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Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
12 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2023
Operating activities:      
Net income (loss) $ 15,240 $ (56,443) $ 107,910
Adjustments to reconcile net income (loss) to net cash provided by operating activities:      
Non-cash compensation expense 5,916 4,935 5,894
Non-cash compensation to directors 1,091 1,512 1,136
Depreciation 31,794 26,178 21,912
Amortization 6,799 6,811 6,808
Deferred income taxes 3,870 (4,355) (16,158)
Adjustment to tax receivable agreement liability (347) 36 188
Other items, net 2,394 2,217 1,680
Goodwill and other intangible asset impairment 0 88,389 0
Abandonment of construction in process 0 8,735 0
Change in operating assets and liabilities:      
Trade receivables 106 45,257 (16,804)
Inventories 3,373 25,702 (14,362)
Prepaid expenses and other assets (493) 1,668 (1,705)
Accounts payable 6,560 (20,612) (5,148)
Income taxes receivable and payable 269 (708) 6
Accrued expenses (17,758) (67,634) 99,326
Other liabilities (2,308) (1,922) (1,976)
Payment pursuant to tax receivable agreement 0 (4,208) (3,974)
Net cash provided by operating activities 56,506 55,558 184,733
Investing activities:      
Purchases of property and equipment (27,917) (75,962) (54,840)
Proceeds from sale of property and equipment 543 120 202
Net cash used in investing activities (27,374) (75,842) (54,638)
Financing activities:      
Proceeds from revolving credit facility 48,000 75,000 241,700
Payments on revolving credit facility (30,000) (75,000) (338,700)
Principal payments on long-term borrowings 0 0 (23,125)
Payment of deferred financing costs 0 0 (1,362)
Proceeds received from exercise of stock options 233 0 1,317
Cash paid for tax withholdings (1,098) (1,489) (3,135)
Distributions to non-controlling LLC Unit holders 0 (890) (3,401)
Repurchase and retirement of Class A Common Stock (35,955) (29,316) (7,868)
Net cash used in financing activities (18,820) (31,695) (134,574)
Effect of exchange rate changes on cash (255) (13) (328)
Changes in cash 10,057 (51,992) (4,807)
Cash—Beginning of period 26,945 78,937 83,744
Cash—End of period 37,002 26,945 78,937
Supplemental cash flow information:      
Cash paid for interest 1,945 3,046 3,061
Cash paid for income taxes 910 3,529 50,515
Income tax refunds (1,565) (1,404) 0
Non-cash operating, investing and financing activities:      
Establishment of deferred tax assets from step-up in tax basis 367 1,960 2,619
Establishment of amounts payable under tax receivable agreements 167 1,320 1,710
Exchange of LLC Units for Class A Common Stock 691 2,521 2,765
Tax distributions payable to non-controlling LLC Unit holders 0 0 776
Reclassification of properties to assets held for sale 3,059 0 0
ROU assets obtained in exchange for lease liabilities 1,787 0 0
Repurchase/retirement of common stock not settled 0 527 0
Capital expenditures in accounts payable $ 250 $ 1,045 $ 2,207