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NOTES PAYABLE AND CREDIT FACILITY (Tables)
12 Months Ended
Mar. 31, 2019
NOTES PAYABLE AND CREDIT FACILITY [Abstract]  
Non-recourse and Recourse Obligations
Recourse and non-recourse obligations consist of the following (in thousands):

  
March 31,
2019
  
March 31,
2018
 
Recourse notes payable with interest rates of 4.00% March 31, 2019 and 4.11% at March 31, 2018.
      
Current
 
$
28
  
$
1,343
 
         
Non-recourse notes payable secured by financing receivables and investments in operating leases with interest rates ranging from 3.23% to 8.45% as of March 31, 2019 and 2.04% to 8.45% as of March 31, 2018.
        
Current
 
$
38,117
  
$
40,863
 
Long-term
  
10,502
   
10,072
 
Total non-recourse notes payable
 
$
48,619
  
$
50,935
 
Recourse and non-recourse Notes Payable
Recourse and non-recourse notes payable as of March 31, 2019, mature as follows (in thousands):

  
Recourse Notes
Payable
  
Non-Recourse
Notes Payable
 
       
Year ending March 31, 2020
 
$
28
  
$
38,118
 
2021
  
-
   
7,448
 
2022
  
-
   
1,745
 
2023
  
-
   
1,003
 
2024 and thereafter
  
-
   
305
 
  
$
28
  
$
48,619