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Cash, cash equivalents and short-term investments - Summary of cash, cash equivalents and short-term investments (Details) - USD ($)
$ in Thousands
Mar. 31, 2020
Jun. 30, 2019
Mar. 31, 2019
Debt Securities, Available-for-sale [Line Items]      
Cash $ 15,594 $ 25,987  
Total cash equivalents 882 1,288  
Total cash and cash equivalents 16,476 27,275 $ 21,254
Debt securities      
Amortized Cost 107,243 70,493  
Unrealized Gains 448 404  
Unrealized Losses (418) (43)  
Estimated Fair Value 107,273 70,854  
Marketable equity securities      
Amortized Cost   250  
Unrealized Gains   1,099  
Unrealized Losses   0  
Estimated Fair Value   1,349  
Short-term investments      
Amortized Cost   70,743  
Unrealized Gains   1,503  
Unrealized Losses   (43)  
Estimated Fair Value 107,273 72,203  
Cash, cash equivalents and short-term investments      
Amortized Cost 123,719 98,018  
Unrealized Gains 448 1,503  
Unrealized Losses (418) (43)  
Estimated Fair Value 123,749 99,478  
U.S. treasury securities      
Debt securities      
Amortized Cost 2,615 3,570  
Unrealized Gains 54 6  
Unrealized Losses 0 (4)  
Estimated Fair Value 2,669 3,572  
U.S. agency securities      
Debt securities      
Amortized Cost 3,809 3,002  
Unrealized Gains 62 9  
Unrealized Losses 0 (2)  
Estimated Fair Value 3,871 3,009  
Asset-backed securities      
Debt securities      
Amortized Cost 20,610 12,319  
Unrealized Gains 106 104  
Unrealized Losses (74) (10)  
Estimated Fair Value 20,642 12,413  
Municipal securities      
Debt securities      
Amortized Cost 9,415 4,124  
Unrealized Gains 43 16  
Unrealized Losses 0 0  
Estimated Fair Value 9,458 4,140  
Commercial paper      
Debt securities      
Amortized Cost 3,193 1,986  
Unrealized Gains 2 0  
Unrealized Losses 0 0  
Estimated Fair Value 3,195 1,986  
Corporate bonds      
Debt securities      
Amortized Cost 67,601 45,492  
Unrealized Gains 181 269  
Unrealized Losses (344) (27)  
Estimated Fair Value 67,438 45,734  
Money market mutual funds      
Debt Securities, Available-for-sale [Line Items]      
Total cash equivalents 382 790  
Commercial paper      
Debt Securities, Available-for-sale [Line Items]      
Total cash equivalents $ 500 $ 498