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FAIR VALUE MEASUREMENTS (Tables)
6 Months Ended
Dec. 31, 2025
Fair Value Disclosures [Abstract]  
Schedule of Financial Assets and Liabilities Measured at Fair Value on a Recurring Basis
Financial assets (excluding cash held in operating accounts and time deposits) and liabilities measured at fair value on a recurring basis, as of the dates indicated below, were presented on our Condensed Consolidated Balance Sheets as follows:
Quoted Prices in Active Markets for Identical AssetsSignificant Other Observable Inputs
As of December 31, 2025 (In thousands)Total (Level 1) (Level 2)
Assets
Cash equivalents:
Corporate debt securities$11,517 $— $11,517 
Money market funds and other2,029,446 2,029,446 — 
U.S. Treasury securities2,993 — 2,993 
Marketable securities:
Corporate debt securities1,123,698 — 1,123,698 
Municipal securities38,236 — 38,236 
U.S. Government agency securities114,233 114,233 — 
U.S. Treasury securities1,161,326 1,116,331 44,995 
Equity securities16,874 16,874 — 
Total cash equivalents and marketable securities(1)
4,498,323 3,276,884 1,221,439 
Other current assets:
Derivative assets52,505 — 52,505 
Other non-current assets:
Executive Deferred Savings Plan369,933 278,880 91,053 
Total financial assets(1)
$4,920,761 $3,555,764 $1,364,997 
Liabilities
Derivative liabilities$(8,219)$— $(8,219)
Total financial liabilities$(8,219)$— $(8,219)
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(1) Excludes cash of $307.3 million held in operating accounts and time deposits of $401.9 million (of which $100.9 million were cash equivalents) as of December 31, 2025.
 
Quoted Prices in Active Markets for Identical AssetsSignificant Other Observable Inputs
As of June 30, 2025 (In thousands)Total(Level 1)(Level 2)
Assets
Cash equivalents:
Municipal securities$6,120 $— $6,120 
Corporate debt securities1,498 — 1,498 
Money market funds and other1,531,022 1,531,022 — 
U.S. Government agency securities9,955 — 9,955 
U.S. Treasury securities9,981 — 9,981 
Marketable securities:
Corporate debt securities960,148 — 960,148 
Municipal securities51,453 — 51,453 
U.S. Government agency securities106,881 106,881 — 
U.S. Treasury securities877,578 802,682 74,896 
Equity securities23,962 23,962 — 
Total cash equivalents and marketable securities(1)
3,578,598 2,464,547 1,114,051 
Other current assets:
Derivative assets59,503 — 59,503 
Other non-current assets:
Executive Deferred Savings Plan349,530 336,090 13,440 
Total financial assets(1)
$3,987,631 $2,800,637 $1,186,994 
Liabilities
Derivative liabilities$(28,615)$— $(28,615)
Total financial liabilities$(28,615)$— $(28,615)
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(1) Excludes cash of $437.8 million held in operating accounts and time deposits of $478.2 million (of which $82.5 million were cash equivalents) as of June 30, 2025.