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Balance Sheet Components (Tables)
3 Months Ended
Sep. 30, 2020
Balance Sheet Related Disclosures [Abstract]  
Schedule of inventories The following tables provide details of the selected balance sheet items (in thousands):
Inventories:
September 30, 2020June 30, 2020
Finished goods$553,950 $656,817 
Work in process68,322 38,146 
Purchased parts and raw materials151,584 156,535 
Total inventories$773,856 $851,498 
Schedule of prepaid expenses and other current assets
Prepaid Expenses and Other Current Assets:
 September 30, 2020June 30, 2020
Other receivables (1)$40,417 $94,859 
Prepaid income tax13,846 14,323 
Prepaid expenses5,832 7,075 
Deferred service costs4,431 4,161 
Restricted cash250 250 
Others17,955 6,317 
Total prepaid expenses and other current assets$82,731 $126,985 
__________________________
(1) Includes other receivables from contract manufacturers based on certain buy-sell arrangements of $33.6 million and $83.8 million as of September 30, 2020 and June 30, 2020, respectively.
Schedule of cash, cash equivalents and restricted cash
Cash, cash equivalents and restricted cash:
 September 30, 2020June 30, 2020
Cash and cash equivalents$300,089 $210,533 
Restricted cash included in prepaid expenses and other current assets250 250 
Restricted cash included in other assets1,613 1,607 
Total cash, cash equivalents and restricted cash$301,952 $212,390 
Schedule of property, plant, and equipment
Property, Plant, and Equipment:
 September 30, 2020June 30, 2020
Buildings$86,930 $86,930 
Land75,264 75,251 
Machinery and equipment87,876 85,381 
Buildings construction in progress (1)54,555 46,311 
Building and leasehold improvements24,886 24,517 
Software22,616 20,597 
Furniture and fixtures21,769 21,544 
373,896 360,531 
Accumulated depreciation and amortization(132,044)(126,746)
Property, plant and equipment, net$241,852 $233,785 
__________________________
(1) Primarily relates to the development and construction costs associated with the Company’s Green Computing Park located in San Jose, California, and new building in Taiwan.
Schedule of other assets
Other Assets:
 September 30, 2020June 30, 2020
Operating lease right-of-use asset$24,075 $23,784 
Deferred service costs, non-current4,828 4,632 
Restricted cash, non-current1,613 1,607 
Investment in auction rate security1,571 1,571 
Deposits1,252 1,201 
Non-marketable equity securities128 128 
Prepaid expense, non-current1,706 1,576 
Total other assets$35,173 $34,499 
Schedule of accrued liabilities
Accrued Liabilities:    
September 30, 2020June 30, 2020
Accrued payroll and related expenses$34,059 $33,577 
Contract manufacturing liabilities20,366 36,249 
Accrued warranty costs11,057 9,984 
Customer deposits10,306 9,942 
Operating lease liability7,027 6,310 
Accrued cooperative marketing expenses5,818 5,925 
Accrued professional fees2,630 5,661 
Accrued legal liabilities (Note 11)— 18,114 
Others (accrued liabilities)30,447 29,639 
Total accrued liabilities$121,710 $155,401 
Schedule of other long-term liabilities
Other Long-term Liabilities:
September 30, 2020June 30, 2020
Operating lease liability, non-current$17,892 $18,102 
Accrued unrecognized tax benefits including related interest and penalties16,067 15,496 
Accrued warranty costs, non-current2,670 2,395 
Others8,078 6,002 
Total other long-term liabilities$44,707 $41,995 
Reconciliation of the changes in accrued warranty costs
Product Warranties:
Three Months Ended
September 30,
 20202019
Balance, beginning of the period$12,379 $11,034 
Provision for warranty8,347 5,872 
Costs utilized(7,607)(7,662)
Change in estimated liability for pre-existing warranties608 2,041 
Balance, end of the period13,727 11,285 
Current portion11,057 8,655 
Non-current portion$2,670 $2,630