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Loans Payable (Tables)
3 Months Ended 12 Months Ended
Sep. 30, 2016
Jun. 30, 2016
Debt Disclosure [Abstract]    
Schedule of Loans Payable and Long-Term Debt
 
 
Total
 
 
Maturity Date
Facility Amount
September 30, 2016
June 30, 2016
Convertible Debentures (the "Debentures"), net of discount
7/11/2017
$
4,444

$
3,155

$

Secured Convertible Promissory Note (the "Secured Convertible Note")
7/8/2017
3,000

3,500


Line of Credit Promissory Note (the "Note")
10/24/2017
20,000


19,716

Line of Credit Grid Note (the "Grid Note")
12/31/2016
10,000

900

4,563

Secured Line of Credit (the "Secured Revolving Loan I")
12/31/2016
1,500


1,500

Secured Line of Credit (the "Secured Revolving Line of Credit")
12/31/2016
500


500

Secured Revolving Loan (the "Secured Revolving Loan")
12/31/2016
500


500

Secured Revolving Loan II (the "Secured Revolving Loan II")
12/31/2016
500


500

Secured Revolving Loan III (the "Secured Revolving Revolving Loan III")
12/31/2016
1,200


135

Convertible Promissory Note (the "RI Convertible Note")
12/31/2016
300

300

300

MGT Promissory Notes (the "MGT Promissory Notes")
7/31/2016
2,109

943

943

Kuusamo Promissory Notes (the "Kuusamo Promissory Notes")
3/8/2016
141

55

55

Total Loans Payable, net
 
 
$
8,853

$
28,712


 
 
Total
Outstanding Balances
Facility Name
Maturity Date
Facility Amount
June 30, 2016
June 30, 2015
 
 
 
 
 
Term Loan Agreement ("DB Line")
Retired
$
15,000

$

$

Line of Credit Promissory Note (the "Note")
10/24/2017
20,000

19,716

19,516

Unsecured Demand Loans (the "Loans")
On Demand


1,575

Line of Credit Grid Note (the "Grid Note")
12/31/2016
10,000

4,563

3,000

Secured Line of Credit (the "Secured Revolving Loan I")
12/31/2016
1,500

1,500


Secured Line of Credit (the "Secured Revolving Line of Credit")
12/31/2016
500

500


Secured Revolving Loan (the "Secured Revolving Loan")
12/31/2016
500

500


Secured Revolving Loan II (the "Secured Revolving Loan II")
12/31/2016
500

500


Secured Revolving Loan III (the "Secured Revolving Revolving Loan III")
12/31/2016
1,200

135


Convertible Promissory Note (the "RI Convertible Note")
12/31/2016
300

300


MGT Promissory Notes (the "MGT Promissory Notes")
7/31/2016
2,109

943


Kuusamo Promissory Notes (the "Kuusamo Promissory Notes")
3/8/2016
141

55


Total Loans Payable
 
 
$
28,712

$
24,091

Schedule of Long-term Debt Instruments  
During the year ended June 30, 2015, Mr. Sillerman made the following demand loans (the "Loans") to the Company:

Date
Amount
 
 
December 19, 2014
$
2,000

 
January 14, 2015
2,000

 
January 30, 2015
2,000

 
February 13, 2015
750

 
February 26, 2015
1,000

 
March 2, 2015
1,000

 
March 16, 2015
3,000

 
April 20, 2015
1,000

 
May 5, 2015
500

 
May 14, 2015
325

 
Total
$
13,575