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Restructuring Plans (Tables)
9 Months Ended
Mar. 31, 2025
Restructuring and Related Activities [Abstract]  
Schedule of Components of Restructuring Charges and Payments and Other Deductions
Activity and accrual balances for the 2023 Plan were as follows for the first three quarters of fiscal 2025 and 2024 ($000):
Severance
Asset Write-Offs
Other
Total Accrual
Balance - June 30, 2024$51,061 $— $— $51,061 
Restructuring charges (recoveries)(455)15,970 8,850 24,365 
Payments(6,796)— — (6,796)
Asset write-offs and other— (15,970)(8,850)(24,820)
Balance - September 30, 202443,810 — — 43,810 
Restructuring charges 2,882 — 5,139 8,021 
Payments(752)— — (752)
Asset write-offs and other(1,609)— (5,139)(6,748)
Balance - December 31, 202444,331 — — 44,331 
Restructuring charges6,919 — 3,622 10,541 
Payments(5,038)— — (5,038)
Asset write-offs and other547 — (3,622)(3,075)
Balance - March 31, 2025$46,759 $— $— $46,759 

Severance
Asset Write-Offs
Other
Total Accrual
Balance - June 30, 2023$64,379 $— $— $64,379 
Restructuring charges 2,050 269 699 3,018 
Payments(7,930)— — (7,930)
Asset write-offs and other— (269)(699)(968)
Balance - September 30, 202358,499 — — 58,499 
Restructuring charges (recoveries)(4,848)54 3,224 (1,570)
Payments(2,103)— — (2,103)
Asset write-offs and other— (54)(3,224)(3,278)
Balance - December 31, 202351,548 — — 51,548 
Restructuring charges 5,232 1,593 4,705 11,530 
Payments(3,358)— — (3,358)
Asset write-offs and other— (1,593)(4,705)(6,298)
Balance - March 31, 2024$53,422 $— $— $53,422 
Activity and accrual balances for the 2025 Plan were as follows for the third quarter of fiscal 2025 ($000):
Severance
Asset Write-Offs
Other
Total Accrual
Balance - December 31, 2024$— $— $— $— 
Restructuring charges (recoveries)22,202 40,759 266 63,227 
Payments(2,735)— — (2,735)
Asset write-offs and other(301)(40,759)(266)(41,326)
Balance - March 31, 2025$19,166 $— $— $19,166