v3.26.1
Additional Financial Information (Tables)
12 Months Ended
Jun. 30, 2026
Additional Financial Information [Abstract]  
Schedule of Cash, Cash Equivalents and Restricted Cash
The following table provides a summary of the amounts recorded as Cash, cash equivalents and restricted cash:
As of June 30,
20262025
Cash and cash equivalents$293,599 $43,017 
Restricted cash559 521 
Total cash, cash equivalents and restricted cash
$294,158 $43,538 
Schedule of Prepaid Expenses and Other Current Assets
Prepaid expenses and other current assets consisted of the following:
As of June 30,
20262025
Prepaid and deferred revenue sharing expenses$64,608 $61,997 
Other prepaid expenses30,612 26,987 
Current contract assets(a)
8,398 7,648 
Inventory(b)
3,748 3,751 
Other4,493 3,943 
Total prepaid expenses and other current assets$111,859 $104,326 
________________
(a)     See Note 3. Revenue Recognition for more information on contract assets.
(b)     Inventory is primarily comprised of food and liquor for the venues.
Schedule of Other Non-current Assets
Other non-current assets consisted of the following:
As of June 30,
20262025
Unbilled lease receivable (a)
$160,788 $125,527 
Investments (b)
8,779 7,088 
Deferred costs11,041 5,683 
Other5,580 1,879 
Total other non-current assets$186,188 $140,177 
________________
(a)    Unbilled lease receivable relates to the amounts recorded under the Arena License Agreements.
(b)    See Note 6. Investments for more information on long-term investments.
Schedule of Accounts Payable, Accrued and Other Current Liabilities
Accounts payable, accrued and other current liabilities consisted of the following:
As of June 30,
20262025
Accounts payable$26,990 $12,102 
Accrued payroll and employee related liabilities69,769 54,355 
Cash due to promoters189,285 76,455 
Accrued expenses and other current liabilities38,664 41,448 
Total accounts payable, accrued and other current liabilities$324,708 $184,360 
Schedule of Other (Expense) Income
Other expense, net includes the following:
Years Ended June 30,
202620252024
Net periodic benefit costs (excluding service costs)$(1,752)$(2,558)$(3,442)
Realized and unrealized gain (loss) on equity investments with readily determinable fair value
862 127 (1,242)
Other97 210 12 
Total other expense, net$(793)$(2,221)$(4,672)