Annual report pursuant to Section 13 and 15(d)

Financial Statement Components (Tables)

v3.5.0.2.
Financial Statement Components (Tables)
12个月结束了
君。2016年30日30日
Organization, Consolidation and Presentation of Financial Statements [Abstract]
合并资产负债表
合并资产负债表
截至6月30日,
(成千上万)
2016年
2015年
应收账款,网络:
Accounts receivable, gross
$
634,905

$
607,157

津贴含义
(21,672
)
(21,663
)
$
613,233

$
585,494.

库存:
客户服务部件
$
234,712

$
209,726.

Raw materials
208,689

194,218

劳动过程
187,733

156,820.

完成品
67,501

57,140.

$
698,635

$
617,904

其他现有资产:
预付的费用
$
37,127

$
37,006

所得税相关应收税款
18,190

32,850.

Other current assets
9,553

7,958

$
64,870

$
77,814

土地,物业和设备,网:
Land
$
40,603

$
40,397

建筑物和租赁改进
313,239.

316,566.

机械和工具
507,378

510,642

办公家具和夹具
21,737

21,411

施工
5,286

3,152

888,243

892,168

较少:累计折旧和摊销
(610,229.
)
(577,577.
)
$
278,014

$
314,591

Other non-current assets:
执行延期储蓄计划
$
162,160

$
165,655

Other non-current assets
12,499

15,384

$
174,659

$
181,039

其他流动负债:
赔偿和福利
$
224,496

$
196,682

执行延期储蓄计划
162,289

167,886

客户信贷和进展
81,994

93,212

Warranty
34,773

36,413

Income taxes payable
27,964

15,582

Interest payable
19,395

19,395

其他应计费用
111,297

132,244

$
662,208

$
661,414

Other non-current liabilities:
Pension liabilities
$
69,418

$
55,696.

Income taxes payable
50,365

69,018

Other non-current liabilities
36,840

57,516

$
156,623

$
182,230



Schedule of Accumulated Other Comprehensive Income (Loss)
The components of accumulated other comprehensive income (loss) (“OCI”) as of the dates indicated below were as follows:
(成千上万)
Currency Translation Adjustments
Unrealized Gains (Losses) on Available-for-Sale Securities
Unrealized Gains (Losses) on Cash Flow Hedges
未实现的收益(亏损)在界定的福利计划上
全部的
截至2016年6月30日余额
$
(32,424.
)
$
3,451

$
775.

$
(20,487
)
$
(48,685.
)
截至2015年6月30日的余额
$
(29,925
)
$
734

$
4,553

$
(15,935
)
$
(40,573
)
重新分类累积其他综合收益
The effects on net income of amounts reclassified from accumulated OCI to the Consolidated Statements of Operations for the indicated periods were as follows (in thousands):
在综合业务陈述中的位置
Year ended June 30,
累积的OCI组件
2016年
2015年
来自外汇和利率合约的现金流量对未实现的收益(亏损)
收入
$
(2,926.
)
$
7,615

Costs of revenues
(1,551
)
(1,503
)
利息花费
755.

503.

净收益从累计的OCI重新分类
$
(3,722.
)
$
6,615

Unrealized gains (losses) on available-for-sale securities
Other expense (income), net
$
312.

$
2,119

Consolidated Statements of Operations
Consolidated Statements of Operations
Year ended June 30,
(成千上万)
2016年
2015年
2014年
其他费用(收入),网:
Interest income
$
(14,507
)
$
(12,545.
)
$
(13,555.
)
外汇损失,网
1,235

1,764

514.

Net realized gains on sale of investments
(311
)
(2,119
)
(2,084
)
Other
(7,051.
)
2,431

(1,078
)
$
(20,634
)
$
(10,469
)
$
(16,203.
)
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