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Acquisition (Tables)
3 Months Ended
Sep. 30, 2021
Business Combination and Asset Acquisition [Abstract]  
Summary of purchase consideration
     
Cash consideration paid to CSI  $23,651 
Preliminary estimated fair value of earnout consideration   346 
Total purchase consideration  $23,997 
Schedule of purchase price allocation
     
Cash and cash equivalents   22 
Accounts receivable, net   5,156 
Inventories, net   7,830 
Prepaid expense and other current assets   355 
Property and equipment, net   121 
Goodwill   2,460 
Amortizable intangible assets   11,234 
Accounts payable   (1,872)
Accrued Payroll   (9)
Other current liabilities   (1,300)
Total consideration  $23,997 
Schedule of acquired indefinite -lived intangible assets of useful lives
          
   Asset Fair Value   Weighted Average Useful Life 
   (In thousands)   (In years) 
Customer relationships  $7,678    3.5 
Developed technology   1,967    3.5 
Order backlog   737    1.0 
Trademarks and trade names   852    2.0 
Schedule of supplemental pro forma data
          
   Three Months Ended September 30, 
   2021   2020 
   (In thousands, except per share amounts) 
Pro forma net revenue  $30,492   $25,901 
Pro forma net loss  $(1,509)  $(1,685)
           
Pro forma net loss per share          
Basic and Diluted  $(0.05)  $(0.06)