v3.26.1
EMPLOYEE BENEFIT PLANS - Schedule of Reconciliations of Level 3 Plan Assets (Details) - USD ($)
$ in Millions
12 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Change in plan assets    
Fair value of plan assets—July 1 $ 130.1 $ 128.2
Return on plan assets 14.6 5.0
Effect of exchange rates (3.1) 12.7
Fair value of plan assets—June 30 132.6 130.1
International | Pension Plans    
Change in plan assets    
Fair value of plan assets—July 1 129.9 128.0
Return on plan assets 14.6 5.0
Effect of exchange rates (3.1) 12.7
Fair value of plan assets—June 30 132.4 129.9
International | Pension Plans | Level 3    
Change in plan assets    
Fair value of plan assets—July 1 52.3 56.9
Return on plan assets 4.7 1.4
Purchases, sales and settlements, net (4.8) (12.1)
Effect of exchange rates (0.8) 6.1
Fair value of plan assets—June 30 $ 51.4 $ 52.3