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FAIR VALUE MEASUREMENT (Tables)
3 Months Ended
Sep. 30, 2025
Fair Value Disclosures [Abstract]  
Schedule of Financial Assets and Liabilities Measured at Fair Value on a Recurring Basis
The following table summarizes the fair value of the Company’s financial instruments as of September 30, 2025 and June 30, 2025:
Fair Value
Fair Value HierarchySeptember 30, 2025June 30, 2025
Assets:
Available-for-sale financial assets (Note 7)
Level 2$18,297 $17,721 
Available-for-sale financial assets (Note 7)
Level 327,878 27,353 
Derivative asset (Note 15)
Level 244 2,984 
Liabilities:
Derivative liability (Note 15)
Level 2$(257,187)$(275,810)
Senior Notes (Note 9) (1)
Level 2(4,177,380)(4,158,921)
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(1)Senior Notes are presented within the Condensed Consolidated Balance Sheets at amortized cost. See Note 9 “Long-Term Debt” for further details.
Schedule of Reconciliation of Changes in Fair Value of Level 3 Investments
The following table provides a reconciliation of changes in the fair value of our Level 3 available-for-sale financial assets between June 30, 2025 and September 30, 2025.
Available-for-sale
financial assets
Balance as of June 30, 2025
$27,353 
Gain recognized in income525 
Balance as of September 30, 2025
$27,878