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Supplemental Disclosure of Cash Flow Information (Tables)
12 Months Ended
Jun. 30, 2023
Supplemental Disclosure of Cash Flow Information  
Schedule of supplemental disclosure of cash flow information

 

Year Ended June 30, 

 

2023

2022

2021

Cash paid for interest

$

6,946

$

6,641

$

4,504

Cash paid for taxes

$

37,131

35,972

$

18,717

Supplemental disclosure of non-cash financing activities:

Right-of-use assets obtained from acquisitions

$

385

$

$

1,280

Right-of-use assets obtained in exchange for new finance lease liabilities

30,514

23,232

66,861

Supplemental disclosure of non-cash investing activities:

Stock-based compensation expense capitalized on software development

$

700

$

374

$

255

Stock-based compensation expense capitalized on curriculum development

84

88

116

Non-cash purchase price related to business combinations

5,861

1,145

Business combinations:

Acquired assets

$

1,132

$

394

$

11,043

Intangible assets

1,309

2,157

33,712

Goodwill

5,655

600

68,930

Assumed liabilities

(385)

(58)

(4,826)

Deferred revenue

(441)

(1,030)

(2,096)