Quarterly report pursuant to Section 13 or 15(d)

Debentures (Details Narrative)

v3.10.0.1
Debentures (Details Narrative) - USD ($)
3 Months Ended 9 Months Ended 12 Months Ended 15 Months Ended
Sep. 06, 2018
Aug. 02, 2018
Jul. 16, 2018
Feb. 08, 2018
Sep. 19, 2017
Jul. 17, 2017
Mar. 21, 2017
Mar. 21, 2017
Feb. 02, 2017
Sep. 30, 2016
Sep. 30, 2018
Sep. 30, 2018
Sep. 30, 2017
Dec. 31, 2017
Sep. 30, 2018
Jun. 28, 2018
May 21, 2018
May 14, 2018
Mar. 05, 2018
Jun. 30, 2017
Jun. 22, 2017
Jun. 02, 2017
Nov. 03, 2016
Debt instrument face amount                                             $ 341,612
Proceeds from debt                       $ 8,000,000 $ 15,742,500                    
Repayment of debt                   $ 500,000                          
Convertible debt                     $ 17,837,502 17,837,502   $ 17,720,082 $ 17,837,502                
Interest expenses                       8,441,043                    
Amortization of debt discount                       $ 16,080,270 6,228,352                    
Stock converted into debt, value                       20,000,000                      
Unamortized Discount                     $ 7,284,194 $ 7,284,194   $ 12,127,634 $ 7,284,194                
Issuance Agreements [Member]                                              
Debt instrument face amount $ 3,100,000 $ 3,100,000 $ 3,100,000                                        
Debt instrument maturity date Sep. 19, 2019 Sep. 19, 2019 Sep. 19, 2019                                        
Proceeds from offerings $ 2,500,000 $ 2,500,000 $ 2,500,000                                        
March 2017 Offerings [Member] | March Warrants and Exchange Warrants [Member]                                              
Debt instrument original amount                       $ 41,300,000                      
March 2017 Offerings [Member] | Debenture Warrant [Member]                                              
Debenture description                       The Company recognized a discount for 100% of the principal value of the March Debentures and non-cash interest expense in the amount of $43.7 million regarding the recognition of these derivative liabilities.                      
Mr Diamantis [Member]                                              
Debt instrument maturity date               Mar. 21, 2019                              
Proceeds from debt               $ 8,400,000                              
Repayment of debt               750,000                              
Interest expenses               400,000                              
Stock converted into debt               2,700,000                              
Mr Diamantis [Member] | March 2017 Offerings [Member]                                              
Repayment of debt             $ 3,800,000                                
Accredited Investor [Member] | June Warrants [Member]                                              
Warrant purchase price                       $ 1,902,700                      
Amortization of debt discount                       107,700                      
Proceeds from issuance warrants                       $ 1,500,000                      
February 2017 Offering [Member]                                              
Debt instrument face amount                 $ 1,600,000                            
Warrants to purchase common stock                 13                            
Exercise price of warrants                 $ 19,350                            
Warrant purchase price                 $ 1,500,000                            
Debt instrument of exchange price               2,500,000                              
March 2017 Offerings [Member]                                              
Debt instrument face amount             10,850,000 10,850,000                              
Convertible debt             $ 2,500,000 2,500,000                              
March 2017 Offerings [Member] | Series H Convertible Preferred Stock [Member]                                              
Stock of convertible preferred stock               $ 2,200,000                              
March Debentures and Exchange Debenture [Member] | March 2017 Offerings [Member]                                              
Exercise price of warrants                     $ 0.1275 $ 0.1275     $ 0.1275                
Debt instrument maturity date               Mar. 21, 2019                              
Stock converted into debt                             $ 13,982,758                
Debt original issue discount, percentage             24.00% 24.00%                              
Warrants exercisable                     382,300,000 382,300,000     382,300,000                
Amortization of debt discount                     $ 8,300,000                        
Debenture description                       The March Debentures are convertible into shares of the Company’s common stock, at a conversion price which has been adjusted pursuant to the terms of the March Debentures to $0.000255 per share as of September 30, 2018, due to prices at which the Company has subsequently issued shares of common stock. The Convertible Debentures began to amortize monthly commencing on the 90th day following the closing date. The Exchange Debentures began to amortize monthly on the closing date. On each monthly amortization date, the Company may elect to repay 5% of the original principal amount of the March Debentures in cash or, in lieu thereof, the conversion price of such debentures will thereafter be 85% of the volume weighted average price at the time of conversion.                      
