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Debt - Narrative (Details)
$ / shares in Units, $ in Thousands
1 Months Ended 12 Months Ended
Oct. 31, 2023
Oct. 31, 2020
USD ($)
May 31, 2018
USD ($)
$ / shares
Jun. 30, 2022
USD ($)
Jun. 30, 2021
USD ($)
Jun. 30, 2020
USD ($)
Jun. 30, 2018
USD ($)
Apr. 30, 2018
USD ($)
Disclosure of detailed information about borrowings [line items]                
Debt instruments issued               $ 1,000,000
Borrowings, consideration transferred         $ 1,800,000      
Borrowings, exchange requests settled         4,700      
Borrowings, exchange request settled, consideration transferred         12,800      
Proceeds from settlement of capped call transactions       $ 135,497 203,093 $ 0    
Repayment of exchangeable senior notes       $ (1,548,686) (1,803,244) (2)    
Maximum leverage ratio       3.5        
Leverage ration annual increase       4.5        
Proceeds from borrowings       $ 1,000,000 0 $ 0    
Initial Notes                
Disclosure of detailed information about borrowings [line items]                
Debt instruments issued             $ 1,000,000  
Exchangeable Notes, net                
Disclosure of detailed information about borrowings [line items]                
Debt instruments issued       0 348,799      
Debt interest rate     0.625%          
Proceeds from issuance of exchangeable senior notes, net of discount and issuance costs     $ 990,000          
Borrowings, principal amount repurchased         643,200      
Proceeds from settlement of capped call transactions       135,500        
Principal amount settled       352,200        
Repayment of exchangeable senior notes       (1,500,000)        
Contractual interest expense       0 4,859      
Exchangeable Notes, net | Principal amount                
Disclosure of detailed information about borrowings [line items]                
Debt instruments issued       0 352,171   $ 1,000,000  
Exchangeable Notes, net | Class A Ordinary Shares | Top of range                
Disclosure of detailed information about borrowings [line items]                
Debt conversion, initial exchange rate per share (USD per share) | $ / shares     $ 114.42          
Exchangeable Notes, net | Capped Call                
Disclosure of detailed information about borrowings [line items]                
Payment for cost of capped calls     $ 87,700          
Debt instrument, fair value of embedded derivative         124,200      
Exchangeable Notes, net | Level 2 | At fair value                
Disclosure of detailed information about borrowings [line items]                
Fair Value         1,151,000      
Term Loan Facility Due October 2025                
Disclosure of detailed information about borrowings [line items]                
Borrowings   $ 1,000,000   999,419        
Proceeds from borrowings       1,000,000        
Term Loan Facility Due October 2025 | Principal amount                
Disclosure of detailed information about borrowings [line items]                
Borrowings       1,000,000        
Revolving Credit Facility Due October 2025                
Disclosure of detailed information about borrowings [line items]                
Borrowing facilities, maximum borrowing capacity   500,000   500,000        
Borrowings, additional capacity   $ 250,000            
Revolving Credit Facility Due October 2025 | Forecast                
Disclosure of detailed information about borrowings [line items]                
Repayment obligation amount (as a percentage) 1.25%              
Credit Facility Due October 2025                
Disclosure of detailed information about borrowings [line items]                
Borrowing facilities, maximum borrowing capacity         $ 1,500,000      
Contractual interest expense       $ 11,600        
Credit Facility Due October 2025 | Top of range                
Disclosure of detailed information about borrowings [line items]                
Undrawn amounts, interest rate   0.0020            
Credit Facility Due October 2025 | Top of range | Base rate                
Disclosure of detailed information about borrowings [line items]                
Borrowings, adjustment to interest rate basis   0.50%            
Credit Facility Due October 2025 | Top of range | London Interbank Offered Rate LIBOR                
Disclosure of detailed information about borrowings [line items]                
Borrowings, adjustment to interest rate basis   1.50%            
Credit Facility Due October 2025 | Bottom of range                
Disclosure of detailed information about borrowings [line items]                
Undrawn amounts, interest rate   0.00075            
Credit Facility Due October 2025 | Bottom of range | London Interbank Offered Rate LIBOR                
Disclosure of detailed information about borrowings [line items]                
Borrowings, adjustment to interest rate basis   0.875%