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1. SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES (Tables)
6 Months Ended 12 Months Ended
Dec. 31, 2016
Jun. 30, 2016
Accounting Policies [Abstract]    
Schedule of Inventory
   December 31,
2016
   June 30,
2016
 
Raw Materials  $572,318   $520,490 
Work-In-Progress   317,294    383,889 
Finished Goods   208,279    229,072 
Total Inventories  $1,097,891   $1,133,451 
   2016   2015 
Raw material  $520,490   $485,266 
Work-in-progress   383,889    388,503 
Finished goods   229,072    199,487 
   $1,133,451   $1,073,256 
Estimated Useful Lives of Property and Equipment  
Asset Classification   Estimated Useful Life
Machinery and equipment   2-7 years
Leasehold improvements   Shorter of lease term or estimated useful life
Furniture and fixtures   5 years
Vehicles   3 years
Percent schedule of entity wide revenues  
   Year Ended June 30 
   2016   2015 
Customer A   16%    23% 
Customer B   1    15 
Customer C   12    11 
All others   71    51 
    100%    100% 
Schedule of earnings per share
   Three Months
Ended December 31
   Six Months
Ended December 31
 
   2016   2015   2016   2015 
Net Income (Loss) – Basic and Diluted  $(312,095)  $(281,310)  $(605,503)  $(663,200)
                     
Basic Weighted Average Shares Outstanding   8,104,800    7,230,169    7,822,191    6,809,988 
Potentially Dilutive Securities                
Diluted Weighted Average Shares Outstanding   8,104,800    7,230,169    7,822,191    6,809,988 
                     
Loss Per Share                    
Basic  $(0.04)  $(0.04)  $(0.08)  $(0.10)
Diluted  $(0.04)  $(0.04)  $(0.08)  $(0.10)
   Year Ended June 30 
   2016   2015 
Net Loss– Basic and Diluted  $(1,034,765)  $(1,178,793)
           
Basic Weighted Average Shares Outstanding   7,157,978    6,272,264 
Potentially Dilutive Securities        
Diluted Weighted Average Shares Outstanding   7,157,978    6,272,264 
           
Loss Per Share          
Basic  $(0.15)  $(0.19)
Diluted  $(0.15)  $(0.19)
Warranty reserve activity  
   2016   2015 
Balance at beginning of period  $25,000   $25,000 
Provision for warranty claims   4,189    32,477 
Warranty claims incurred   (4,189)   (32,477)
Balance at end of period  $25,000   $25,000