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Acquisitions and Investments (Tables)
12 Months Ended
Jun. 30, 2018
LTS  
Acquisitions  
Schedule estimated fair value of consideration paid and identifiable assets acquired and liabilities assumed

The following table summarizes the fair values of considerations paid and identifiable assets acquired and liabilities assumed for LTS as of the date of acquisition, after the Company’s final purchase price adjustments (in millions):

 

 

 

Acquisition consideration:

June 30, 2017

Cash

$

20.2

Fair value of contingent consideration (earn-out liability)

 

2.9

Total consideration transferred

$

23.1

Identifiable assets acquired and liabilities assumed:

 

 

Customer relationships

$

1.9

Developed technology

 

1.7

Other intangible assets

 

1.0

Goodwill

 

21.0

Deferred tax

 

(2.6)

Other net assets

 

0.1