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Fair Value Measurements (Tables)
6 Months Ended
Sep. 30, 2025
Fair Value Disclosures [Abstract]  
Schedule of Financial Assets and Liabilities Measured or Disclosed at Fair Value
The following tables provide information regarding financial assets and liabilities measured or disclosed at fair value (in thousands):
 Fair value measurements at reporting date using
 September 30,Quoted prices in active markets for identical assetsSignificant other observable inputsSignificant unobservable inputs
Description2025(Level 1)(Level 2)(Level 3)
Assets/(Liabilities) measured at fair value:
Marketable securities$10,443 $10,443 $— $— 
Annuity contract1,118 — 1,118 — 
Terminated pension plan assets5,104 5,104 
Derivative Assets (Liabilities):
 Foreign exchange contracts125 — 125 — 
 Interest rate swap (3,432)— (3,432)— 
 Cross currency swap (6,286)— (6,286)— 
Disclosed at fair value:
Term Loan B$(428,629)$— $(428,629)$— 
AR Securitization Facility$(22,900)$— $(22,900)$— 
 Fair value measurements at reporting date using
 March 31,Quoted prices in active markets for identical assetsSignificant other observable inputsSignificant unobservable inputs
Description2025(Level 1)(Level 2)(Level 3)
Assets/(Liabilities) measured at fair value:
Marketable securities$10,112 $10,112 $— $— 
Annuity contract1,235 — 1,235 — 
Terminated pension plan assets6,342 6,342 
Derivative assets (liabilities):
 Foreign exchange contracts(49)— (49)— 
 Interest rate swap (1,140)— (1,140)— 
 Cross currency swap (1,849)— (1,849)— 
Disclosed at fair value:— 
Term Loan B$(437,013)$— $(437,013)$— 
AR Securitization Facility$(25,000)$— $(25,000)$—