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Investment Securities
12 Months Ended
Jun. 30, 2023
Investment Securities [Abstract]  
Investment Securities

Note 4. Investment Securities

Investment securities at June 30, 2023 consist of certificates of deposit, municipal bonds and U.S. treasury bills and at June 30, 2022, consisted of certificates of deposit and municipal bonds. The Company classifies investment securities as available-for-sale which have been determined to be level 1 assets.  The cost, gross unrealized gains, gross unrealized losses and fair value debt securities by major security type at June 30, 2023 and June 30, 2022 are as follows:

 

       Gross   Gross     
   Amortized   Unrealized   Unrealized   Fair 
   Cost   Gains   Losses   Value 
June 30, 2023                
Certificates of deposit  $11,280,000   $
   $
   $11,280,000 
Municipal bonds  $260,475   $165   $(7,843)  $252,797 
U.S. Treasury Bills  $430,952   $1,225   $(301)  $431,876 
Total investment securities  $11,971,427   $1,390   $(8,144)  $11,964,673 

 

       Gross   Gross     
   Amortized   Unrealized   Unrealized   Fair 
   Cost   Gains   Losses   Value 
June 30, 2022                
Certificates of deposit  $3,639,000   $
   $
   $3,639,000 
Municipal bonds  $72,225   $
   $(2,446)  $69,779 
Total investment securities  $3,711,225   $
   $(2,446)  $3,708,779 

 

The portfolio is diversified and highly liquid and primarily consists of investment grade fixed income instruments. At June 30, 2023, the Company did not have any investments in individual securities that have been in a continuous loss position considered to be other than temporary.

As of June 30, 2023 and June 30, 2022, the remaining contractual maturities of available-for-sale debt securities were as follows:

   Years to Maturity     
   Less than   One to     
   One Year   Five Years   Total 
June 30, 2023               
Available-for-sale  $11,711,876   $252,797   $11,964,673 
                
June 30, 2022               
Available-for-sale  $3,639,000   $69,779   $3,708,779