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Borrowings (Tables)
9 Months Ended
Mar. 31, 2022
Debt Disclosure [Abstract]  
Schedule of Outstanding Borrowings Outstanding borrowings and available capacity under the Company’s borrowing arrangements were as follows:
Expiration
Date
Principal amount outstanding at March 31, 2022Carrying value at March 31, 2022Carrying value at June 30, 2021Unused
Available
Capacity
Fair Value at March 31, 2022
(in millions)
Long-term debt
Fiscal 2021 Revolving Credit Facility:
       U.S. dollar trancheApril 2026$365.0 $365.0 $20.0 $735.0 $365.0 
       Multicurrency trancheApril 202625.1 25.1 94.4 374.9 25.1 
             Total Revolving Credit Facility390.1 390.1 114.4 1,109.9 390.1 
Fiscal 2021 Term LoansMay 20241,550.0 1,545.2 1,543.4 — 1,550.0 
Fiscal 2016 Senior NotesJune 2026500.0 497.2 496.7 — 503.5 
Fiscal 2020 Senior NotesDecember 2029750.0 743.2 742.5 — 712.8 
Fiscal 2021 Senior NotesMay 20311,000.0 991.3 990.6 — 907.6 
             Total Senior Notes2,250.0 2,231.7 2,229.8 — 2,123.8 
             Total debt$4,190.1 $4,167.0 $3,887.6 $1,109.9 $4,064.0 
Schedule of Future Principal Payments on Outstanding Debt Future principal payments on the Company’s outstanding debt are as follows:
Years ending June 30,20222023202420252026ThereafterTotal
(in millions)$— $— $1,550.0 $— $890.1 $1,750.0 $4,190.1