Convertible Promissory Notes (Details Textual) (USD $) | 3 Months Ended | 9 Months Ended | |
Sep. 30, 2014 | Sep. 30, 2013 | Sep. 30, 2014 | Sep. 30, 2013 | Dec. 31, 2013 |
Short-term Debt [Line Items] | ' | ' | ' | ' | ' |
Common stock, par value | $0.00 | ' | $0.00 | ' | $0.00 |
Amortization of debt discount | $26,376 | $4,142 | ($78,055) | ($4,142) | ' |
Debt instrument, Unamortized discount | 131,029 | ' | 131,029 | ' | 93,731 |
Convertible notes payable mature date on September 14, 2014 [Member] | ' | ' | ' | ' | ' |
Short-term Debt [Line Items] | ' | ' | ' | ' | ' |
Convertible promissory notes | 13,670 | ' | 13,670 | ' | ' |
Debt instrument, Maturity date | ' | ' | 14-Sep-14 | ' | ' |
Debt instrument, Interest rate | 12.00% | ' | 12.00% | ' | ' |
Debt instrument, Conversion price | $0.00 | ' | $0.00 | ' | ' |
Common stock, par value | $0.01 | ' | $0.01 | ' | ' |
Debt instrument, Convertible, Beneficial conversion feature | ' | ' | 76,429 | ' | ' |
Amortization of debt discount | ' | ' | 53,231 | 0 | ' |
Debt instrument, Unamortized discount | 0 | ' | 0 | ' | 0 |
Interest expense, Debt | ' | ' | 6,859 | 0 | ' |
Debt instrument, Principal value | ' | ' | 25,476 | ' | ' |
Debt conversion, Principal amounts, Amount | ' | ' | 12,738 | ' | ' |
Convertible notes payable mature date on November 7, 2014 [Member] | ' | ' | ' | ' | ' |
Short-term Debt [Line Items] | ' | ' | ' | ' | ' |
Convertible promissory notes | 36,363 | ' | 36,363 | ' | ' |
Debt instrument, Maturity date | ' | ' | 7-Nov-14 | ' | ' |
Debt instrument, Interest rate | 20.00% | ' | 20.00% | ' | ' |
Common stock, par value | $0.00 | ' | $0.00 | ' | ' |
Fair value of warrants | ' | ' | 6,884 | 9,121 | ' |
Amortization of debt discount | ' | ' | 13,637 | 0 | ' |
Debt instrument, Unamortized discount | 0 | ' | 0 | ' | 13,637 |
Interest expense, Debt | ' | ' | 7,480 | 0 | ' |
Stock issued during period, Shares, Other | ' | ' | 59,400,000 | ' | ' |
Exercise price per share | $0.10 | ' | $0.10 | ' | ' |
Expected life | ' | ' | '1 year | ' | ' |
Expected volatility | ' | ' | 606.16% | ' | ' |
Dividend yield | ' | ' | ' | ' | ' |
Risk-free interest rate | ' | ' | 0.11% | ' | ' |
Convertible notes payable mature date on November 7, 2014 [Member] | Restricted stock [Member] | ' | ' | ' | ' | ' |
Short-term Debt [Line Items] | ' | ' | ' | ' | ' |
Purchase of warrants exercisable | ' | ' | 750,000 | ' | ' |
Convertible notes payable mature date on November 7, 2014 [Member] | Common stock [Member] | ' | ' | ' | ' | ' |
Short-term Debt [Line Items] | ' | ' | ' | ' | ' |
Purchase of warrants exercisable | ' | ' | 1,000,000 | ' | ' |
Convertible notes payable mature date on May 17, 2015 [Member] | ' | ' | ' | ' | ' |
Short-term Debt [Line Items] | ' | ' | ' | ' | ' |
Convertible promissory notes | 10,000 | ' | 10,000 | ' | ' |
Debt instrument, Maturity date | ' | ' | 17-May-15 | ' | ' |
Debt instrument, Interest rate | 12.00% | ' | 12.00% | ' | ' |
Debt instrument, Conversion price | $0.10 | ' | $0.10 | ' | ' |
Fair value of warrants | ' | ' | 1,297 | ' | ' |
Amortization of debt discount | ' | ' | 649 | 0 | ' |
Debt instrument, Unamortized discount | 544 | ' | 544 | ' | 979 |
Interest expense, Debt | ' | ' | 898 | 0 | ' |
Exercise price per share | $0.13 | ' | $0.13 | ' | ' |
Expected life | ' | ' | '1 year | ' | ' |
