Annual report pursuant to Section 13 and 15(d)

Note 10 - Share-based Compensation and Other Benefit Plans (Tables)

v3.20.2
Note 10 - Share-based Compensation and Other Benefit Plans (Tables)
12 Months Ended
Jun. 30, 2020
Notes Tables  
Schedule of Share-based Payment Award, Stock Options, Valuation Assumptions [Table Text Block]
   

Year Ended June 30,

 
   

2020

   

2019

   

2018

 
                               

Dividend yield

    0.67%         0.74%         1.1%    

Expected volatility

  22% - 24%     20% - 23%     21% - 24%  
Risk-free interest rates   1.3% - 1.9%     2.5% - 3.0%     1.7% - 2.8%  

Expected lives (years)

    4.0         4.1         4.7    
Share-based Payment Arrangement, Option, Activity [Table Text Block]
   

Number of

Shares (in

thousands)

   

Weighted
Average
Exercise
Price

   

Aggregate
Intrinsic
Value

(millions)

   

Weighted

Average

Contractual

Life (years)

 
                                 

Outstanding at June 30, 2017

    2,821     $ 98.42                  

Granted

    1,087       120.67                  

Forfeited

    (252

)

    86.62                  

Exercised

    (204

)

    111.51                  

Outstanding at June 30, 2018

    3,452     $ 105.17                  

Granted

    917       173.89                  

Forfeited

    (330

)

    129.93                  

Exercised

    (383

)

    95.29                  

Outstanding at June 30, 2019

    3,656     $ 121.16                  

Granted

    752       190.80                  

Forfeited

    (56

)

    95.97                  

Exercised

    (743

)

    157.45                  

Outstanding at June 30, 2020

    3,609     $ 140.28     $ 446.7       4.3  
                                 

Exercisable at June 30, 2018:

    1,151       90.75                  

Exercisable at June 30, 2019:

    1,467       98.70                  

Exercisable at June 30, 2020:

    1,564       112.60     $ 236.8       3.3  
Share-based Payment Arrangement, Restricted Stock and Restricted Stock Unit, Activity [Table Text Block]
   

Number of

Shares (in

thousands)

   

Weighted

Average Grant

Date Fair

Value

   

Weighted

Average

Remaining

Contractual

Term

(years)

 

Unvested at June 30, 2017

    32     $ 105.80          

Granted

    20       125.05          

Vested

    (17

)

    104.66          

Forfeited

    -       -          

Unvested at June 30, 2018

    35     $ 117.39          

Granted

    15       177.93          

Vested

    (20

)

    116.76          

Forfeited

    -       -          

Unvested at June 30, 2019

    30     $ 147.94          

Granted

    15       193.48          

Vested

    (18

)

    142.12          

Forfeited

    -       -          

Unvested at June 30, 2020

    28     $ 177.20       6.14  
   

Number of

Units

(in thousands)

   

Weighted

Average Grant

Date Fair

Value

   

Weighted

Average

Remaining

Contractual

Term

(years)

 

Outstanding at June 30, 2017

    111     $ 106.39          

Granted

    71       129.99          

Vested

    (16

)

    95.46          

Forfeited

    (18

)

    115.01          

Outstanding at June 30, 2018

    148     $ 117.95          

Granted

    56       170.96          

Vested

    (28

)

    110.86          

Forfeited

    (36

)

    143.72          

Outstanding at June 30, 2019

    139     $ 134.17          

Granted

    31       192.08          

Vested

    (51

)

    111.07          

Forfeited

    (3

)

    155.6          

Outstanding at June 30, 2020

    116     $ 159.25       5.20