Annual report pursuant to Section 13 and 15(d)

Note 13 - Debt (Detail) - Notes payable consisted of the following:

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Note 13 - Debt (Detail) - Notes payable consisted of the following: (USD $)
Jun. 30, 2012
Jun. 30, 2011
Current Maturities $ (572,694) $ (947,113)
Long-Term Maturities 260,107 285,472
Current Maturities 1,896,238 7,062,535
D & O Insurance [Member]
   
As of 89,996 21,429
Current Maturities 89,996 21,429
Habib Bank Line Of Credit [Member]
   
As of 51,231 5,404,608
Current Maturities 51,231 5,404,608
Bank Overdraft Facility [Member]
   
As of 308,013 254,502
Current Maturities 308,013 254,502
HSBC Loan [Member]
   
As of 1,367,644  
Current Maturities 345,203  
Long-Term Maturities 1,022,441  
Term Finance Facility [Member]
   
As of 1,058,201 869,767
Current Maturities 264,550 434,883
Long-Term Maturities 793,651 434,884
Subsidiary Capital Lease [Member]
   
As of 832,801  
Current Maturities 572,694  
Long-Term Maturities 260,107  
Total [Member]
   
As of 3,707,886 7,782,891
Current Maturities 1,631,687 7,062,535
Long-Term Maturities 2,076,199 720,356
Subsidiary Capital Leases [Member]
   
As of   1,232,585
Current Maturities   947,113
Long-Term Maturities   $ 285,472