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Short-Term Investments and Funds Held for Customers (Tables)
9 Months Ended
Mar. 31, 2026
Investments, Debt and Equity Securities [Abstract]  
Schedule of Short-Term Investments and Funds Held for Customers
The following table summarizes the assets underlying short-term investments and funds held for customers as of the dates presented (in thousands):
March 31,
2026
June 30,
2025
Short-term investments:
Available-for-sale debt securities$1,178,673 $1,180,110 
Total short-term investments1,178,673 1,180,110 
Funds held for customers:
Restricted cash922,082 749,111 
Restricted cash equivalents1,333,975 1,661,423 
Funds receivable36,702 25,499 
Available-for-sale debt securities1,728,388 1,628,767 
Total funds held for customers4,021,147 4,064,800 
Less - interest income included in other current assets (1)
(22,011)(20,330)
Total funds held for customers, net of income earned by the Company$3,999,136 $4,044,470 
(1) Represents interest income, accretion of discount, and net unrealized gains on customer funds that were invested in money market funds and short-term marketable debt securities. The Company contractually earns interest income on these investments, which is expected to be transferred into the Company’s corporate deposit account upon sale or settlement of the associated investment, and is not considered funds held for customers.
Schedule of Available-for-Sale Debt Securities
The following table summarizes the estimated fair value of available-for-sale debt securities, included within short-term investments and funds held for customers, as of the dates presented (in thousands):
March 31, 2026
Amortized costGross unrealized gainsGross unrealized losses Fair value
Short-term investments:
Corporate bonds$547,110 $1,440 $(96)$548,454 
U.S. treasury securities516,099 210 (1,391)514,918 
Asset-backed securities99,695 108 (50)99,753 
Certificates of deposit15,548 — — 15,548 
Total short-term investments$1,178,452 $1,758 $(1,537)$1,178,673 
Funds held for customers:
U.S. treasury securities$1,146,679 $2,272 $(2,013)$1,146,938 
Corporate bonds399,221 1,345 (18)400,548 
Asset-backed securities94,982 366 (14)95,334 
Certificates of deposit66,817 — — 66,817 
Municipal bonds18,743 19 (11)18,751 
Total funds held for customers$1,726,442 $4,002 $(2,056)$1,728,388 
June 30, 2025
Amortized costGross unrealized gainsGross unrealized losses Fair value
Short-term investments:
Corporate bonds$756,009 $2,598 $(274)$758,333 
U.S. treasury securities287,356 261 (58)287,559 
Asset-backed securities118,074 177 (15)118,236 
Certificates of deposit15,982 — — 15,982 
Total short-term investments$1,177,421 $3,036 $(347)$1,180,110 
Funds held for customers:
Corporate bonds$483,604 $2,759 $(1)$486,362 
Certificates of deposit99,138 — — 99,138 
Asset-backed securities167,179 791 — 167,970 
Municipal bonds6,560 32 — 6,592 
U.S. treasury securities864,602 4,319 (216)868,705 
Total funds held for customers$1,621,083 $7,901 $(217)$1,628,767 
Schedule of Fair Value of Available-for-Sale Debt Securities
The following table summarizes fair value of the Company's available-for-sale debt securities, included within short-term investments and funds held for customers, by remaining contractual maturity as of the dates presented (in thousands):
March 31,
2026
June 30,
2025
Due within 1 year$1,380,640 $1,118,478 
Due in 1 year through 5 years1,526,104 1,689,477 
Due in 5 years through 10 years317 922 
Total$2,907,061 $2,808,877 
Schedule of Gross Unrealized Loss and Fair Values The following tables show gross unrealized losses and fair values for those investments that were in an unrealized loss position as of the dates presented (in thousands):
March 31, 2026
Less than 12 months12 months or longerTotal
Fair valueUnrealized lossesFair valueUnrealized lossesFair valueUnrealized losses
Short-term investments:
Corporate bonds$116,779 $(96)$— $— $116,779 $(96)
U.S. treasury securities309,232 (1,391)— — 309,232 (1,391)
Asset-backed securities33,190 (45)340 (5)33,530 (50)
Total short-term investments$459,201 $(1,532)$340 $(5)$459,541 $(1,537)
Funds held for customers:
U.S. treasury securities$412,597 $(2,013)$— $— $412,597 $(2,013)
Municipal bonds11,723 (11)— — 11,723 (11)
Corporate bonds15,170 (18)— — 15,170 (18)
Asset-backed securities7,705 (14)— — 7,705 (14)
Total funds held for customers$447,195 $(2,056)$— $— $447,195 $(2,056)
June 30, 2025
Less than 12 months12 months or longerTotal
Fair valueUnrealized lossesFair valueUnrealized lossesFair valueUnrealized losses
Short-term investments:
Corporate bonds$209,648 $(274)$— $— $209,648 $(274)
U.S. treasury securities139,598 (58)— — 139,598 (58)
Asset-backed securities30,362 (15)— — 30,362 (15)
Total short-term investments$379,608 $(347)$— $— $379,608 $(347)
Funds held for customers:
Corporate bonds$12,867 $(1)$— $— $12,867 $(1)
Asset-backed securities4,576 — — — 4,576 — 
U.S. treasury securities82,910 (216)— — 82,910 (216)
Total funds held for customers$100,353 $(217)$— $— $100,353 $(217)