Expected volatility | ' | ' | 608.68% | ' | ' |
Dividend yield | ' | ' | ' | ' | ' |
Risk-free interest rate | ' | ' | 0.13% | ' | ' |
Convertible notes payable mature date on May 17, 2015 [Member] | Common stock [Member] | ' | ' | ' | ' | ' |
Short-term Debt [Line Items] | ' | ' | ' | ' | ' |
Purchase of warrants exercisable | ' | ' | 100,000 | ' | ' |
Convertible notes payable mature date on August 1, 2015 [Member] | ' | ' | ' | ' | ' |
Short-term Debt [Line Items] | ' | ' | ' | ' | ' |
Convertible promissory notes | 5,000 | ' | 5,000 | ' | ' |
Debt instrument, Maturity date | ' | ' | 1-Aug-15 | ' | ' |
Debt instrument, Interest rate | 6.00% | ' | 6.00% | ' | ' |
Debt instrument, Conversion price | $0.10 | ' | $0.10 | ' | ' |
Fair value of warrants | ' | ' | 651 | ' | ' |
Amortization of debt discount | ' | ' | 295 | 0 | ' |
Debt instrument, Unamortized discount | 356 | ' | 356 | ' | 0 |
Interest expense, Debt | ' | ' | 58 | 0 | ' |
Exercise price per share | $0.13 | ' | $0.13 | ' | ' |
Expected life | ' | ' | '1 year | ' | ' |
Expected volatility | ' | ' | 588.26% | ' | ' |
Dividend yield | ' | ' | ' | ' | ' |
Risk-free interest rate | ' | ' | 0.11% | ' | ' |
Convertible notes payable mature date on August 1, 2015 [Member] | Common stock [Member] | ' | ' | ' | ' | ' |
Short-term Debt [Line Items] | ' | ' | ' | ' | ' |
Purchase of warrants exercisable | ' | ' | 50,000 | ' | ' |
Convertible notes payable mature date on May 31, 2015 [Member] | ' | ' | ' | ' | ' |
Short-term Debt [Line Items] | ' | ' | ' | ' | ' |
Convertible promissory notes | 5,000 | ' | 5,000 | ' | ' |
Debt instrument, Maturity date | ' | ' | 31-May-15 | ' | ' |
Debt instrument, Interest rate | 12.00% | ' | 12.00% | ' | ' |
Debt instrument, Conversion price | $0.10 | ' | $0.10 | ' | ' |
Fair value of warrants | ' | ' | 3,324 | ' | ' |
Amortization of debt discount | ' | ' | 1,612 | 0 | ' |
Debt instrument, Unamortized discount | 1,712 | ' | 1,712 | ' | 0 |
Interest expense, Debt | ' | ' | 152 | 0 | ' |
Exercise price per share | $0.13 | ' | $0.13 | ' | ' |
Expected life | ' | ' | '1 year | ' | ' |
Expected volatility | ' | ' | 600.29% | ' | ' |
Dividend yield | ' | ' | ' | ' | ' |
Risk-free interest rate | ' | ' | 0.12% | ' | ' |
Convertible notes payable mature date on May 31, 2015 [Member] | Common stock [Member] | ' | ' | ' | ' | ' |
Short-term Debt [Line Items] | ' | ' | ' | ' | ' |
Purchase of warrants exercisable | ' | ' | 100,000 | ' | ' |
Convertible notes payable mature date on December 10, 2015 [Member] | ' | ' | ' | ' | ' |
Short-term Debt [Line Items] | ' | ' | ' | ' | ' |
Convertible promissory notes | 10,000 | ' | 10,000 | ' | ' |
Debt instrument, Maturity date | ' | ' | 10-Dec-15 | ' | ' |
Debt instrument, Interest rate | 12.00% | ' | 12.00% | ' | ' |
Debt instrument, Conversion price | $0.10 | ' | $0.10 | ' | ' |
Fair value of warrants | ' | ' | 3,324 | ' | ' |
Amortization of debt discount | ' | ' | 1,060 | 0 | ' |
Debt instrument, Unamortized discount | 2,264 | ' | 2,264 | ' | 0 |
Interest expense, Debt | ' | ' | 671 | 0 | ' |
Exercise price per share | $0.13 | ' | $0.13 | ' | ' |
Expected life | ' | ' | '1 year | ' | ' |
Expected volatility | ' | ' | 600.26% | ' | ' |
Dividend yield | ' | ' | ' | ' | ' |
Risk-free interest rate | ' | ' | 0.12% | ' | ' |
Convertible notes payable mature date on December 10, 2015 [Member] | Common stock [Member] | ' | ' | ' | ' | ' |
