Liquidity, Financial Condition and Management's Plans (Details) - USD ($)
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3 Months Ended |
9 Months Ended |
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Nov. 07, 2016 |
Jun. 30, 2016 |
Sep. 30, 2016 |
Sep. 30, 2015 |
Sep. 30, 2016 |
Sep. 30, 2015 |
Dec. 31, 2015 |
Dec. 31, 2014 |
| Line of Credit Facility [Line Items] |
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| Accumulated deficit |
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$ 46,868,775
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$ 46,868,775
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$ 43,349,734
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| Net loss |
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1,273,134
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$ 31,806,672
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3,519,041
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$ 34,438,321
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| Net cash used in operating activities |
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2,488,580
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4,206,779
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| Cash and cash equivalents |
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515,963
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3,881,217
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515,963
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3,881,217
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2,070,693
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$ 1,519,467
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| Revenues |
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6,360,167
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$ 9,221,179
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20,554,338
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30,011,956
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| Working capital deficit |
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10,597,000
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10,597,000
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$ 9,199,000
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| Proceeds from line of credit |
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1,942,625
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| Net proceeds from sale of stock |
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$ 5,235,300
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| Revolving Credit Facility [Member] |
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| Line of Credit Facility [Line Items] |
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| Borrowing capacity |
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5,000,000
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5,000,000
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| Amount drawn on line of credit above availability |
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791,000
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$ 791,000
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| Proceeds from line of credit |
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$ 1,572,576
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$ 370,050
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| Subsequent Event [Member] |
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| Line of Credit Facility [Line Items] |
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| Sale of common stock, shares |
1,777,417
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| Sale of common stock, value |
$ 9,000,000
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| Sale of common stock, price per share |
$ 9.60
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| Gross proceeds from sale of stock |
$ 17,100,000
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| Net proceeds from sale of stock |
$ 14,100,000
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| Repurchase of stock for sale, shares |
312,500
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| Repurchase of stock for sale, value |
$ 3,000,000
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| Subsequent Event [Member] | Revolving Credit Facility [Member] |
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| Line of Credit Facility [Line Items] |
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| Repayments of line of credit |
$ 827,679
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