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FINANCIAL INSTRUMENTS AND FAIR VALUE MEASUREMENTS - Schedule of Assets and Liabilities for Fair Value Disclosure (Details) - USD ($)
$ in Millions
Mar. 31, 2025
Jun. 30, 2024
Assets    
Cash and cash equivalents $ 226 $ 202
Total assets 5,512 5,751
Liabilities    
Notes and loans payable 54 4
Total liabilities 5,322 5,259
Carrying Amount    
Assets    
Total assets 270 258
Liabilities    
Total liabilities 2,537 2,485
Estimated Fair Value    
Assets    
Total assets, estimated fair value 270 258
Liabilities    
Total liabilities, estimated fair value 2,461 2,345
Level 1 | Carrying Amount    
Assets    
Trust assets for nonqualified deferred compensation plans 157 154
Level 1 | Estimated Fair Value    
Assets    
Trust assets for nonqualified deferred compensation plans, estimated fair value 157 154
Level 2 | Carrying Amount | Long-term debt    
Liabilities    
Long-term debt 2,483 2,481
Level 2 | Carrying Amount | Notes and loans payable    
Liabilities    
Notes and loans payable 54 4
Level 2 | Estimated Fair Value | Long-term debt    
Liabilities    
Long-term debt, estimated fair value 2,407 2,341
Level 2 | Estimated Fair Value | Notes and loans payable    
Liabilities    
Notes and loans payable, estimated fair value 54 4
Interest-bearing investments, including money market funds | Level 1 | Carrying Amount    
Assets    
Cash and cash equivalents 99 95
Interest-bearing investments, including money market funds | Level 1 | Estimated Fair Value    
Assets    
Cash and cash equivalents, estimated fair value 99 95
Time deposits | Level 2 | Carrying Amount    
Assets    
Cash and cash equivalents 14 9
Time deposits | Level 2 | Estimated Fair Value    
Assets    
Cash and cash equivalents, estimated fair value $ 14 $ 9