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Investments (Tables)
3 Months Ended
Sep. 30, 2020
Investments [Abstract]  
Schedule Of Investments

Measurement category

September 30,
2020

June 30,
2020

Fair value

$

19,045 

$

-

Measurement alternative

21,410 

30,033 

Equity method

18,071 

14,109 

Total

$

58,526 

$

44,142 

Schedule Of Reconciliation Of Changes In Non-Marketable Equity Investments

Three Months Ended
September 30,

Non-marketable securities

2020

2019

Balance at the beginning of the period

$

30,033 

$

30,436 

Investments

1,946 

2,741 

Impairment of investments

-

(2,590)

Reclassification to marketable securities (1)

(10,569)

-

Carrying value of non-marketable securities

$

21,410 

$

30,587 

(1)In September 2020, one of our investments, which was previously accounted for under the measurement alternative, completed its initial public offering which resulted in a change of accounting methodology to fair value and the recognition of an unrealized gain of $8.5 million for the three months ended September 30, 2020.

Schedule Of Reconciliation Of Changes In Investments

Three Months Ended
September 30,

Equity method investments

2020

2019

Balance at the beginning of the period

$

14,109 

$

21,667 

Investments

6,250 

-

Loss attributable to equity method investments

(2,288)

(6,863)

Carrying value of equity method investments

$

18,071 

$

14,804