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LIQUIDITY (Details Narrative) - USD ($)
1 Months Ended 9 Months Ended
Mar. 31, 2025
Dec. 31, 2024
Jul. 31, 2023
Mar. 31, 2025
Mar. 31, 2024
Jun. 30, 2024
Collaborative Arrangement and Arrangement Other than Collaborative [Line Items]            
Net cash flow used for operations       $ 1,725,000 $ 1,782,000  
Cash and cash equivalents $ 4,017,000     4,017,000   $ 4,333,000
Restricted cash 9,377,000     9,377,000   4,361,000
Marketable securities 751,000     751,000   7,266,000
Borrowing capacity $ 40,000,000     40,000,000    
Maturity date, description July 31, 2027 The loan matures in January 2035.        
Additional borrowed amount       11,615,000    
Notes payable $ 2,121,000     2,121,000   2,388,000
Proceeds from refinance of mortgage notes payable   $ 9,800,000   88,600,000 $ 4,489,000  
Debt instrument, interest rate terms description   The new 10-year interest only loan has an interest rate of 5.40%.        
Multi-family and Commercial Real Estate [Member]            
Collaborative Arrangement and Arrangement Other than Collaborative [Line Items]            
Payments for capital improvements       1,329,000    
Portsmouth Square, Inc [Member] | Hotel [Member]            
Collaborative Arrangement and Arrangement Other than Collaborative [Line Items]            
Payments for capital improvements       912,000    
Portsmouth Square Inc and InterGroup [Member] | Loan Modification Agreement [Member]            
Collaborative Arrangement and Arrangement Other than Collaborative [Line Items]            
Maturity date, description     the note maturity date was extended to July 31, 2025      
Notes payable $ 38,108,000     $ 38,108,000   $ 26,493,000