XML 57 R38.htm IDEA: XBRL DOCUMENT v3.20.1
Debt - Additional Information (Detail)
$ in Thousands
9 Months Ended
Mar. 31, 2020
USD ($)
Rate
Jun. 30, 2019
USD ($)
Credit Agreement Terms    
Senior secured revolving credit facility | $ $ 300,000 $ 300,000
Line Of Credit Facility Expiration Date Feb. 08, 2022  
Senior Leverage Ratio, Maximum 3.00  
Senior Leverage Ratio, Minimum 1.00  
Fixed Charge Coverage Ratio, Maximum 1.25  
Fixed Charge Coverage Ratio, Minimum 1.00  
Amount of Limit on Asset Dispositions | $ $ 20,000  
Sublimit on Australian Dollar, Canadian Dollar, Euro and Pounds Sterling | $ 75,000  
Sub-limit on letters of credit under the credit facility | $ $ 200,000  
Additional Margin on alternate base rate loans, Minimum 0.625%  
Additional Margin on alternate base rate loans, Maximum 1.625%  
Additional Margin on Adjusted LIBO, EURIBO and CDOR loans, Minimum 1.625%  
Additional Margin on Adjusted LIBO, EURIBO and CDOR loans, Maximum 2.625%  
Additional Margin on Canadian prime rate loans, Minimum 2.125%  
Additional Margin on Canadian prime rate loans, Maximum 3.125%  
Consolidated EBITDA as defined in the Credit Agreement | $ $ 64,400  
Consolidated funded indebtedness | $ $ 64,200  
Minimum [Member]    
Credit Agreement Terms    
Unused Credit Facility Fee 0.25%  
Maximum [Member]    
Credit Agreement Terms    
Unused Credit Facility Fee 0.45%