v3.26.3
LIQUIDITY (Details Narrative) - USD ($)
12 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Mar. 28, 2025
Collaborative Arrangement and Arrangement Other than Collaborative [Line Items]      
Net cash provided used in operating activities $ 3,899,000 $ (2,148,000)  
Capital expenditure 2,199,000    
Cash and cash equivalents 4,982,000 4,470,000  
Restricted cash 8,440,000 7,252,000  
Marketable securities 200,000 $ 127,000  
Inter Group Corporation [Member]      
Collaborative Arrangement and Arrangement Other than Collaborative [Line Items]      
Borrowing capacity $ 40,000,000    
Facility bears interest, percentage 9.00%    
Line of credit facility outstanding $ 38,108,000    
Remaining borrowing capacity $ 1,892,000    
Minimum [Member]      
Collaborative Arrangement and Arrangement Other than Collaborative [Line Items]      
Debt yield requirements, percentage 11.00%    
Second Extension [Member]      
Collaborative Arrangement and Arrangement Other than Collaborative [Line Items]      
Debt yield requirements, percentage 13.00%    
Third Extension [Member]      
Collaborative Arrangement and Arrangement Other than Collaborative [Line Items]      
Debt yield requirements, percentage 14.00%    
Mortgage Loan Agreement [Member]      
Collaborative Arrangement and Arrangement Other than Collaborative [Line Items]      
Debt instrument, face amount $ 67,000,000   $ 67,000,000
Mezzanine Loan Agreement [Member]      
Collaborative Arrangement and Arrangement Other than Collaborative [Line Items]      
Debt instrument, face amount $ 36,300,000   $ 36,300,000
Debt instrument, maturity date Apr. 09, 2027    
Loan Agreement [Member]      
Collaborative Arrangement and Arrangement Other than Collaborative [Line Items]      
Debt yield requirements, percentage 13.90%