XML 131 R32.htm IDEA: XBRL DOCUMENT v3.25.3
Segment Information and Revenue Disaggregation (Tables)
6 Months Ended 12 Months Ended
Jun. 30, 2025
Dec. 31, 2024
Segment Reporting Information [Line Items]    
Schedule of Details the Revenue, Significant expenses and Other Segment

The following table details the revenues, significant expenses and other segment items regularly provided to the CODM:

  

                                                 
   Three Months Ended June 30, 2025   Three Months Ended June 30, 2024   Six Months Ended June 30, 2025   Six Months Ended June 30, 2024 
   Singing           Singing           Singing           Singing         
   Machine   SemiCab   Total   Machine   SemiCab   Total   Machine   SemiCab   Total   Machine   SemiCab   Total 
Revenues  $1,564,000   $1,152,000   $2,716,000   $2,440,000   $     -   $2,440,000   $3,434,000   $1,275,000   $4,709,000   $4,866,000   $    -   $4,866,000 
Less:                                                            
Adjusted cost of revenues   270,000    1,492,000    1,762,000    2,116,000    -    2,116,000    1,634,000    1,621,000    3,255,000    4,040,000    -    4,040,000 
Adjusted sales and marketing   234,000    -    234,000    547,000    -    547,000    998,000    -    998,000    1,177,000    -    1,177,000 
Adjusted general and administrative (1)   751,000    744,000    1,495,000    1,982,000    -    1,982,000    2,684,000    1,224,000    3,908,000    4,070,000    -    4,070,000 
Adjusted depreciation and amortization   28,000    17,000    45,000    54,000    -    54,000    61,000    32,000    93,000    106,000    -    106,000 
Adjusted impairement of ROU lease   -    -    -    3,878,000    -    3,878,000    -    -    -    3,878,000    -    3,878,000 
Share based compensation   (38,000)   -    (38,000)   17,000    -    17,000    47,000    -    47,000    36,000    -    36,000 
Change in fair value of warrant liability   -    -    -    -    -    -    6,468,000    -    6,468,000    -    -    - 
Gain on disposal of fixed assets   -    -    -    -    -    -    -    -    -    -    -    - 
Loss on issuance of warrants   -    -    -    -    -    -    -    -    -    -    -    - 
Interest expense   9,000    18,000    27,000    17,000    -    17,000    9,000    34,000    43,000    45,000    -    45,000 
Other income (expense), net   -    -    -    -    -    -    -    -    -    -    -    - 
Income tax provision   -    -    -    (52,000)   -    (52,000)   -    -    -    -    -    - 
Segment net loss  $310,000   $(1,119,000)  $(809,000)  $(6,119,000)  $-   $(6,119,000)  $(8,467,000)  $(1,636,000)  $(10,103,000)  $(8,486,000)  $-   $(8,486,000)
                                                             
Total segment assets  $5,244,000   $3,033,000   $8,277,000   $12,367,000   $-   $12,367,000   $5,244,000   $3,033,000   $8,277,000   $12,367,000   $-   $12,367,000 

 

(1)Excludes depreciation and amortization, share-based compensation, impairment of goodwill and impairment of a note receivable.
 
Schedule of Reconcilation of Segment Assets to Consolidated

The following reconciles total segment assets to consolidated total assets as of June 30, 2025:

 

   June 30,   December 31, 
   2025   2024 
Total segment assets  $8,277,000   $17,516,000 
Goodwill   4,418,000    786,000 
Total assets  $12,695,000   $18,302,000 

 

 
Schedule of Revenue by Product Line

The Company’s product lines consist of AI-enabled software logistics services and home karaoke consumer products. Revenue by product line for the three and six months ended June 30, 2025 and 2024 was as follows:

  

 

             
   Three Months Ended   Six Months Ended 
Product Line  June 30, 2025   June 30, 2024   June 30, 2025   June 30, 2024 
                 
