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Debt (Tables)
12 Months Ended
Jun. 30, 2025
Debt Disclosure [Abstract]  
Schedule of Debt
June 30, 2025June 30, 2024
7.375% Senior Notes due 2032 (1)$525,000 $— 
7.0% Senior Notes due 2026 (1)
— 522,135 
Senior secured credit facility1,072,818 1,084,627 
Other6,695 9,845 
Debt issuance costs and discounts, net of debt premiums(19,250)(12,312)
Total debt outstanding, net1,585,263 1,604,295 
Less: short-term debt (2)9,085 12,488 
Long-term debt$1,576,178 $1,591,807 
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(1) On September 26, 2024, we completed a private placement of $525,000 in aggregate principal amount of 7.375% Senior Notes due 2032. We used the net proceeds of this offering plus cash on hand to redeem the $522,135 in aggregate principal amount of our 7.0% Senior Notes due 2026 and pay the associated interest and financing fees.
(2) Balances as of June 30, 2025 and June 30, 2024 are inclusive of short-term debt issuance costs, debt premiums and discounts of $4,895 and $3,492, respectively.