根据第13和15(d)条的年度报告

衍生工具和对冲活动(表)

v3.7.0.1
衍生工具和对冲活动(表)
12 Months Ended
Jun. 30, 2017
衍生工具和对冲活动Disclosure [Abstract]
Schedule of Derivative Instruments, Location, Designated and Non-Designated, Gains (Losses)
指定期间的合并财务报表中报告的指定和非指定衍生工具的损益的位置和数量如下:
(In thousands)
Location in Financial Statements
截至6月30日的年
2017
2016
Derivatives Designated as Hedging Instruments
Gains (losses) in accumulated OCI on derivatives (effective portion)
积累的OCI
$
10,138

$
(9,622
Gains (losses) reclassified from accumulated OCI into income (effective portion):
Revenues
$
2,846

$
(2,926
收入的成本
(378
(1,551
Interest expense
754

755

Net gains (losses) reclassified from accumulated OCI into income (effective portion)
$
3,222

$
(3,722
Net losses recognized in income on derivatives (ineffective portion and amount excluded from effectiveness testing)
其他费用(收入),净
$
(929
$
(989
Derivatives Not Designated as Hedging Instruments
Gains (losses) recognized in income
其他费用(收入),净
$
7,318

$
(21,430
Schedule of Notional Amounts of Derivatives Outstanding
The U.S. dollar equivalent of all outstanding notional amounts of hedge contracts, with maximum remaining maturities of approximately ten months and seven months as of June 30, 2017 and 2016 , respectively, were as follows:
(In thousands)
As of
June 30, 2017
As of
June 30, 2016
Cash flow hedge contracts
Purchase
$
19,305

$
7,591

Sell
$
128,672

$
91,793

其他外币对冲合同
Purchase
$
165,563

$
122,275

Sell
$
118,504

$
115,087

衍生工具的时间表,公允价值
The locations and fair value amounts of the Company’s derivative instruments reported in its Consolidated Balance Sheets as of the dates indicated below were as follows:
Asset Derivatives
责任衍生物
Balance Sheet
Location
As of
June 30, 2017
As of
June 30, 2016
Balance Sheet
Location
As of
June 30, 2017
As of
June 30, 2016
(In thousands)
公允价值
公允价值
指定为对冲乐器的衍生物
Foreign exchange contracts
其他流动资产
$
2,198

$
342

Other current liabilities
$
72

$
4,736

指定为对冲工具的总导数
2,198

342

72

4,736

Derivatives not designated as hedging instruments
Foreign exchange contracts
其他流动资产
3,733

753

Other current liabilities
1,203

6,911

总导数not designated as hedging instruments
3,733

753

1,203

6,911

总导数
$
5,931

$
1,095

$
1,275

$
11,647

Balances and Changes in Accumulated Other Comprehensive Income Related to Derivative Instruments
下表提供了与指定期间的衍生工具有关的累积OCI的平衡和变化:
截至6月30日的年
(In thousands)
2017
2016
Beginning balance
$
1,210

$
7,110

重新分类为收入的金额
(3,222
3,722

Net change in unrealized gains or losses
10,138

(9,622
结束平衡
$
8,126

$
1,210

衍生资产和负债的抵消
As of June 30, 2017 and 2016 , information related to the offsetting arrangements was as follows (in thousands):
截至2017年6月30日
在合并资产负债表中没有抵消的衍生物总数
Description
Gross Amounts of Derivatives
合并资产负债表中的总数量抵消了衍生品
Net Amount of Derivatives Presented in the Consolidated Balance Sheets
Financial Instruments
Cash Collateral Received
Net Amount
Derivatives - Assets
$
5,931

$
-

$
5,931

$
(1,275
$
-

$
4,656

Derivatives - Liabilities
$
(1,275
$
-

$
(1,275
$
1,275

$
-

$
-

截至2016年6月30日
在合并资产负债表中没有抵消的衍生物总数
Description
Gross Amounts of Derivatives
合并资产负债表中的总数量抵消了衍生品
Net Amount of Derivatives Presented in the Consolidated Balance Sheets
Financial Instruments
Cash Collateral Received
Net Amount
Derivatives - Assets
$
1,095

$
-

$
1,095

$
(843
$
-

$
252

Derivatives - Liabilities
$
(11,647
$
-

$
(11,647
$
843

$
-

$
(10,804
Baidu