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Investments
12 Months Ended
Jun. 30, 2023
Investments [Abstract]  
Investments 4.    INVESTMENTS

The following table summarizes the unrealized positions for the held-to-maturity debt securities as of June 30, 2023:

TThe

Amortized cost basis

Gross unrealized gains

Gross unrealized losses

Fair Value

US Treasury securities

$

17,064,274

$

$

93,740

$

16,970,534

Total

$

17,064,274

$

$

93,740

$

16,970,534

There were no investments held at June 30, 2022.

The following table summarizes the fair value and amortized cost basis of the held-to-maturity debt securities by contractual maturity as of June 30, 2023:

Amortized Cost Basis

Fair value

Due within one year

$

17,064,274

$

16,970,534

Total

$

17,064,274

$

16,970,534