Quarterly report pursuant to Section 13 or 15(d)

MARKETABLE SECURITIES (Tables)

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MARKETABLE SECURITIES (Tables)
9 Months Ended
Mar. 31, 2024
Investments, Debt and Equity Securities [Abstract]  
Schedule of Marketable Securities
The amortized cost and fair value of marketable securities as of the dates indicated below were as follows:
As of March 31, 2024 (In thousands) Amortized
Cost
Gross
Unrealized
Gains
Gross
Unrealized
Losses
Fair
Value
Corporate debt securities $ 767,413  $ 1,646  $ (1,923) $ 767,136 
Money market funds and other 1,091,385  —  —  1,091,385 
Municipal securities 40,271  64  (208) 40,127 
U.S. Government agency securities 93,382  57  (231) 93,208 
U.S. Treasury securities 764,664  180  (3,729) 761,115 
Subtotal 2,757,115  1,947  (6,091) 2,752,971 
Add: Time deposits(1)
1,054,499  —  —  1,054,499 
Less: Cash equivalents 1,390,596  —  (1) 1,390,595 
Marketable securities(2)
$ 2,421,018  $ 1,947  $ (6,090) $ 2,416,875 
As of June 30, 2023 (In thousands) Amortized
Cost
Gross
Unrealized
Gains
Gross
Unrealized
Losses
Fair
Value
Corporate debt securities $ 508,511  $ 52  $ (5,913) $ 502,650 
Money market funds and other 1,257,223  —  —  1,257,223 
Municipal securities 32,525  —  (737) 31,788 
U.S. Government agency securities 134,486  (918) 133,572 
U.S. Treasury securities 538,487  10  (8,782) 529,715 
Subtotal 2,471,232  66  (16,350) 2,454,948 
Add: Time deposits(1)
471,439  —  —  471,439 
Less: Cash equivalents 1,629,248  —  1,629,252 
Marketable securities(2)
$ 1,313,423  $ 62  $ (16,350) $ 1,297,135 
________________
(1) Time deposits excluded from fair value measurements.
(2) Excludes equity marketable securities.
Schedule of Debt Securities, Available-for-Sale, Unrealized Loss Position, Fair Value The following table summarizes the fair value and gross unrealized losses of our investments that were in an unrealized loss position as of the dates indicated below.
As of March 31, 2024 Less than 12 Months 12 Months or Greater Total
(In thousands) Fair Value Gross
Unrealized
Losses
Fair Value Gross
Unrealized
Losses
Fair Value Gross
Unrealized
Losses
Corporate debt securities $ 295,694  $ (823) $ 81,327  $ (1,100) $ 377,021  $ (1,923)
Municipal securities 13,938  (91) 8,088  (117) 22,026  (208)
U.S. Government agency securities 54,739  (227) 2,517  (4) 57,256  (231)
U.S. Treasury securities 460,112  (1,521) 141,125  (2,208) 601,237  (3,729)
Total $ 824,483  $ (2,662) $ 233,057  $ (3,429) $ 1,057,540  $ (6,091)
As of June 30, 2023 Less than 12 Months 12 Months or Greater Total
(In thousands) Fair Value Gross
Unrealized
Losses
Fair Value Gross
Unrealized
Losses
Fair Value Gross
Unrealized
Losses
Corporate debt securities $ 310,613  $ (2,242) $ 161,263  $ (3,671) $ 471,876  $ (5,913)
Municipal securities 9,011  (199) 17,253  (538) 26,264  (737)
U.S. Government agency securities 80,793  (459) 36,406  (459) 117,199  (918)
U.S. Treasury securities 288,376  (4,117) 183,475  (4,665) 471,851  (8,782)
Total $ 688,793  $ (7,017) $ 398,397  $ (9,333) $ 1,087,190  $ (16,350)
Schedule of Contractual Maturities of Securities
The contractual maturities of securities classified as available-for-sale, regardless of their classification on our Condensed Consolidated Balance Sheets, as of the date indicated below were as follows:
As of March 31, 2024 (In thousands) Amortized Cost Fair Value
Due within one year $ 1,566,845  $ 1,564,521 
Due after one year through three years 854,173  852,354 
Total $ 2,421,018  $ 2,416,875