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Note 2 - Investments - Schedule of Allowance for Credit Loss on Held to Maturity Investments (Details) - USD ($)
$ in Thousands
6 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Balance $ 132 [1] $ 0
Allowance for credit losses [2] (58) (55)
Balance 74 [1] 177
Accounting Standards Update 2016-13 [Member] | Cumulative Effect, Period of Adoption, Adjustment [Member]    
Balance $ 0 $ 232
[1] Held-to-maturity debt instruments are carried at amortized cost, net of allowance for credit losses, and the fair value is classified as Level 2 according to the fair value hierarchy.
[2] Represents the change in present value attributable to the passage of time included in interest income.