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ORGANIZATION AND BASIS OF PRESENTATION - Supplemental Cash Flow Information (Details) - USD ($)
$ in Thousands
12 Months Ended
Jun. 30, 2023
Jun. 30, 2022
Jun. 30, 2021
Supplemental schedule of cash flows information:      
Interest paid $ 18,712 $ 11,256 $ 11,888
Income taxes paid 4,593 3,103 44,011
Supplemental schedule of non-cash investing and financing activities:      
Non-cash investment in unconsolidated affiliates 8,819 0 0
Non-cash additions to property and equipment 2,731 402 755
Accrued dividend equivalents 1,032 963 686
Increase in redeemable limited partners' capital for adjustment to fair value, with offsetting decrease in stockholders' equity 0 0 26,685
Decrease in redeemable limited partners' capital, with offsetting increase in stockholders' equity related to quarterly exchanges by member owners 0 0 (2,437)
Net increase in deferred tax assets related to departures and quarterly exchanges by member owners and other adjustments 0 0 331
Net increase in deferred tax assets related to final exchange by member owners 0 0 284,852
Reclassification of redeemable limited partners' capital to additional paid in capital 0 0 1,754,607
Decrease in additional paid-in capital related to notes payable to members, net of discounts 0 0 438,967
Net increase in additional paid-in capital related to departures and quarterly exchanges by member owners and other adjustments 0 0 37,319
Increase in additional paid-in capital related to final exchange by member owners $ 0 $ 0 $ 517,526