Short-term Debt [Line Items] | ' | ' | ' | ' | ' |
Purchase of warrants exercisable | ' | ' | 100,000 | ' | ' |
Convertible notes payable mature date on October 17, 2015 [Member] | ' | ' | ' | ' | ' |
Short-term Debt [Line Items] | ' | ' | ' | ' | ' |
Convertible promissory notes | 10,000 | ' | 10,000 | ' | ' |
Debt instrument, Maturity date | ' | ' | 17-Oct-15 | ' | ' |
Debt instrument, Interest rate | 12.00% | ' | 12.00% | ' | ' |
Debt instrument, Conversion price | $0.10 | ' | $0.10 | ' | ' |
Fair value of warrants | ' | ' | 8,000 | ' | ' |
Amortization of debt discount | ' | ' | 4,011 | 0 | ' |
Debt instrument, Unamortized discount | 3,989 | ' | 3,989 | ' | 0 |
Interest expense, Debt | ' | ' | 848 | 0 | ' |
Exercise price per share | $0.13 | ' | $0.13 | ' | ' |
Expected life | ' | ' | '1 year | ' | ' |
Expected volatility | ' | ' | 444.14% | ' | ' |
Dividend yield | ' | ' | ' | ' | ' |
Risk-free interest rate | ' | ' | 0.11% | ' | ' |
Convertible notes payable mature date on October 17, 2015 [Member] | Common stock [Member] | ' | ' | ' | ' | ' |
Short-term Debt [Line Items] | ' | ' | ' | ' | ' |
Purchase of warrants exercisable | ' | ' | 100,000 | ' | ' |
Convertible notes payable mature date on December 10, 2015 [Member] | ' | ' | ' | ' | ' |
Short-term Debt [Line Items] | ' | ' | ' | ' | ' |
Convertible promissory notes | 10,000 | ' | 10,000 | ' | ' |
Debt instrument, Maturity date | ' | ' | 10-Dec-15 | ' | ' |
Debt instrument, Interest rate | 12.00% | ' | 12.00% | ' | ' |
Debt instrument, Conversion price | $0.10 | ' | $0.10 | ' | ' |
Fair value of warrants | ' | ' | 8,400 | ' | ' |
Amortization of debt discount | ' | ' | 4,211 | 0 | ' |
Debt instrument, Unamortized discount | 4,189 | ' | 4,189 | ' | 0 |
Interest expense, Debt | ' | ' | 408 | 0 | ' |
Exercise price per share | $0.13 | ' | $0.13 | ' | ' |
Expected life | ' | ' | '1 year | ' | ' |
Expected volatility | ' | ' | 290.82% | ' | ' |
Dividend yield | ' | ' | ' | ' | ' |
Risk-free interest rate | ' | ' | 0.10% | ' | ' |
Convertible notes payable mature date on December 10, 2015 [Member] | Common stock [Member] | ' | ' | ' | ' | ' |
Short-term Debt [Line Items] | ' | ' | ' | ' | ' |
Purchase of warrants exercisable | ' | ' | 100,000 | ' | ' |
Convertible notes payable mature date on July 7, 2015 [Member] | ' | ' | ' | ' | ' |
Short-term Debt [Line Items] | ' | ' | ' | ' | ' |
Convertible promissory notes | 10,000 | ' | 10,000 | ' | ' |
Debt instrument, Maturity date | ' | ' | 7-Jul-15 | ' | ' |
Debt instrument, Interest rate | 12.00% | ' | 12.00% | ' | ' |
Debt instrument, Conversion price | $0.10 | ' | $0.10 | ' | ' |
Fair value of warrants | ' | ' | 8,400 | ' | ' |
Amortization of debt discount | ' | ' | 2,000 | 0 | ' |
Debt instrument, Unamortized discount | 6,400 | ' | 6,400 | ' | 0 |
Interest expense, Debt | ' | ' | $279 | $0 | ' |
Exercise price per share | $0.13 | ' | $0.13 | ' | ' |
Expected life | ' | ' | '1 year | ' | ' |
Expected volatility | ' | ' | 290.82% | ' | ' |
Dividend yield | ' | ' | ' | ' | ' |
Risk-free interest rate | ' | ' | 0.12% | ' | ' |
Convertible notes payable mature date on July 7, 2015 [Member] | Common stock [Member] | ' | ' | ' | ' | ' |
Short-term Debt [Line Items] | ' | ' | ' | ' | ' |
Purchase of warrants exercisable | ' | ' | 100,000 | ' | ' |