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Fair Value Measurements (Tables)
3 Months Ended
Sep. 27, 2025
Fair Value Disclosures [Abstract]  
Schedule of Financial Assets Measured at Fair Value on a Recurring Basis
At September 2025 and June 2025, financial assets measured at fair value on a recurring basis are summarized below:
September 2025June 2025
Level 1Level 2TotalLevel 1Level 2Total
Cash equivalents:
Money market funds$21.8 $— $21.8 $16.7 $— $16.7 
Certificates of deposit— 80.7 80.7 — 14.1 14.1 
Total cash and cash equivalents21.8 80.7 102.5 16.7 14.1 30.8 
Short-term investments:
Certificates of deposit— — — — 61.0 61.0 
Total assets measured at fair value$21.8 $80.7 $102.5 $16.7 $75.1 $91.8 
We did not have any financial assets requiring Level 3 measurement in the periods presented.
Schedule of Carrying Amounts and Estimated Fair Values of the Notes
The carrying amounts and estimated fair values of the Notes are as follows for the periods presented:
September 2025June 2025
Carrying AmountEstimated Fair ValueCarrying AmountEstimated Fair Value
2029 Notes
$397.1 $380.2 $397.0 $373.2 
2031 Notes438.3 441.0 437.8 415.7 
$835.4 $821.2 $834.8 $788.9