Karaoke machines  $1,533,000   $1,257,000   $2,275,000   $2,308,000 
Licensed products   1,000    107,000    15,000    198,000 
Kids youth electronics   103,000    102,000    170,000    171,000 
Microphones and accessories   (260,000)   865,000    523,000    1,818,000 
Music subscriptions   187,000    109,000    451,000    371,000 
Logistics services   1,152,000    -    1,275,000    - 
 Total revenue  $2,716,000   $2,440,000   $4,709,000   $4,866,000 
 
Schedule of Revenue by Revenue by Geographic Region

The geographic region of sales is based primarily on where the product and services were delivered. Revenue by geographic region for the three and six months ended June 30, 2025 and 2024 was:

  

Geographic Area            
   Three Months Ended   Six Months Ended 
Geographic Area  June 30, 2025   June 30, 2024   June 30, 2025   June 30, 2024 
North America  $1,410,000   $2,316,000   $3,403,000   $4,742,000 
Australia   46,000    124,000    46,000    124,000 
India   1,137,000    -    1,137,000    - 
All Others   123,000    -    123,000    - 
 Total revenue  $2,716,000   $2,440,000   $4,709,000   $4,866,000 
 
Previously Reported [Member]    
Segment Reporting Information [Line Items]    
Schedule of Details the Revenue, Significant expenses and Other Segment  

The following table details the revenues, significant expenses and other segment items regularly provided to the CODM:

 

 

                               
   Year Ended December 31, 2024   Nine Months Ended  December 31, 2023 
   Singing
Machine
   SemiCab   Total   Singing
Machine
   SemiCab   Total 
Revenues  $23,197,000   $297,000   $23,494,000   $29,198,000   $-   $29,198,000 
Less:                              
Adjusted cost of revenues   18,222,000    491,000    18,713,000    23,008,000    -    23,008,000 
Adjusted sales and marketing   2,874,000    -    2,874,000    3,717,000    -    3,717,000 
Adjusted general and administrative (1)   9,935,000    1,014,000    10,949,000    8,219,000    -    8,219,000 
Adjusted depreciation and amortization   191,000    31,000    222,000    287,000    -    287,000 
Share based compensation   578,000    52,000    630,000    110,000    -    110,000 
Impairment of goodwill   -    3,592,000    3,592,000    -    -    - 
Impairment of note receivable   -    439,000    439,000    -    -    - 
Change in fair value of warrant liability   (334,000)   -    (334,000)   -    -    - 
Gain on disposal of fixed assets   -    -    -    (44,000)   -    (44,000)
Loss on issuance of warrants   8,889,000    -    8,889,000    -    -    - 
Interest expense   1,660,000    227,000    1,887,000    299,000    -    299,000 
Segment net loss  $(18,818,000)  $(5,549,000)  $(24,367,000)  $(6,398,000)  $-   $(6,398,000)
Total segment assets  $16,301,000   $1,215,000   $17,516,000                

 

(1) Excludes depreciation and amortization, share-based compensation, impairment of goodwill and impairment of a note receivable.
Schedule of Reconcilation of Segment Assets to Consolidated  

The following reconciles total segment assets to consolidated total assets as of December 31, 2024:

  

December 31,

2024

 
Total segment assets  $17,516,000 
Goodwill   786,000 
Total assets  $18,302,000 
Schedule of Revenue by Product Line  

Revenue by product line is as follows:

 

Product Line  Year Ended
December 31, 2024
   Nine Months Ended
December 31, 2023
 
Classic Karaoke Machines  $16,516,000   $24,189,000 
Licensed Products   486,000    549,000 
Kids Youth Electronics   959,000    565,000 
Microphones and Accessories   4,411,000    3,283,000 
Music Subscriptions   825,000    612,000 
Logistics Services   297,000    - 
Total Net Sales  $23,494,000   $29,198,000 
Schedule of Revenue by Revenue by Geographic Region  

Revenue by geographic region is as follows:

 

   Year Ended
December 31, 2024
   Nine Months Ended
December 31, 2023
 
North America  $22,191,000    28,763,000 
Australia   1,075,000    205,000 
Europe and United Kingdom   184,000    226,000 
All Others   44,000    4,000 
Total Net Sales  $23,494,000    29,198,000