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Bonds Payable (Details) - Schedule of bonds payable (Parentheticals)
3 Months Ended
Sep. 30, 2008
USD ($)
Schedule of bonds payable [Abstract]  
Bond maturity date. description The Bonds are Euro-denominated, unregistered, and were issued on October 25, 2019 at an initial nominal amount of approximately $9.1 million, less discount and issuance costs of approximately $0.7 million. The Bonds accrue interest at a stated interest rate of 6.00% per annum, due semi-annually in arrears, with the first interest payment due on April 30, 2020. The maturity date of the Bonds is October 30, 2020
Amount of unamortized balance discount $ 381,000
Amortization discount 42,000
Bond issuance costs amount 339,000
Amortization of bond discount 188,000
Translation gain (loss) amount 506,100
Original issuance discount $ 399,628
Percentage of conversion of bonds 50.00%
Percentage of prepayment of bonds 103.00%