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Note 5 - Fair Value Measurements (Tables)
9 Months Ended
Mar. 31, 2021
Notes Tables  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Table Text Block]
  

Total

carrying

value as of

  

Fair Value Measurements Using

Inputs Considered as

 
  

March

31,

2021

  

Level 1

  

Level 2

  

Level 3

 

Assets

                

Equity securities (1)

 $77,608  $71,104  $6,504  $- 

Certificates of deposit (2)

  12,500   12,500   -   - 

Total assets

 $90,108  $83,604  $6504  $- 
                 

Liabilities

                

Contingent consideration

 $12,170  $-  $-  $12,170 

Derivative instruments - cash flow hedges

  10,281   -   10,281   - 

Total liabilities

 $22,451  $-  $10,281  $12,170 
  

Total

carrying

value as of

  

Fair Value Measurements Using

Inputs Considered as

 
  

June 30,

2020

  

Level 1

  

Level 2

  

Level 3

 

Assets

                

Equity securities (1)

 $87,842  $79,846  $7,996  $- 

Certificates of deposit (2)

  36,426   36,426   -   - 

Total assets

 $124,268  $116,272  $7,996  $- 
                 

Liabilities

                

Contingent consideration

 $6,137  $-  $-  $6,137 

Derivative instruments - cash flow hedges

  17,331   -   17,331   - 

Total liabilities

 $23,468  $-  $17,331  $6,137 
Fair Value, Liabilities Measured on Recurring Basis, Unobservable Input Reconciliation [Table Text Block]
  

Quarter Ended

  

Nine Months Ended

 
  

March 31,

2021

  

March 31,

2021

 

Fair value at the beginning of period

 $10,582  $6,137 

Change in fair value of contingent consideration

  1,588   6,188 

Payments

  -

 

  (155

)

Fair value at the end of period

 $12,170  $12,170