v3.26.3
Note A - Organization and Summary of Significant Accounting Policies (Tables)
12 Months Ended
Jun. 30, 2026
Notes Tables  
Schedule of Cash and Cash Equivalents [Table Text Block]
  

2026

  

2025

 

Supplemental disclosures of cash flow information

        

Cash and cash equivalents

 $7,388  $12,325 

Restricted cash (1)

  86   — 

Cash, cash equivalents and restricted cash

 $7,474  $12,325 
Fair Value, by Balance Sheet Grouping [Table Text Block]
  

June 30,

 
  

2025

 

Swiss Franc Forward Contract – Current Assets

  368 

Total Derivative Contracts – Current Assets

  368 
     

Euro Forward Contract–Current Liabilities

  (1,704)

Swiss Franc Forward Contract – Current Liabilities

  (263)

Total Derivative Contracts – Current Liabilities

  (1,967)
     

Fair Value Net Asset – all Derivative Contracts

 $(1,599)
Contract with Customer, Contract Asset, Contract Liability, and Receivable [Table Text Block]
  

June 30, 2025

  

Additions

  

Revenue Recognized

  

Customer Refunds

  

June 30, 2026

 

Contract Liabilities (Customer Deposits)

 $1,364  $4,079  $(4,121) $(2) $1,320 
                     
  

June 30, 2024

  

Additions

  

Revenue Recognized

  

Customer Refunds

  

June 30, 2025

 

Contract Liabilities (Customer Deposits)

 $302  $4,371  $(3,309) $—  $1,364 
Schedule of Earnings Per Share, Basic and Diluted [Table Text Block]
  

For the Years Ended June 30,

 
  

2026

  

2025

 

Numerator

        

Net loss

 $(20,695) $(13,575)

Denominator

        

Basic weighted average common shares outstanding

  6,028   5,947 

Dilutive effect of stock options and restricted stock shares

  —   — 

Diluted weighted average common shares outstanding

  6,028   5,947 

Basic net loss per common share

 $(3.43) $(2.28)

Diluted net loss per common share

 $(3.43) $(2.28)