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Note 7. Fair Value (Tables)
9 Months Ended
Mar. 31, 2023
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis As of March 31, 2023 and June 30, 2022, the fair values of financial assets and liabilities that are measured at fair value on a recurring basis using the market approach are categorized as follows:
 March 31, 2023
(Amounts in Thousands)Level 1Level 2Total
Assets   
Cash equivalents$— $— $— 
Derivatives: foreign exchange contracts— 5,117 5,117 
Trading securities: mutual funds held in nonqualified SERP8,420 — 8,420 
Total assets at fair value$8,420 $5,117 $13,537 
Liabilities   
Derivatives: foreign exchange contracts$— $1,097 $1,097 
Total liabilities at fair value$— $1,097 $1,097 
    
 June 30, 2022
(Amounts in Thousands)Level 1Level 2Total
Assets   
Cash equivalents$1,541 $— $1,541 
Derivatives: foreign exchange contracts— 1,872 1,872 
Trading securities: mutual funds held in nonqualified SERP10,364 — 10,364 
Total assets at fair value$11,905 $1,872 $13,777 
Liabilities   
Derivatives: foreign exchange contracts$— $3,522 $3,522 
Total liabilities at fair value$— $3,522 $3,522