Annual report pursuant to Section 13 and 15(d)

LONG TERM DEBT TO RELATED PARTIES (Summary of Note Issuances) (Details)

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LONG TERM DEBT TO RELATED PARTIES (Summary of Note Issuances) (Details) - USD ($)
12 Months Ended
Dec. 31, 2016
Dec. 31, 2015
Principal $ 575,000  
Discount Recognized 402,500  
Amortization Expense 13,405  
Carry Amount $ 185,905 $ 122,260
Debt Issued One [Member]    
Issuance Date Sep. 26, 2016  
Maturity Date Sep. 26, 2021  
Principal $ 100,000  
Discount Recognized 70,000  
Amortization Expense 3,692  
Carry Amount $ 33,692  
Debt Issued Two [Member]    
Issuance Date Oct. 14, 2016  
Maturity Date Oct. 14, 2021  
Principal $ 100,000  
Discount Recognized 70,000  
Amortization Expense 3,024  
Carry Amount $ 33,024  
Debt Issued Three [Member]    
Issuance Date Oct. 31, 2016  
Maturity Date Oct. 31, 2021  
Principal $ 100,000  
Discount Recognized 70,000  
Amortization Expense 2,372  
Carry Amount $ 32,372  
Debt Issued Four [Member]    
Issuance Date Nov. 03, 2016  
Maturity Date Nov. 03, 2021  
Principal $ 50,000  
Discount Recognized 35,000  
Amortization Expense 1,120  
Carry Amount $ 16,120  
Debt Issued Five [Member]    
Issuance Date Nov. 11, 2016  
Maturity Date Nov. 11, 2021  
Principal $ 100,000  
Discount Recognized 70,000  
Amortization Expense 1,934  
Carry Amount $ 31,934  
Debt Issued Six [Member]    
Issuance Date Nov. 21, 2016  
Maturity Date Nov. 21, 2021  
Principal $ 50,000  
Discount Recognized 35,000  
Amortization Expense 775  
Carry Amount $ 15,775  
Debt Issued Seven [Member]    
Issuance Date Dec. 15, 2016  
Maturity Date Dec. 15, 2021  
Principal $ 75,000  
Discount Recognized 52,500  
Amortization Expense 488  
Carry Amount $ 22,988