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CONSOLIDATED STATEMENTS OF COMPREHENSIVE LOSS - USD ($)
$ in Thousands
12 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2023
Statement of Comprehensive Income [Abstract]      
Net loss $ (530,841) $ (75,042) $ (116,537)
Pretax amount      
Foreign currency translation adjustments before reclassifications 71,324 (9,045) 30,197
Change in deferred (losses) gains on cash flow hedging instruments (9,276) (2,007) 13,850
Change in deferred (losses) gains on fair value hedging instruments (160) (516) 247
Change in deferred losses on net investment hedging instruments (10,917) (126) (3,242)
Total other comprehensive income (loss) 50,971 (11,694) 41,052
Tax (expense) benefit      
Foreign currency translation adjustments before reclassifications 0 0 0
Change in deferred (losses) gains on cash flow hedging instruments 2,464 504 (3,471)
Change in deferred (losses) gains on fair value hedging instruments 47 128 (62)
Change in deferred losses on net investment hedging instruments 2,710 33 747
Total other comprehensive income (loss) 5,221 665 (2,786)
After tax amount      
Foreign currency translation adjustments before reclassifications 71,324 (9,045) 30,197
Change in deferred (losses) gains on cash flow hedging instruments (6,812) (1,503) 10,379
Change in deferred (losses) gains on fair value hedging instruments (113) (388) 185
Change in deferred losses on net investment hedging instruments (8,207) (93) (2,495)
Total other comprehensive income (loss) 56,192 (11,029) 38,266
Total comprehensive loss $ (474,649) $ (86,071) $ (78,271)