Notes Payable (Narrative) (Details) (USD $) | 3 Months Ended |
31-May-14 | 31-May-13 |
Notes Payable [Abstract] | ' | ' |
Aggregate amount of promissory notes issued for O&G property | ' | ' |
Liberty Note 1 [Member] | ' | ' |
Short Term Debt [Line Items] | ' | ' |
Debt instrument, issuance date (Date) | 26-Oct-12 | ' |
Debt instrument, maturity date (Date) | 26-Apr-13 | ' |
Original principal amount | 500,000 | ' |
Debt instrument, variable rate basis (in Description) | 'One-month LIBOR | ' |
Debt instrument, basis spread on variable rate (in Percent) | 3.00% | ' |
Liberty Note 2 [Member] | ' | ' |
Short Term Debt [Line Items] | ' | ' |
Debt instrument, issuance date (Date) | 26-Oct-12 | ' |
Debt instrument, maturity date (Date) | 26-Jul-13 | ' |
Original principal amount | 150,000 | ' |
Debt instrument, variable rate basis (in Description) | 'One-month LIBOR | ' |
Debt instrument, basis spread on variable rate (in Percent) | 3.00% | ' |
Liberty Note Amended 1 [Member] | ' | ' |
Short Term Debt [Line Items] | ' | ' |
Debt instrument, issuance date (Date) | 10-Mar-14 | ' |
Debt instrument, maturity date (Date) | 12-May-14 | ' |
Debt instrument, variable rate basis (in Description) | 'One-month LIBOR | ' |
Debt instrument, basis spread on variable rate (in Percent) | 3.00% | ' |
Remaining outstanding principal | 542,294 | ' |
Aggregate prepayments required to extend initial due date | 250,000 | ' |
Unsecured Corporate Demand Note 1 - Chief Financial Officer [Member] | ' | ' |
Short Term Debt [Line Items] | ' | ' |
Debt instrument, issuance date (Date) | 18-Mar-14 | ' |
Original principal amount | 45,500 | ' |
Advance amount included in related party note | 5,500 | ' |
Duration of notice required for redemption of note after 20 business days from date of note (in Duration) | '5 days | ' |
Duration after date of note required before redemption of note, with 5-days notice (in Duration) | '20 days | ' |
Unsecured Corporate Demand Note 1 - Chairman of the Board [Member] | ' | ' |
Short Term Debt [Line Items] | ' | ' |
Debt instrument, issuance date (Date) | 31-Mar-14 | ' |
Original principal amount | 25,000 | ' |
Duration of notice required for redemption of note after 20 business days from date of note (in Duration) | '5 days | ' |
Duration after date of note required before redemption of note, with 5-days notice (in Duration) | '20 days | ' |
Unsecured Corporate Demand Note 2 - Chief Financial Officer [Member] | ' | ' |
Short Term Debt [Line Items] | ' | ' |
Debt instrument, issuance date (Date) | 31-Mar-14 | ' |
Original principal amount | 25,000 | ' |
Duration of notice required for redemption of note after 20 business days from date of note (in Duration) | '5 days | ' |
Duration after date of note required before redemption of note, with 5-days notice (in Duration) | '20 days | ' |
Unsecured Corporate Demand Note 2 - Chairman of the Board [Member] | ' | ' |
Short Term Debt [Line Items] | ' | ' |
Debt instrument, issuance date (Date) | 5-May-14 | ' |
Original principal amount | 3,100 | ' |
Duration of notice required for redemption of note after 20 business days from date of note (in Duration) | '5 days | ' |
Duration after date of note required before redemption of note, with 5-days notice (in Duration) | '20 days | ' |
Unsecured Corporate Demand Note 3 - Chief Financial Officer [Member] | ' | ' |
Short Term Debt [Line Items] | ' | ' |
Debt instrument, issuance date (Date) | 5-May-14 | ' |
Original principal amount | 3,100 | ' |
Duration of notice required for redemption of note after 20 business days from date of note (in Duration) | '5 days | ' |
Duration after date of note required before redemption of note, with 5-days notice (in Duration) | '20 days | ' |
Liberty Note Amended 2 [Member] | ' | ' |
Short Term Debt [Line Items] | ' | ' |
Debt instrument, issuance date (Date) | 8-May-14 | ' |
Debt instrument, maturity date (Date) | 11-Jul-14 | ' |
Debt instrument, variable rate basis (in Description) | 'One-month LIBOR | ' |
Debt instrument, basis spread on variable rate (in Percent) | 3.00% | ' |
Remaining outstanding principal | 542,294 | ' |
Aggregate prepayments required to extend initial due date | $250,000 | ' |