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Note F - Debt Facilities (Tables)
6 Months Ended
Oct. 31, 2024
Notes Tables  
Schedule of Long-Term Debt Instruments [Table Text Block]

(In thousands)

 

October 31, 2024

   

April 30, 2024

 

Revolving line of credit

  $ 108,616     $ 201,743  

Debt issuance costs

    (1,251 )     (924 )
                 

Revolving line of credit, net

  $ 107,365     $ 200,819  
                 

Non-recourse notes payable - 2023-1 Issuance

  $ 91,665     $ 150,190  

Non-recourse notes payable - 2023-2 Issuance

    141,450       203,189  

Non-recourse notes payable - 2024-1 Issuance

    127,447       202,916  
Non-recourse notes payable - 2024-2 Issuance     300,000       -  

Debt issuance costs - non-recourse notes payable

    (4,148 )     (2,666 )

Non-recourse notes payable, net

    656,414       553,629  
                 
Total debt   $ 763,779     $ 754,448  
Debt Instrument, Debt and Interest Rates [Table Text Block]
     

Original Principal Balance
(in thousands)

   

Weighted Average
Fixed Coupon Rate

 
                   
2023-1     $ 400,200       8.68 %
2023-2       360,300       8.80 %
2024-1       250,000       9.50 %
2024-2       300,000       9.51 %