v3.26.1
CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Thousands
12 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Jun. 30, 2024
Cash flows from operating activities      
Net income $ 338,192 $ 287,941 $ 204,183
Adjustments to reconcile net income to net cash provided by operating activities:      
Depreciation and amortization expense 126,562 114,669 109,683
Stock-based compensation expense 40,255 36,794 31,462
Deferred income taxes 39,993 (17,783) 2,890
Provision for credit losses 16,463 15,267 22,844
Amortization of fees on debt 1,673 1,647 1,640
Noncash operating lease expense 5,063 12,265 14,246
Impairment of long-lived assets   59,478  
Other 20,514 (596) 849
Changes in assets and liabilities:      
Accounts receivable (121,370) (102,188) (32,056)
Inventories, prepaid expenses, deposits and other current and long-term assets 6,538 (6,239) (8,877)
Accounts payable 2,164 310 (6,844)
Accrued liabilities (10,188) 40,915 (16,556)
Accrued compensation and benefits (11,828) 9,913 7,394
Operating lease liability (16,943) (12,396) (14,990)
Deferred revenue and other liabilities (3,274) (7,181) (37,071)
Net cash provided by operating activities 433,814 432,816 278,797
Cash flows from investing activities      
Purchase of property and equipment (587) (1,781) (2,270)
Capitalized software development costs (61,591) (36,428) (40,653)
Capitalized curriculum development costs (16,668) (21,801) (18,666)
Other acquisitions, loans and investments, net of distributions (55,538) (20,682) (5,196)
Proceeds from the maturity of marketable securities 279,497 252,930 204,487
Purchases of marketable securities (324,941) (260,233) (277,573)
Net cash used in investing activities (179,828) (87,995) (139,871)
Cash flows from financing activities      
Repayments on finance lease obligations (56,856) (41,469) (40,919)
Purchase of treasury stock (188,659)    
Repurchase of restricted stock for income tax withholding (36,467) (21,469) (8,200)
Net cash used in financing activities (281,982) (62,938) (49,119)
Net change in cash, cash equivalents and restricted cash (27,996) 281,883 89,807
Cash, cash equivalents and restricted cash, beginning of period 782,497 500,614 410,807
Cash, cash equivalents and restricted cash, end of period $ 754,501 $ 782,497 $ 500,614