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ORGANIZATION AND BASIS OF PRESENTATION - Supplemental Cash Flow Information (Details) - USD ($)
$ in Thousands
12 Months Ended
Jun. 30, 2022
Jun. 30, 2021
Jun. 30, 2020
Organization, Consolidation and Presentation of Financial Statements [Abstract]      
Non-cash additions to property and equipment $ 402 $ 755 $ 5,000
Accrued dividend equivalents 963 686 0
Increase (decrease) in redeemable limited partners' capital for adjustment to fair value, with offsetting decrease (increase) in stockholders' equity 0 26,685 (468,311)
Decrease in redeemable limited partners' capital, with offsetting increase in stockholders' equity related to quarterly exchanges by member owners 0 (2,437) (460,593)
Net increase in deferred tax assets related to departures and quarterly exchanges by member owners and other adjustments 0 331 62,776
Net increase in deferred tax assets related to final exchange by member owners 0 284,852 0
Reclassification of redeemable limited partners' capital to additional paid in capital 0 1,754,607 0
Decrease in additional paid-in capital related to notes payable to members, net of discounts 0 438,967 0
Net increase in additional paid-in capital related to departures and quarterly exchanges by member owners and other adjustments 0 37,319 71,568
Increase in additional paid-in capital related to final exchange by member owners $ 0 $ 517,526 $ 0