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Supplemental Financial Information (Tables)
3 Months Ended
Sep. 30, 2023
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of inventories
          
   September 30,   June 30, 
   2023   2023 
   (In thousands) 
Finished goods  $22,339   $25,670 
Raw materials   23,457    24,066 
Inventories  $45,796   $49,736 
Schedule of other liabilities
          
   September 30,   June 30, 
   2023   2023 
   (In thousands) 
Current          
Accrued variable consideration  $2,139   $2,167 
Customer deposits and refunds   21,102    16,344 
Accrued raw materials purchases   316    267 
Deferred revenue   2,768    2,493 
Lease liability   1,942    1,859 
Taxes payable   393    647 
Warranty reserve   807    788 
Other accrued operating expenses   4,595    4,248 
Total other current liabilities  $34,062   $28,813 
           
Non-current          
Lease liability  $9,884   $10,425 
Deferred tax liability   215    146 
Deferred revenue   1,086    888 
Total other non-current liabilities  $11,185   $11,459 
Schedule of computation of net income (loss) per share
Schedule of computation of net income (loss) per share          
   Three Months Ended 
   September 30, 
   2023   2022 
   (In thousands, except per share data) 
Numerator:          
Net loss  $(1,886)  $(1,653)
Denominator:          
Weighted-average common shares outstanding - basic and diluted   36,982    35,406 
           
Net loss per share - basic and diluted  $(0.05)  $(0.05)
Schedule of antidilutive securities
        
   Three Months Ended 
   September 30, 
   2023   2022 
   (In thousands) 
Common stock equivalents   667    948 
Schedule of purchased intangible assets
                              
   September 30, 2023   June 30, 2023 
   Gross Carrying Amount   Accumulated Amortization   Net Book Value   Gross Carrying Amount   Accumulated Amortization   Net Book Value 
   (In thousands) 
Developed technology  $6,331   $(4,234)  $2,097   $6,331   $(3,881)  $2,450 
Customer relationships   17,528    (10,444)   7,084    17,528    (9,487)   8,041 
Trademark and trade name   1,425    (1,425)       1,425    (1,351)   74 
   $25,284   $(16,103)  $9,181   $25,284   $(14,719)  $10,565 
Schedule of future estimated amortization expense
     
Years Ending June 30,    
(In thousands)    
2024 (remainder)  $3,930 
2025   3,685 
2026   1,177 
2027   326 
2028   63 
Total  $9,181 
Schedule of severance and related charges
     
   Three Months Ended 
   September 30, 
   2023 
   (In thousands) 
Beginning balance  $97 
Charges   20 
Payments   (101)
Ending balance  $16 
Schedule of non-cash investing transactions
        
   Three Months Ended 
   September 30, 
   2023   2022 
   (In thousands) 
Accrued property and equipment paid for in the subsequent period  $339   $589