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Fair Value Measurements (Tables)
12 Months Ended
Jun. 30, 2025
Fair Value Measurements  
Schedule of company's assets that were measured at fair value

Level 1

Level 2

Level 3

Total

June 30, 2025

Cash equivalents

Money market funds

66,355,000

-

-

66,355,000

Total

66,355,000

-

-

66,355,000

Marketable securities

U.S. Treasury Securities

10,243,000

-

-

10,243,000

Mutual funds

5,852,000

-

-

5,852,000

Total

16,095,000

-

-

16,095,000

June 30, 2024

Cash equivalents

Certificate of deposits

5,402,000

-

-

5,402,000

Money market funds

41,116,000

-

-

41,116,000

Total

46,518,000

-

-

46,518,000

Short-term investments

Certificate of deposits

26,980,000

-

-

26,980,000

Total

26,980,000

-

-

26,980,000

Marketable securities

Mutual funds

5,398,000

-

-

5,398,000

Total

5,398,000

-

-

5,398,000