Quarterly report pursuant to Section 13 or 15(d)

Commitments and Contingencies (Details)

v3.6.0.2
Commitments and Contingencies (Details)
$ in Thousands
3 Months Ended 6 Months Ended
Dec. 31, 2016
USD ($)
Dec. 31, 2015
USD ($)
Dec. 31, 2016
USD ($)
vesting_installment
Dec. 31, 2015
USD ($)
Merger-Related Commitment And Fees [Abstract]        
Integration related costs     $ 23,100  
Receivables Sold Under Factoring Agreements        
Receivables sold under factoring agreements $ 28,242 $ 41,756 84,975 $ 75,600
Proceeds from sales of LCs 9,740 4,062 13,148 4,062
Operating leases, rent expense 2,400 2,200 4,800 4,300
Operating Leases, Future Minimum Payments Due        
2017 (remaining 6 months) 3,978   3,978  
2018 5,994   5,994  
2019 3,405   3,405  
2020 2,657   2,657  
2021 1,779   1,779  
2022 and thereafter 3,376   3,376  
Total minimum lease payments 21,189   21,189  
Commitments and Contingencies        
Purchase commitments 337,900   $ 337,900  
Majority outstanding purchase commitment, period due (in months)     12 months  
Cash-based long-term incentive plan, committed amount 121,000   $ 121,000  
Standard warranty coverage (in hours per week)     40 hours  
Standard warranty coverage period (in months)     12 months  
Changes in Product Warranty Accrual        
Beginning balance 36,967 35,892 $ 34,773 36,413
Accruals for warranties issued during the period 13,191 10,733 24,093 19,772
Changes in liability related to pre-existing warranties (1,131) (3,411) (1,576) (3,594)
Settlements made during the period (8,354) (7,066) (16,617) (16,443)
Ending balance $ 40,673 $ 36,148 40,673 $ 36,148
Guarantee arrangements to fund customs guarantees for VAT and other operating requirements     22,400  
Outstanding guarantee arrangements to fund customs guarantees for VAT and other operating requirements     $ 18,700  
Cash long-term incentive plan        
Commitments and Contingencies        
Cash long-term incentive plan, number of equal vesting installments | vesting_installment     4  
Cash long-term incentive plan, percentage of equal vesting installments (as a percent)     25.00%  
Cash long-term incentive plan, vesting period (in years)     4 years