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Supplemental Financial Information (Tables)
9 Months Ended
Mar. 31, 2026
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of inventories
          
   March 31,   June 30, 
   2026   2025 
   (In thousands) 
Finished goods  $15,291   $15,603 
Raw materials   11,131    10,768 
Inventories  $26,422   $26,371 
Schedule of other liabilities
        
   March 31,   June 30, 
   2026   2025 
   (In thousands) 
Current        
Accrued variable consideration  $1,783   $2,557 
Customer deposits and refunds   334    321 
Accrued raw materials purchases   292    204 
Deferred revenue   3,105    3,301 
Lease liability   1,546    1,594 
Taxes payable   151    103 
Warranty reserve   647    663 
Other accrued operating expenses   2,645    1,879 
Total other current liabilities  $10,503   $10,622 
           
Non-current          
Lease liability  $6,638   $7,811 
Deferred tax liability   204    172 
Deferred revenue   1,922    2,255 
Total other non-current liabilities  $8,764   $10,238 
Schedule of computation of net loss per share
                    
   Three Months Ended   Nine Months Ended 
   March 31,   March 31, 
   2026   2025   2026   2025 
   (In thousands, except per share data) 
Numerator:                
Net loss  $(1,181)  $(3,868)  $(3,912)  $(8,742)
Denominator:                    
Weighted-average common shares outstanding - basic and diluted   39,731    38,820    39,472    38,493 
                     
Net loss per share - basic and diluted  $(0.03)  $(0.10)  $(0.10)  $(0.23)
Schedule of anti-dilutive securities
                
   Three Months Ended   Nine Months Ended 
   March 31,   March 31, 
   2026   2025   2026   2025 
   (In thousands) 
Common stock equivalents   1,080    579    1,002    577 
Schedule of intangible assets
                              
   March 31, 2026   June 30, 2025 
   Gross Carrying Amount   Accumulated Amortization   Net Book Value   Gross Carrying Amount   Accumulated Amortization   Net Book Value 
   (In thousands) 
Developed technology  $6,793   $(6,244)  $549   $6,793   $(6,066)  $727 
Customer relationships   19,115    (17,371)   1,744    19,116    (16,321)   2,795 
Order backlog   297    (297)       297    (149)   148 
Trademark and trade name   91    (57)   34    1,516    (1,448)   68 
   $26,296   $(23,969)  $2,327   $27,722   $(23,984)  $3,738 
Schedule of future estimated amortization expense
     
Years Ending June 30,    
(In thousands)     
2026 (remainder)  $150 
2027   539 
2028   256 
2029   191 
2030   191 
Thereafter   1,000 
Total future amortization  $2,327 
Schedule of severance and related charges
     
   Nine Months Ended 
   March 31, 
   2026 
   (In thousands) 
Beginning balance  $479 
Charges   424 
Payments   (777)
Ending balance  $126 
Schedule of non-cash investing transactions
          
   Nine Months Ended 
   March 31, 
   2026   2025 
    (In thousands) 
Acquisition of property through operating leases  $84   $796 
Acquisition of property through financing leases  $7   $ 
Accrued property and equipment paid for in the subsequent period  $62   $8