v3.26.3
Fair Value Measurements (Tables)
12 Months Ended
Jul. 31, 2026
Fair Value Disclosures [Abstract]  
Schedule of Derivatives on Balance Sheet
The fair value of the Company’s derivative contracts, recorded on the Consolidated Balance Sheets, was as follows (in millions):
Assets
Liabilities
July 31,July 31,
Balance Sheet Location2026202520262025
Designated as hedging instruments
Foreign currency forward contracts
Other current assets, other current liabilities$0.5 $0.4 $0.4 $0.3 
Net investment hedgesOther current assets, other long-term assets, other long-term liabilities 2.5 1.6 5.7 2.9 
Total designated3.0 2.0 6.1 3.2 
Not designated as hedging instruments
Foreign currency forward contracts
Other current assets, other current liabilities0.4 0.9 1.4 0.4 
Total not designated0.4 0.9 1.4 0.4 
Total$3.4 $2.9 $7.5 $3.6 
Schedule of Company’s Contingent Consideration Obligations
A reconciliation of the fair value of the Company’s contingent consideration liability that use unobservable inputs was as follows (in millions):
Balance as of July 31, 2025
$11.3 
Issuances0.0
Settlements
(2.5)
Adjustments to fair value0.2 
Balance as of July 31, 2026
$9.0 
Maximum potential payout$20.0 
Balance as of July 31, 2024
$21.8 
Issuances1.5
Settlements(5.8)
Adjustments to fair value(6.2)
Balance as of July 31, 2025
$11.3 
Maximum potential payout$22.5