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Debt and Borrowings - Schedule of Debt (Details) - USD ($)
$ in Thousands
3 Months Ended
Sep. 30, 2025
Jun. 30, 2025
Convertible senior notes:    
Less: unamortized debt discount and issuance costs $ (17) $ (42)
Convertible senior notes, net 33,446 33,421
Convertible senior notes:    
Less: unamortized debt discount and issuance costs (21,227) (22,504)
Convertible senior notes, net 1,502,321 1,501,044
Total 1,865,770 1,714,470
Line of Credit    
Convertible senior notes:    
2025 Notes, principal 0 180,005
Convertible senior notes:    
Non-current liabilities: 330,003 0
Unamortized debt issuance costs 1,700 2,100
Line of Credit | 2021 Revolving Credit Agreement    
Convertible senior notes:    
2025 Notes, principal 0 180,005
Convertible senior notes:    
Non-current liabilities: $ 180,003 0
Expected Remaining Term (years) 2 years 7 months 6 days  
Annualized Effective Interest Rate at September 30, 2025 7.50%  
Line of Credit | 2025 Revolving Credit Agreement    
Convertible senior notes:    
Non-current liabilities: $ 150,000 0
Expected Remaining Term (years) 2 years 1 month 6 days  
Annualized Effective Interest Rate at September 30, 2025 5.39%  
2025 Notes, principal    
Convertible senior notes:    
2025 Notes, principal $ 33,463 33,463
Convertible senior notes:    
Expected Remaining Term (years) 2 months 12 days  
Annualized Effective Interest Rate at September 30, 2025 0.36%  
2030 Notes, principal    
Convertible senior notes:    
Non-current liabilities: $ 1,400,000 1,400,000
Expected Remaining Term (years) 4 years 6 months  
Annualized Effective Interest Rate at September 30, 2025 0.32%  
2027 Notes, principal    
Convertible senior notes:    
Non-current liabilities: $ 123,548 $ 123,548
Expected Remaining Term (years) 1 year 6 months  
Annualized Effective Interest Rate at September 30, 2025 0.48%