Annual report pursuant to Section 13 and 15(d)

Fair Value Measurement and Derivatives - Schedule of Reconciliation of Level 3 Conversion Option Liability (Details)

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Fair Value Measurement and Derivatives - Schedule of Reconciliation of Level 3 Conversion Option Liability (Details) - USD ($)
12 Months Ended
Dec. 31, 2017
Dec. 31, 2016
Fair value beginning of period $ 213,042 $ 1,067,989
Reclassification of derivatives to equity upon adoption of ASU 2017-11 (213,042)  
Issuances of debt 1,841,908  
Accrued interest 184,963  
Unamortized debt issuance costs (11,250)  
Net unrealized loss on convertible bridge notes 1,254,379  
Net unrealized gain on derivatives   (808,011)
Purchases and issuances (sales and settlements)   (46,936)
Fair value, end of period 3,270,000 213,042
Changes in unrealized gains, included in income on instruments held at end of year   (808,011)
Preferred Stock Embedded Conversion Feature [Member]    
Fair value beginning of period 123,266 376,065
Reclassification of derivatives to equity upon adoption of ASU 2017-11 (123,266)  
Issuances of debt  
Accrued interest  
Unamortized debt issuance costs  
Net unrealized loss on convertible bridge notes  
Net unrealized gain on derivatives   (277,337)
Purchases and issuances (sales and settlements)   24,538
Fair value, end of period 123,266
Changes in unrealized gains, included in income on instruments held at end of year   (277,337)
Anti-dilution Provision in Common Stock Warrants Included with Preferred Stock [Member]    
Fair value beginning of period 52,904 51,203
Reclassification of derivatives to equity upon adoption of ASU 2017-11 (52,904)  
Issuances of debt  
Accrued interest  
Unamortized debt issuance costs  
Net unrealized loss on convertible bridge notes  
Net unrealized gain on derivatives   (52,800)
Purchases and issuances (sales and settlements)   54,501
Fair value, end of period 52,904
Changes in unrealized gains, included in income on instruments held at end of year   (52,800)
Debenture Embedded Conversion Feature [Member]    
Fair value beginning of period 25,884 560,778
Reclassification of derivatives to equity upon adoption of ASU 2017-11 (25,884)  
Issuances of debt  
Accrued interest  
Unamortized debt issuance costs  
Net unrealized loss on convertible bridge notes  
Net unrealized gain on derivatives   (408,919)
Purchases and issuances (sales and settlements)   (125,975)
Fair value, end of period 25,884
Changes in unrealized gains, included in income on instruments held at end of year   (408,919)
Anti-dilution Provision in Common Stock Warrants Included with Debentures [Member]    
Fair value beginning of period 10,988 79,943
Reclassification of derivatives to equity upon adoption of ASU 2017-11 (10,988)  
Issuances of debt  
Accrued interest  
Unamortized debt issuance costs  
Net unrealized loss on convertible bridge notes  
Net unrealized gain on derivatives   (68,955)
Purchases and issuances (sales and settlements)  
Fair value, end of period 10,988
Changes in unrealized gains, included in income on instruments held at end of year   (68,955)
Convertible Bridge Notes [Member]    
Fair value beginning of period  
Reclassification of derivatives to equity upon adoption of ASU 2017-11  
Issuances of debt 1,841,908  
Accrued interest 184,963  
Unamortized debt issuance costs (11,250)  
Net unrealized loss on convertible bridge notes 1,254,379  
Fair value, end of period $ 3,270,000