Quarterly report pursuant to Section 13 or 15(d)

Fair Value Measurements (Details)

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Fair Value Measurements (Details) (USD $)
Mar. 31, 2014
Jun. 30, 2013
Fair Value Measurements    
Cash excluded from fair value measurement $ 86,500,000 $ 125,500,000
Time deposits excluded from fair value measurement 31,011,000 [1] 43,413,000 [1]
Total
   
Fair Value Measurements    
Cash Equivalents and Marketable Securities Fair Value Disclosure 2,909,324,000 [2] 2,750,011,000 [3]
Other current assets:    
Derivative assets 2,653,000 4,016,000
Other non-current assets:    
Executive Deferred Savings Plan, other non-current assets 156,047,000 136,461,000
Total Financial Assets 3,068,024,000 [2] 2,890,488,000 [3]
Other current liabilities:    
Derivative liabilities, other current liabilities (960,000) (2,173,000)
Executive Deferred Savings Plan, other current liabilities (156,417,000) (137,849,000)
Total Financial Liabilities (157,377,000) (140,022,000)
Total | Money market and other
   
Fair Value Measurements    
Cash Equivalents 463,828,000 817,608,000
Total | U.S. Treasury securities
   
Fair Value Measurements    
Cash Equivalents 118,951,000  
Marketable securities 183,474,000 93,787,000
Total | U.S. Government agency securities
   
Fair Value Measurements    
Cash Equivalents 7,000,000  
Marketable securities 790,643,000 598,031,000
Total | Municipal securities
   
Fair Value Measurements    
Marketable securities 101,894,000 103,455,000
Total | Corporate debt securities
   
Fair Value Measurements    
Cash Equivalents 62,054,000 3,800,000
Marketable securities 1,119,198,000 1,099,525,000
Total | Sovereign securities
   
Fair Value Measurements    
Cash Equivalents 8,383,000  
Marketable securities 53,899,000 33,805,000
Level 1
   
Fair Value Measurements    
Cash Equivalents and Marketable Securities Fair Value Disclosure 1,553,639,000 [2] 1,522,985,000 [3]
Other current assets:    
Derivative assets 0 0
Other non-current assets:    
Executive Deferred Savings Plan, other non-current assets 105,024,000 96,180,000
Total Financial Assets 1,658,663,000 [2] 1,619,165,000 [3]
Other current liabilities:    
Derivative liabilities, other current liabilities 0 0
Executive Deferred Savings Plan, other current liabilities (106,644,000) (97,570,000)
Total Financial Liabilities (106,644,000) (97,570,000)
Level 1 | Money market and other
   
Fair Value Measurements    
Cash Equivalents 463,828,000 817,608,000
Level 1 | U.S. Treasury securities
   
Fair Value Measurements    
Cash Equivalents 118,951,000  
Marketable securities 183,474,000 93,787,000
Level 1 | U.S. Government agency securities
   
Fair Value Measurements    
Cash Equivalents 7,000,000  
Marketable securities 762,644,000 598,031,000
Level 1 | Municipal securities
   
Fair Value Measurements    
Marketable securities 0 0
Level 1 | Corporate debt securities
   
Fair Value Measurements    
Cash Equivalents 0 0
Marketable securities 0 0
Level 1 | Sovereign securities
   
Fair Value Measurements    
Cash Equivalents 0  
Marketable securities 17,742,000 13,559,000
Level 2
   
Fair Value Measurements    
Cash Equivalents and Marketable Securities Fair Value Disclosure 1,355,685,000 [2] 1,227,026,000 [3]
Other current assets:    
Derivative assets 2,653,000 4,016,000
Other non-current assets:    
Executive Deferred Savings Plan, other non-current assets 51,023,000 40,281,000
Total Financial Assets 1,409,361,000 [2] 1,271,323,000 [3]
Other current liabilities:    
Derivative liabilities, other current liabilities (960,000) (2,173,000)
Executive Deferred Savings Plan, other current liabilities (49,773,000) (40,279,000)
Total Financial Liabilities (50,733,000) (42,452,000)
Level 2 | Money market and other
   
Fair Value Measurements    
Cash Equivalents 0 0
Level 2 | U.S. Treasury securities
   
Fair Value Measurements    
Cash Equivalents 0  
Marketable securities 0 0
Level 2 | U.S. Government agency securities
   
Fair Value Measurements    
Cash Equivalents 0  
Marketable securities 27,999,000 0
Level 2 | Municipal securities
   
Fair Value Measurements    
Marketable securities 101,894,000 103,455,000
Level 2 | Corporate debt securities
   
Fair Value Measurements    
Cash Equivalents 62,054,000 3,800,000
Marketable securities 1,119,198,000 1,099,525,000
Level 2 | Sovereign securities
   
Fair Value Measurements    
Cash Equivalents 8,383,000  
Marketable securities $ 36,157,000 $ 20,246,000
[1] Time deposits excluded from fair value measurements.
[2] Excludes cash of $86.5 million held in operating accounts and time deposits of $31.0 million as of March 31, 2014.
[3] Excludes cash of $125.5 million held in operating accounts and time deposits of $43.4 million as of June 30, 2013.