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DEBT Convertible Notes (Details) (Convertible Debt Securities [Member], USD $)
12 Months Ended
Jun. 30, 2013
Convertible Debt Securities [Member]
 
Debt Instrument [Line Items]  
Convertible notes $ 13,250,000
Convertible notes, maturity date Feb. 13, 2017
Convertible notes, interest rate, stated 8.00%
Convertible notes issuance cost 200,000
Convertible notes, noncurrent 13,250,000
Convertible notes, current maturities 0
Threashold of ownership % to determine payment terms of interest 20.00%
Number of trading days used for calculation of number of common shares for interest payment 20
Stock price floor for interest payments paid in common stock $ 0.98
Convertible notes, interest expense $ 400,000
Conversion price $ 1.30
Multiplier of conversion price for automatic conversion trigger 2
Number of trading days at multiplied conversion price before automatic conversion 10
Notes secured by percentage of foreign subsidiaries stock 65.00%
Default on debt, interest rate 11.00%
Convertible notes, covenant compliance June 30, 2013