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Balance Sheets-Additional Information (Tables)
3 Months Ended
Sep. 30, 2025
Balance Sheets-Additional Information  
Schedule of inventories

September 30, 

June 30, 

As of

    

2025

    

2025

Inventories

  

Raw materials

$

166,422

$

162,626

Work-in-process

25,785

27,982

Finished goods

279,568

253,817

$

471,775

$

444,425

 

Schedule of other assets

    

September 30, 

June 30, 

As of

    

2025

    

2025

Other assets

ROU operating lease assets

$

40,146

 

$

41,339

Deferred income taxes

 

23,544

 

25,548

Deposits

 

615

 

610

Insurance investments

 

5,008

 

6,547

Other investments

 

8,350

 

5,142

Debt issuance costs

 

3,482

 

3,714

Derivative instruments

42

89

Other

19,086

16,501

$

100,273

 

$

99,490

 

Schedule of accrued expenses and other current liabilities

    

September 30, 

    

June 30, 

As of

    

2025

    

2025

Accrued expenses and other current liabilities

 

  

 

  

Employee related

$

37,216

$

51,758

Current operating lease liabilities

 

9,021

 

9,127

Commissions and rebates

20,814

23,274

Professional fees

 

8,810

 

8,098

Income and other taxes

10,613

8,397

Insurance-related

 

1,669

 

1,655

Insurance premium financing

3,423

5,476

Other

 

29,532

 

31,237

$

121,098

$

139,022

 

Schedule of other liabilities

    

September 30, 

    

June 30, 

As of

    

2025

    

2025

Other liabilities

Long-term operating lease liabilities

$

33,116

$

33,740

Long-term and deferred income taxes

 

20,606

19,471

Supplemental retirement benefits, deferred compensation and other

5,611

5,526

U.S. pension plan, net

 

1,729

 

1,795

International retirement plans

 

3,598

 

3,532

Derivative instruments

3,704

3,885

Other long-term liabilities

 

10,822

 

11,361

$

79,186

$

79,310

 

Schedule of accumulated other comprehensive loss

September 30, 

    

June 30, 

As of

    

2025

    

2025

Accumulated other comprehensive loss

  

  

Derivative instruments

$

(3,159)

$

(2,354)

Foreign currency translation adjustment

 

(108,909)

 

(113,452)

Unrecognized net pension losses

 

(12,314)

 

(12,392)

Income tax benefit

 

4,361

 

4,180

$

(120,021)

$

(124,018)