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Investments
12 Months Ended
Jun. 30, 2024
Investments, Debt and Equity Securities [Abstract]  
Investments Investments
Investments consist of municipal bonds, corporate bonds, U.S. agency securities, commercial paper and certificates of deposit. All short-term investments are classified as available-for-sale. Other long-term investments consist of the MACOM Shares.
Short-term investments as of June 30, 2024 consist of the following:
 June 30, 2024
(in millions of U.S. Dollars)Amortized CostGross Unrealized GainsGross Unrealized LossesCredit Loss AllowanceEstimated Fair Value
Corporate bonds$423.5 $0.2 ($6.7)$— $417.0 
U.S. treasury securities553.3 — (0.6)— 552.7 
Municipal bonds102.8 — (2.0)— 100.8 
Certificates of deposit31.5 — — — 31.5 
U.S. agency securities10.0 — — — 10.0 
Commercial paper16.7 — — — 16.7 
Total short-term investments$1,137.8 $0.2 ($9.3)$— $1,128.7 
The following table presents the gross unrealized losses and estimated fair value of the Company’s short-term investments, aggregated by investment type and the length of time that individual securities have been in a continuous unrealized loss position:
 June 30, 2024
 Less than 12 MonthsGreater than 12 MonthsTotal
(in millions of U.S. Dollars)Fair ValueUnrealized LossFair ValueUnrealized LossFair ValueUnrealized Loss
Corporate bonds$135.2 ($0.2)$183.4 ($6.5)$318.6 ($6.7)
U.S. treasury securities507.4 (0.4)35.9 (0.2)543.3 (0.6)
Municipal bonds9.0 — 74.3 (2.0)83.3 (2.0)
U.S. agency securities14.9 — 10.0 — 24.9 — 
Total$666.5 ($0.6)$303.6 ($8.7)$970.1 ($9.3)
Number of securities with an unrealized loss141 66 207 
Short-term investments as of June 25, 2023 consist of the following:
 June 25, 2023
(in millions of U.S. Dollars)Amortized CostGross Unrealized GainsGross Unrealized LossesCredit Loss AllowanceEstimated Fair Value
Corporate bonds$512.3 $— ($16.7)$— $495.6 
Municipal bonds179.7 — (4.4)— 175.3 
Variable rate demand notes27.3 — — — 27.3 
U.S. treasury securities261.8 — (1.4)— 260.4 
U.S. agency securities77.0 — (0.2)— 76.8 
Commercial paper50.2 — — — 50.2 
Certificates of deposit112.3 — — — 112.3 
Total short-term investments1,220.6 — (22.7)— 1,197.9 
The following table presents the gross unrealized losses and estimated fair value of the Company’s short-term investments, aggregated by investment type and the length of time that individual securities have been in a continuous unrealized loss position:
 June 25, 2023
 Less than 12 MonthsGreater than 12 MonthsTotal
(in millions of U.S. Dollars)Fair ValueUnrealized LossFair ValueUnrealized LossFair ValueUnrealized Loss
Corporate bonds$151.5 ($0.5)$324.1 ($16.2)$475.6 ($16.7)
Municipal bonds61.4 (0.4)105.9 (4.0)167.3 (4.4)
U.S. treasury securities229.3 (0.5)31.1 (0.9)260.4 (1.4)
U.S. agency securities74.8 (0.2)2.0 — 76.8 (0.2)
Commercial paper3.9 — — — 3.9 — 
Total$520.9 ($1.6)$463.1 ($21.1)$984.0 ($22.7)
Number of securities with an unrealized loss95 234 329 
The Company does not include accrued interest in estimated fair values of short-term investments and does not record an allowance for credit losses on receivables related to accrued interest. Accrued interest receivable was $11.6 million and $10.1 million as of June 30, 2024 and June 25, 2023, respectively, and is recorded in other current assets on the consolidated balance sheets. When necessary, write-offs of noncollectable interest income are recorded as a reversal to interest income. There were no write-offs of noncollectable interest income for the years ended June 30, 2024 and June 25, 2023.
The Company evaluates its investments for expected credit losses. The Company believes it is able to and intends to hold each of the investments held with an unrealized loss as of June 30, 2024 until the investments fully recover in market value. No allowance for credit losses was recorded as of June 30, 2024 and June 25, 2023.
The contractual maturities of short-term investments at June 30, 2024 were as follows:
(in millions of U.S. Dollars)Within One YearAfter One, Within Five YearsAfter Five, Within Ten YearsAfter Ten YearsTotal
Corporate bonds$262.0 $155.0 $— $— $417.0 
U.S. treasury securities538.0 14.7 — — 552.7 
Municipal bonds43.3 55.1 — 2.4 100.8 
Certificates of deposit31.5 — — — 31.5 
U.S. agency securities10.0 — — — 10.0 
Commercial paper16.7 — — — 16.7 
Total short-term investments$901.5 $224.8 $— $2.4 $1,128.7