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Commitments and Contingencies - Narrative (Details)
3 Months Ended
May 30, 2024
USD ($)
Apr. 30, 2024
shares
Jun. 30, 2024
USD ($)
anniversary
installment
shares
Jun. 30, 2023
USD ($)
shares
Feb. 28, 2022
May 05, 2021
Dec. 29, 2020
shares
Long-termCommitment              
Other nonoperating income (expense)     $ 703,000 $ 643,000      
Put option issued to co-investor in CAM     $ 1,000,000.0        
Number of anniversary has fixed price put option | anniversary     3        
Number of years after execution of agreement (in years)     5 years        
Number of installments after exercise | installment     3        
Awards vesting period (in years)     10 years        
Awards expiration period (in years)     10 years        
2020 Omnibus Stock and Incentive Plan              
Long-termCommitment              
Shares authorized under the plan (in shares) | shares             420,000
Shares option to purchase (in shares) | shares     326,000        
Shares satisfied the service condition (in shares) | shares     97,000 97,000      
Vested (in shares) | shares   2,000          
Unvested (in shares) | shares   8,000          
Share compensation expense     $ 42,000        
Number of shares granted ( in shares) | shares     221,000        
CAM              
Long-termCommitment              
Ownership percentage (as a percentage) 21.00%         90.00%  
Adjusted earnings before income and tax, deduction amount $ 7,000,000            
Other nonoperating income (expense)     $ 20,000        
Minority interest, ownership (percent)           10.00%  
CAM | OCAS, Inc,              
Long-termCommitment              
Ownership interest sold (as a percentage) 16.00%            
Purchase price of redeemed interest $ 4,600,000            
Earnout Payable $ 1,100,000            
Line of credit facility, selling interest annual earnout payment, percentage 9.14%            
Remaining interest 5.00%            
Equity interest multiple 9            
Quarterly installment period 3 years            
Bond yield period 10 years            
Treasury bond yield, additional annual percentage     2.50%        
Offshore Series              
Long-termCommitment              
Payments for capital commitments     $ 1,000,000.0        
Onshore Series              
Long-termCommitment              
Payments for capital commitments     10,600,000        
CJVII | Capital Commitments              
Long-termCommitment              
Other commitments     $ 7,000,000        
Other commitment, premium rate above fair market value     112.50%        
CAM | CJVII | Capital Commitments              
Long-termCommitment              
Other commitments     $ 51,000,000        
MRC | CJVII | Capital Commitments              
Long-termCommitment              
Other commitments     44,000,000.0        
Third Party | Shanwick RNCI              
Long-termCommitment              
Minority interest, ownership (percent)         30.00%    
Option potential exercise multiple         7.5    
Level 3 | CAM              
Long-termCommitment              
Fair value of redeemable non-controlling interest     $ 1,100,000