v3.26.1
INVESTMENTS (Summary of Held-to-Maturity Debt Securities by Contractual Maturity) (Details) - USD ($)
Jun. 30, 2026
Jun. 30, 2025
Amortized cost basis    
Due within one year $ 4,001,624  
Due after one year through five years 12,906,381  
Amortized Cost Basis 16,908,005  
Due within one year   $ 12,879,882
Due after one year through five years   4,000,774
Amortized Cost Basis 16,908,005 16,880,656
Fair Value    
Due within one year 4,005,883  
Due after one year through five years 12,797,173  
Fair Value 16,803,056  
Due within one year   12,909,183
Due after one year through five years   4,022,951
Fair Value $ 16,803,056 $ 16,932,134