Conversion price per share                     $ 0.0018 $ 0.0018     $ 0.0018                
Stock converted into debt, value                             3,923,251                
Debt instrument original amount                       $ 15,300,000                      
March Debentures and Exchange Debenture [Member] | March 2017 Offerings [Member] | Series A Warrant [Member]                                              
Warrants exercisable                     146,600,000 146,600,000     146,600,000                
Warrant term                       5 years                      
March Debentures and Exchange Debenture [Member] | March 2017 Offerings [Member] | Series B Warrant [Member]                                              
Warrants exercisable                     90,100,000 90,100,000     90,100,000                
Warrant term                       18 months                      
March Debentures and Exchange Debenture [Member] | March 2017 Offerings [Member] | Series C Warrant [Member]                                              
Warrants exercisable                     145,600,000 145,600,000     145,600,000                
Warrant term                       5 years                      
June Debentures [Member] | June 2017 Offerings [Member]                                              
Warrants to purchase common stock                                       200      
June 2017 Offerings [Member]                                              
Warrants to purchase common stock                                         133 67  
Exercise price of warrants                                         $ 2,850 $ 2,925  
July 2017 Offerings [Member]                                              
Debt instrument face amount           $ 4,136,862                                  
Warrants to purchase common stock           283                                  
Exercise price of warrants                     $ 2,815 $ 2,815     $ 2,815                
July Offerings [Member]                                              
Debt instrument of exchange price           $ 1,902,700                                  
Debt instrument maturity date           Oct. 17, 2017                                  
Warrant consideration in cash           $ 2,000,000                                  
July Debentures [Member]                                              
Debt instrument of exchange price         $ 6,400,000                                    
September 2017 Offerings [Member]                                              
Debt instrument face amount         2,604,000                                    
Debt instrument of exchange price         $ 4,136,862                                    
Debt instrument maturity date         Sep. 19, 2019                                    
Interest expenses                       $ 1,000,000                      
Debt original issue discount, percentage                     24.00% 24.00%     24.00%                
Amortization of debt discount                       $ 100,000                      
Debenture description                       On each monthly amortization date, the Company may elect to repay 5% of the original principal amount of September Debentures in cash or, in lieu thereof, the conversion price of such September Debentures shall thereafter be 85% of the volume weighted average price at the time of conversion, but not less than the floor of $.78 per share.                      
Proceeds from offerings         $ 2,100,000                                    
September 2017 Offerings [Member] | September Warrants [Member]                                              
Exercise price of warrants                     $ 0.78 $ 0.78   $ 0.78 $ 0.78                
September 2017 Offerings [Member] | Series A Warrant [Member]                                              
Warrants to purchase common stock         34,677,585           11,559,195 11,559,195     11,559,195                
Warrant term                       5 years                      
September 2017 Offerings [Member] | Series B Warrant [Member]                                              
Warrants to purchase common stock         34,677,585           11,559,195 11,559,195     11,559,195                
Warrant term                       18 months                      
September 2017 Offerings [Member] | Series C Warrant [Member]                                              
Warrants to purchase common stock         34,677,585           11,559,195 11,559,195     11,559,195                
Warrant term                       5 years                      
September Debenture [Member]                                              
Debt instrument of exchange price     1,741,580   $ 6,412,136                                    
Stock converted into debt     $ 1,741,580 $ 1,384,556                                      
Stock converted into debt, value     2,176.9 1,730.1                                      
Loss on exchange of stock     $ 819,561 $ 651,562                                      
2018 Offerings [Member]                                              
Debt instrument face amount                               $ 6,810,000 $ 6,810,000 $ 6,810,000 $ 6,810,000        
Debt instrument maturity date                       Sep. 19, 2019                      
Conversion price per share                     $ 260 $ 260     $ 260                
Proceeds from offerings                       $ 5,500,000                      
Original issue discount                       131000000.00%                      
Debentures and Warrants [Member]                                              
Proceeds from debt                       $ 23,700,000   $ 23,700,000                  
Amortization of debt discount                       16,000,000 14,700,000                    
Proceeds from issuance warrants                       23,700,000   $ 23,700,000                  
Unamortized Discount                     $ 7,300,000 7,300,000     $ 7,300,000                
Non-cash interest and amortization of debt discount expense                       $ 16,000,000 $ 14,700,000