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Note N - Pension and Other Postretirement Benefit Plans (Tables)
12 Months Ended
Jun. 30, 2025
Notes Tables  
Schedule of Net Funded Status [Table Text Block]
          

Other

 
  

Pension

  

Postretirement

 
  

Benefits

  

Benefits

 
  

2025

  

2024

  

2025

  

2024

 

Change in benefit obligation:

                

Benefit obligation, beginning of year

 $68,110  $72,242  $3,169  $3,685 

Service cost

  352   373   7   8 

Interest cost

  3,404   3,609   165   191 

Prior service cost

  21   -   -   - 

Actuarial loss (gain)

  1,753   254   33   (166)

Contributions by plan participants

  137   116   155   - 

Benefits paid

  (7,353)  (8,484)  (659)  (549)

Benefit obligation, end of year

 $66,424  $68,110  $2,870  $3,169 
                 

Change in plan assets:

                

Fair value of assets, beginning of year

 $62,660  $67,338  $-  $- 

Actual return on plan assets

  2,616   3,101   -   - 

Return on plan assets

  (1,808)            

Employer contribution

  608   589   504   549 

Contributions by plan participants

  137   116   155   - 

Benefits paid

  (7,353)  (8,484)  (659)  (549)

Fair value of assets, end of year

 $56,860  $62,660  $-  $- 
                 

Funded status

 $(9,564) $(5,450) $(2,870) $(3,169)
                 

Amounts recognized in the balance sheet consist of:

             

Other assets - noncurrent

 $15  $-  $-  $- 

Accrued liabilities - current

  (380)  (260)  (237)  (505)

Accrued retirement benefits - noncurrent

  (9,199)  (5,190)  (2,633)  (2,664)

Net amount recognized

 $(9,564) $(5,450) $(2,870) $(3,169)
                 

Amounts recognized in accumulated other comprehensive income (loss) consist of (net of tax):

     

Net transition obligation

 $26  $53  $-  $- 

Prior service benefit

  (185)  (145)  -   - 

Actuarial net loss (gain)

  11,937   8,768   (317)  (614)

Net amount recognized

 $11,778  $8,676  $(317) $(614)
Schedule of Amounts in Accumulated Other Comprehensive Income (Loss) to be Recognized over Next Fiscal Year [Table Text Block]
      

Other

 
  

Pension

  

Postretirement

 
  

Benefits

  

Benefits

 

Net transition obligation

 $96  $- 

Prior service benefit

  (37)  - 

Actuarial net loss (gain)

  2,623   (53)

Net amount to be recognized

 $2,682  $(53)
Defined Benefit Plan, Plan with Accumulated Benefit Obligation in Excess of Plan Assets [Table Text Block]
  

June 30

 
  

2025

  

2024

 

Projected and accumulated benefit obligation

 $62,355  $64,286 

Fair value of plan assets

  52,776   58,839 
Schedule of Net Benefit Costs [Table Text Block]
  

Pension Benefits

 
  

2025

  

2024

 

Service cost

 $347  $373 

Interest cost

  3,400   3,609 

Prior service cost

  21   - 

Expected return on plan assets

  (3,411)  (4,283)

Amortization of transition obligation

  42   38 

Amortization of prior service cost

  26   35 

Amortization of actuarial net loss

  984   65 
         

Net periodic benefit cost (income)

 $1,409  $(163)
  

Other Postretirement Benefits

 
  

2025

  

2024

 

Service cost

 $7  $8 

Interest cost

  165   191 

Amortization of prior service cost

  -   (88)

Amortization of actuarial net gain

  (262)  (620)

Net periodic benefit income

 $(90) $(509)
Schedule of Defined Benefit Plan Amounts Recognized in Other Comprehensive Income (Loss) [Table Text Block]
      

Other

 
      

Postretirement

 
  

Pension

  

Benefits

 

