Annual report pursuant to Section 13 and 15(d)

Stockholders' Equity - Schedule of Fair Value Assumptions of Warrant Derivative Liability (Details)

v3.7.0.1
Stockholders' Equity - Schedule of Fair Value Assumptions of Warrant Derivative Liability (Details) - USD ($)
3 Months Ended 12 Months Ended
Dec. 31, 2015
Dec. 31, 2016
Sep. 30, 2015
Fair value of warrants $ 64,800
September Warrant [Member]      
Risk free rate   1.14%  
Volatility   37.80%  
Dividends   0.00%  
Time to maturity   5 years  
Fair value per share price   $ .06111  
Fair value of warrants   $ 143,200  
November Warrant [Member]      
Risk free rate   1.50%  
Volatility   37.40%  
Dividends   0.00%  
Time to maturity   5 years  
Fair value per share price   $ .1544  
Fair value of warrants   $ 386,000  
September Warrant December 31, 2016 Revaluation [Member]      
Risk free rate   1.91%  
Volatility   37.53%  
Dividends   0.00%  
Time to maturity   4 years 9 months  
Fair value per share price   $ .0724  
Fair value of warrants   $ 169,700  
November Warrant December 31, 2016 Revaluation [Member]      
Risk free rate   1.92%  
Volatility   37.40%  
Dividends   0.00%  
Time to maturity   4 years 10 months 13 days  
Fair value per share price   $ .1697  
Fair value of warrants   $ 424,300