial Statements  
Fair Value Measurements and Disclosures
June 30, 2015:   Level 3     Total  
             
Derivative Instruments   $ -     $ -  
                 
December 31, 2014:   Level 3     Total  
                 
Derivative Instruments   $ 1,728,883     $ 1,728,883  
Financial instruments
     

June 30,

2015

(Unaudited)

      December 31, 2014  
Beginning Balance   $ 1,728,883     $ 7,665,502  
Change in fair value     3,810,955       (5,936,619 )
Reclassification to additional paid in capital due to retirement of convertible notes     (5,539,838 )     -  
Ending Balance   $ -     $ 1,728,883