Net loss

 $2,487  $34 

Amortization of transition asset

  (43)  - 

Amortization of prior service benefit

  (27)  - 

Amortization of net (income) loss

  (985)  262 

Total recognized in other comprehensive income

  1,432   296 

Net periodic benefit cost (income)

  1,409   (90)

Total recognized in net periodic benefit cost (income) and other comprehensive income

 $2,841  $206 
      

Other

 
      

Postretirement

 
  

Pension

  

Benefits

 

Net loss (income)

 $1,656  $(165)

Amortization of transition asset

  (38)  - 

Amortization of prior service (income) cost

  (34)  88 

Amortization of net (income) loss

  (64)  620 

Total recognized in other comprehensive loss

  1,520   543 

Net periodic benefit income

  (163)  (509)

Total recognized in net periodic benefit cost (income) and other comprehensive loss

 $1,357  $34 
Defined Benefit Plan, Assumptions [Table Text Block]
          

Other

 
  

Pension Benefits

  

Postretirement Benefits

 

Weighted average assumptions used to determine benefit obligations at June 30

                
  

2025

  

2024

  

2025

  

2024

 

Discount rate

  5.00%  5.25%  5.28%  5.66%

Expected return on plan assets

  5.74%  6.54%        
          

Other

 
  

Pension Benefits

  

Postretirement Benefits

 

Weighted average assumptions used to determine net periodic benefit costs for years ended June 30

                
  

2025

  

2024

  

2025

  

2024

 

Discount rate

  4.97%  5.07%  5.66%  5.74%

Expected return on plan assets

  5.55%  6.47%        
Schedule of Plan Weighted Average Assets Allocations [Table Text Block]
  

Target

  

June 30

 

Asset Category

 

Allocation

  

2025

  

2024

 

Equity securities

  15%  15%  19%

Debt securities

  75%  78%  71%

Real estate

  10%  7%  10%
   100%  100%  100%
Schedule of Allocation of Plan Assets [Table Text Block]
  

Total

  

Level I

  

Level II

  

Level III

 

Cash and cash equivalents

 $924  $924  $-  $- 

Equity securities:

                

Company common stock (a)

  867   867   -   - 

Common stock (a)

  2,537   2,537   -   - 

Mutual funds (b)

  4,434   4,434   -   - 

Annuity contracts (c)

  7,080   -   -   7,080 

Total

 $15,842  $8,762  $-  $7,080 

Investments Measured at Net Asset Value (d)

  41,018             

Total

 $56,860             
  

Total

  

Level I

  

Level II

  

Level III

 

Cash and cash equivalents

 $647  $647  $-  $- 

Equity securities:

                

Company common stock (a)

  1,157   1,157   -   - 

Common stock (a)

  1,479   1,479   -   - 

Mutual funds (b)

  4,261   4,261   -   - 

Annuity contracts (c)

  6,264   -   -   6,264 

Total

 $13,808  $7,544  $-  $6,264 

Investments Measured at Net Asset Value (d)

  48,852             

Total

 $62,660             
  

2025

  

2024

 

Fixed income funds

 $-  $35,089 

International equity securities

  37,687   1,808 

Real estate

  -   5,209 

Hedged equity mutual funds

  3,331   6,746 

Total

 $41,018  $48,852 
Schedule of Effect of Significant Unobservable Inputs, Changes in Plan Assets [Table Text Block]
  

2025

  

2024

 

Beginning balance

 $6,264  $6,688 

Actual return on plan assets:

        

Relating to assets still held at reporting date

  1,362   605 

Purchases, sales and settlements, net

  (546)  (1,029)

Ending balance

 $7,080  $6,264 
Schedule of Expected Benefit Payments [Table Text Block]
      

Other

 
  

Pension

  

Postretirement

 
  

Benefits

  

Benefits

 
         

2026

 $7,217  $467 

2027

  6,799   431 

2028

  6,801   396 

2029

  6,087   356 

2030

  5,810   319 

Years 2031 - 2034

  29,313   901