XML 34 R23.htm IDEA: XBRL DOCUMENT v3.21.2
Corporate Investments and Funds Held For Clients (Tables)
3 Months Ended
Sep. 30, 2021
Corporate Investments and Funds Held for Clients  
Schedule of corporate investments and funds held for clients

June 30, 2021

Gross

Gross

Amortized

unrealized

unrealized

Type of Issue

cost

gains

    

losses

    

Fair value

Cash and cash equivalents

$

202,287

$

$

$

202,287

Funds held for clients' cash and cash equivalents

1,743,594

1,743,594

Available-for-sale securities:

Corporate bonds

13,390

70

13,460

Asset-backed securities

7,062

17

7,079

Total available-for-sale securities (1)

20,452

87

20,539

Total investments

$

1,966,333

$

87

$

$

1,966,420

(1)Included within the fair value of total available-for-sale securities above is $4,456 of corporate investments and $16,083 of funds held for clients.

September 30, 2021

Gross

Gross

Amortized

unrealized

unrealized

Type of Issue

cost

gains

    

losses

    

Fair value

Cash and cash equivalents

$

66,431

$

$

$

66,431

Funds held for clients' cash and cash equivalents

3,042,121

3,042,121

Available-for-sale securities:

Commercial paper

70,166

5

(1)

70,170

Corporate bonds

44,305

24

(26)

44,303

Asset-backed securities

7,836

5

(1)

7,840

Certificates of deposit

15,376

2

15,378

U.S government agency securities

7,000

(18)

6,982

Other

1,880

(3)

1,877

Total available-for-sale securities (2)

146,563

36

(49)

146,550

Total investments

$

3,255,115

$

36

$

(49)

$

3,255,102

(2)Included within the fair value of total available-for-sale securities above is $3,151 of corporate investments and $143,399 of funds held for clients.
Schedule of the classification of investments

June 30, 

September 30, 

2021

    

2021

Cash and cash equivalents

$

202,287

$

66,431

Corporate investments

4,456

3,151

Funds held for clients

1,759,677

3,185,520

Total investments

$

1,966,420

$

3,255,102

Schedule of available-for-sale securities that have been in an unrealized loss position for less than 12 months

September 30, 2021

Securities in an unrealized loss

position for less than 12 months

Gross

unrealized

Fair

losses

    

Value

Commercial paper

$

(1)

$

20,239

Corporate bonds

     

(26)

     

27,743

Asset-backed securities

(1)

3,009

U.S. government agency securities

(18)

6,982

Other

(3)

1,877

Total available-for-sale securities

$

(49)

$

59,850

Schedule of expected maturities of available-for-sale securities

Amortized

Fair

cost

value

One year or less

$

102,679

$

102,708

One year to two years

25,865

25,855

Two years to three years

9,958

9,941

Three years to five years

8,061

8,046

Total available-for-sale securities

$

146,563

$

146,550