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Note I - Stockholders' Equity (Tables)
12 Months Ended
Jun. 30, 2022
Notes Tables  
Class of Treasury Stock [Table Text Block]
  

Shares

  

Average Cost

  

Total Cost (in thousands)

 

Shares purchased under Repurchase Plan

  406,817  $12.76  $5,190 

Shares acquired from employees for restricted stock vesting

  28,263   11.08   313 

Total

  435,080     $5,503 
  

Shares

  

Average Cost

  

Total Cost (in thousands)

 

Shares purchased under Repurchase Plan

  385,822  $8.28  $3,197 

Shares acquired in connection with stock option exercises

  30,442   9.95   303 

Shares acquired from employees for restricted stock vesting

  47,228   13.69   647 

Total

  463,492      $4,147 
Share-Based Payment Arrangement, Option, Activity [Table Text Block]
  

2009
Plan

  

Weighted
Average
Exercise

Price

  

Weighted
Average
Contractual
Term
(in years)

  

Aggregate

Intrinsic
Value

 

Vested and exercisable at June 30, 2020

  130,000  $6.28         

Exercised

  (130,000

)

 $6.28         

Forfeited

    $         

Granted

    $         

Outstanding at June 30, 2021

    $     $ 

Vested and exercisable at June 30, 2021

    $     $ 
Share-Based Payment Arrangement, Restricted Stock and Restricted Stock Unit, Activity [Table Text Block]
  

Number of

Shares

2009 Plan

  

Weighted

Average Grant

Date Fair

Value

 

Nonvested at June 30, 2021

  61,324  $11.47 

Granted

    $ 

Vested

  (51,326

)

 $11.52 

Forfeited

  (8,332

)

 $10.88 

Nonvested at June 30, 2022

  1,666  $8.50 

Available for grant at June 30, 2022

       
  

Number of

Shares

2020 Plan

  

Weighted

Average Grant

Date Fair

Value

 

Nonvested at June 30, 2021

  87,773  $16.81 

Granted

  135,850  $10.99 

Vested

  (25,896

)

 $16.81 

Forfeited

  (11,500

)

 $16.81 

Nonvested at June 30, 2022

  186,227  $12.56 

Available for grant at June 30, 2022

  472,377     
  

Number of

Shares

2009 Plan

  

Weighted

Average Grant

Date Fair

Value

 

Nonvested at June 30, 2020

  197,650  $11.06 

Granted

    $ 

Vested

  (136,326

)

 $10.88 

Forfeited

    $ 

Nonvested at June 30, 2021

  61,324  $11.47 

Available for grant at June 30, 2021

       
  

Number of

Shares

2020 Plan

  

Weighted

Average Grant

Date Fair

Value

 

Nonvested at June 30, 2020

    $ 

Granted

  91,773  $16.81 

Vested

  (4,000

)

 $16.81 

Forfeited

    $ 

Nonvested at June 30, 2021

  87,773  $16.81 

Available for grant at June 30, 2021

  608,227