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CONSOLIDATED STATEMENTS OF COMPREHENSIVE LOSS (UNAUDITED) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2025
Dec. 31, 2024
Statement of Comprehensive Income [Abstract]        
Net Income (Loss) $ (116,006) $ (103,975) $ (136,631) $ (123,638)
Pretax amount        
Foreign currency translation adjustments before reclassifications 1,163 (64,695) (9,635) (16,880)
Change in deferred (losses) gains on cash flow hedging instruments (885) 4,093 (1,893) (5,610)
Change in deferred gains (losses) on fair value hedging instruments 18 (479) 70 (329)
Change in deferred (losses) gains on net investment hedging instruments (43) 6,084 244 2,308
Total other comprehensive income (loss) 253 (54,997) (11,214) (20,511)
Tax benefit (expense)        
Foreign currency translation adjustments before reclassifications 0 0 0 0
Change in deferred (losses) gains on cash flow hedging instruments 226 (1,087) 456 1,351
Change in deferred gains (losses) on fair value hedging instruments (5) 127 (19) 89
Change in deferred (losses) gains on net investment hedging instruments 11 (1,617) (63) (667)
Total other comprehensive income (loss) 232 (2,577) 374 773
After tax amount        
Foreign currency translation adjustments before reclassifications 1,163 (64,695) (9,635) (16,880)
Change in deferred (losses) gains on cash flow hedging instruments (659) 3,006 (1,437) (4,259)
Change in deferred gains (losses) on fair value hedging instruments 13 (352) 51 (240)
Change in deferred (losses) gains on net investment hedging instruments (32) 4,467 181 1,641
Total other comprehensive income (loss) 485 [1] (57,574) [1] (10,840) (19,738)
Total comprehensive loss $ (115,521) $ (161,549) $ (147,471) $ (143,376)
[1] See Note 15, Derivatives and Hedging Activities, for the amounts reclassified into income for deferred gains on hedging instruments recorded in the consolidated statements of operations during the three and six months ended December 31, 2025 and 2024.