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Short-Term Financing - Narrative (Details) - USD ($)
12 Months Ended
Jun. 30, 2025
May 31, 2025
Jun. 30, 2024
Short-term Debt [Line Items]      
Line of credit facility, fair value of amount outstanding $ 0   $ 0
Commercial paper outstanding $ 4,769,500,000   0
Maturities of short-term funding agreements (up to) 5 days    
Obligations under reverse repurchase agreements [1] $ 38,400,000   $ 385,400,000
Aggregate committed obligations under reverse repurchase agreements 7,500,000,000    
364-Day Credit Agreement      
Short-term Debt [Line Items]      
Maximum borrowing capacity under credit facilities $ 4,600,000,000    
Term of credit 364 days    
Extension option term 1 year    
Credit Facility Expiring In June 2029      
Short-term Debt [Line Items]      
Maximum borrowing capacity under credit facilities $ 3,500,000,000    
Term of credit 5 years    
Line of credit facility potentially available increase in maximum borrowing capacity $ 500,000,000    
Credit Facility Expiring In June 2030      
Short-term Debt [Line Items]      
Maximum borrowing capacity under credit facilities $ 2,500,000,000    
Term of credit 5 years    
Line of credit facility potentially available increase in maximum borrowing capacity $ 500,000,000    
Commercial Paper      
Short-term Debt [Line Items]      
Maximum borrowing capacity under credit facilities $ 10,600,000,000 $ 10,300,000,000  
Debt instrument, maturity period 364 days    
[1] As of June 30, 2025, $38.4 million of short-term marketable securities have been pledged as collateral under the Company's reverse repurchase agreements. As of June 30, 2024, $384.0 million of short-term marketable securities and $1.4 million of cash and cash equivalents have been pledged as collateral under the Company's reverse repurchase agreements (see Note 9).