Quarterly report pursuant to Section 13 or 15(d)

INVESTMENTS IN MARKETABLE DEBT SECURITIES - Cash and cash equivalents and marketable securities held (Details)

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INVESTMENTS IN MARKETABLE DEBT SECURITIES - Cash and cash equivalents and marketable securities held (Details) - USD ($)
$ in Thousands
Mar. 31, 2023
Jun. 30, 2022
INVESTMENTS IN MARKETABLE DEBT SECURITIES    
Amortized Cost $ 95,661  
Gross Unrealized Gains 30  
Gross Unrealized Losses (162)  
Fair Value 95,529  
Cash 13,246 $ 150,410
Total cash, cash equivalents and investments in marketable debt securities 129,272 $ 150,410
Corporate commercial paper    
INVESTMENTS IN MARKETABLE DEBT SECURITIES    
Amortized Cost 38,416  
Gross Unrealized Gains 2  
Gross Unrealized Losses (37)  
Fair Value 38,381  
Obligations of U.S. government agencies    
INVESTMENTS IN MARKETABLE DEBT SECURITIES    
Amortized Cost 24,379  
Gross Unrealized Gains 23  
Gross Unrealized Losses (1)  
Fair Value 24,401  
U.S. Treasury obligations    
INVESTMENTS IN MARKETABLE DEBT SECURITIES    
Amortized Cost 5,941  
Gross Unrealized Gains 1  
Fair Value 5,942  
Corporate notes and bonds    
INVESTMENTS IN MARKETABLE DEBT SECURITIES    
Amortized Cost 22,150  
Gross Unrealized Gains 4  
Gross Unrealized Losses (122)  
Fair Value 22,032  
Asset-backed securities    
INVESTMENTS IN MARKETABLE DEBT SECURITIES    
Amortized Cost 4,775  
Gross Unrealized Losses (2)  
Fair Value 4,773  
Money market funds    
INVESTMENTS IN MARKETABLE DEBT SECURITIES    
Money market funds $ 20,497