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FINANCING ARRANGEMENTS - Schedule of Debt (Details) - USD ($)
$ in Thousands
12 Months Ended
Mar. 31, 2022
Feb. 10, 2022
Feb. 08, 2022
Jan. 07, 2022
Aug. 31, 2021
Mar. 31, 2021
Debt Instrument            
Long-term debt gross $ 136,932         $ 88,637
Less: Unamortized Debt Issuance Costs (1,124)         (1,141)
Total Debt, net 135,808         87,496
AirCo 1 Debt | Unsecured Debt            
Debt Instrument            
Long-term debt gross 6,393         6,200
Jet Yard Debt | Unsecured Debt            
Debt Instrument            
Long-term debt gross 1,943         0
Contrail Debt | Unsecured Debt            
Debt Instrument            
Long-term debt gross 57,459     $ 43,600   43,598
Interest rate stated percentage (as a percentage)       4.68%    
Delphax Solutions Debt | Notes Payable to Banks            
Debt Instrument            
Long-term debt gross 32         32
Wolfe Lake Debt | Notes Payable to Banks            
Debt Instrument            
Long-term debt gross 9,837         0
Air T Acquisition 22.1 | Notes Payable to Banks            
Debt Instrument            
Long-term debt gross 9,455         0
Term Loan - Park State Bank ("PSB") | AirCo 1 Debt | Unsecured Debt            
Debt Instrument            
Long-term debt gross 6,393         6,200
Promissory Note | Jet Yard Debt | Unsecured Debt            
Debt Instrument            
Long-term debt gross $ 1,943         0
Interest rate stated percentage (as a percentage) 4.14%          
Revolver - ONB | Contrail Debt | Unsecured Debt            
Debt Instrument            
Long-term debt gross $ 3,843         0
Unused commitments $ 21,157          
Revolver - ONB | Contrail Debt | 1 Month LIBOR | Unsecured Debt            
Debt Instrument            
Basis spread on variable rate (percent) 3.45%          
Term Loan G - ONB | Contrail Debt | Unsecured Debt            
Debt Instrument            
Long-term debt gross $ 44,918         43,598
Term Loan G - ONB | Contrail Debt | 3 Month LIBOR | Unsecured Debt            
Debt Instrument            
Basis spread on variable rate (percent) 3.00%          
Term Loan H - ONB | Contrail Debt | Unsecured Debt            
Debt Instrument            
Long-term debt gross $ 8,698         0
Term Loan H - ONB | Contrail Debt | Prime Rate | Unsecured Debt            
Debt Instrument            
Basis spread on variable rate (percent) 0.75%          
Canadian Emergency Business Account Loan | Delphax Solutions Debt | Notes Payable to Banks            
Debt Instrument            
Long-term debt gross $ 32         32
Interest rate stated percentage (as a percentage) 5.00%          
Bridgewater Bank | Wolfe Lake Debt | Notes Payable to Banks            
Debt Instrument            
Long-term debt gross $ 9,837         0
Interest rate stated percentage (as a percentage) 3.65%          
Bridgewater Bank | Air T Acquisition 22.1 | Notes Payable to Banks            
Debt Instrument            
Long-term debt gross $ 5,000         0
Interest rate stated percentage (as a percentage) 4.00%   4.00%      
Term Loan A - ING | Air T Acquisition 22.1 | Notes Payable to Banks            
Debt Instrument            
Long-term debt gross   $ 3,341       0
Interest rate stated percentage (as a percentage) 3.50% 3.50%        
Term Loan B - ING | Air T Acquisition 22.1 | Notes Payable to Banks            
Debt Instrument            
Long-term debt gross   $ 1,114       0
Interest rate stated percentage (as a percentage) 4.00% 4.00%        
Parent Company | Unsecured Debt            
Debt Instrument            
Long-term debt gross $ 51,813         38,807
Parent Company | Revolver - MBT | Unsecured Debt            
Debt Instrument            
Long-term debt gross $ 10,969         0
Interest rate stated percentage (as a percentage) 2.50%          
Unused commitments $ 6,031          
Parent Company | Revolver - MBT | Prime Rate | Unsecured Debt            
Debt Instrument            
Basis spread on variable rate (percent) 1.00%          
Parent Company | Term Note A - MBT | Unsecured Debt            
Debt Instrument            
Long-term debt gross $ 8,542         6,750
Interest rate stated percentage (as a percentage) 3.42%       3.42%  
Parent Company | Term Note B - MBT | Unsecured Debt            
Debt Instrument            
Long-term debt gross $ 3,014         3,375
Interest rate stated percentage (as a percentage) 3.42%       3.42%  
Parent Company | Term Note D - MBT | Unsecured Debt            
Debt Instrument            
Long-term debt gross $ 1,405         1,472
Parent Company | Term Note D - MBT | 1 Month LIBOR | Unsecured Debt            
Debt Instrument            
Basis spread on variable rate (percent) 2.00%          
Parent Company | Term Note E - MBT | Unsecured Debt            
Debt Instrument            
Long-term debt gross $ 2,316         4,706
Interest rate stated percentage (as a percentage) 2.50%          
Parent Company | Term Note E - MBT | London Interbank Offered Rate (LIBOR) | Unsecured Debt            
Debt Instrument            
Basis spread on variable rate (percent) 1.50%          
Parent Company | Debt - Trust Preferred Securities | Unsecured Debt            
Debt Instrument            
Long-term debt gross $ 25,567         14,289
Interest rate stated percentage (as a percentage) 8.00%          
Parent Company | PPP Loan | Unsecured Debt            
Debt Instrument            
Long-term debt gross $ 0         $ 8,215
Interest rate stated percentage (as a percentage) 1.00%          
Parent Company | Term Loan - Park State Bank ("PSB") | AirCo 1 Debt | 3 Month LIBOR | Unsecured Debt            
Debt Instrument            
Basis spread on variable rate (percent) 3.00%