v2.4.0.8
SUPPLEMENTAL CASH FLOW FINANCIAL INFORMATION (Details) (USD $)
12 Months Ended
Dec. 31, 2013
Dec. 31, 2012
Supplemental Cash Flow Financial Information Details    
Interest $ 232,654 $ 368,057
Conversion of Series A preferred into common stock    150,000
Conversion of Series B preferred into common stock 260,000 25,000
Cancellation of convertible debentures in refinancing (1,465,784) (1,315,784)
Reissuance of convertible debenture in refinancing    1,315,784
Reissuance of stock warrants in refinancing 211,187 396,186
Cancellation of stock warrants in refinancing (18,750) (88,536)
Common stock warrants issued with convertible debentures    511,765
Conversion of vendor payable into secured note payable 3,534,793   
Cancellation of secured notes payable in refinancing 293,734   
Common stock warrants issued with common stock 243,055   
Common stock warrants issued in conversion of notes payable 18,163   
Common stock warrants issued for placement fees 32,845   
Common stock warrants issued for Series D preferred stock 476,343   
Forward contract issued with common stock 233,131   
Common stock issued for convertible debentures in refinancing 435,985   
Redemption feature on preferred stock 2,192,588   
Common stock issued for payment of interest in refinancing $ 597,221