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Fair Value Measurements (Tables)
3 Months Ended
Jun. 30, 2019
Fair Value Disclosures [Abstract]  
Schedule of Recurring Fair Value Measurements
The following summarizes the items measured at fair value on a recurring basis: 

June 30, 2019June 30, 2018March 31, 2019
Total Assets /Total Assets /Total Assets /
LiabilitiesLiabilitiesLiabilities
Level 2Level 3at Fair ValueLevel 2Level 3at Fair ValueLevel 2Level 3at Fair Value
Assets
Derivative financial instruments$$— $$$— $$186 $— $186 
Securitized beneficial interests— 14,648 14,648 — 17,736 17,736 — 40,332 40,332 
Total assets$$14,648 $14,651 $$17,736 $17,742 $186 $40,332 $40,518 
Liabilities
Long-term debt$814,766 $623 $815,389 $863,620 $711 $864,331 $830,082 $703 $830,785 
Guarantees— 3,136 3,136 — 3,544 3,544 — 3,714 3,714 
Total liabilities$814,766 $3,759 $818,525 $863,620 $4,255 $867,875 $830,082 $4,417 $834,499 
Schedule of Assets Measured on Recurring Basis
The following summarizes the reconciliation of changes in Level 3 instruments measured on a recurring basis:

Three Months Ended June 30, 2019Three Months Ended June 30, 2018
Securitized Beneficial InterestsGuaranteesSecuritized Beneficial InterestsGuarantees
Beginning balance$40,332 $3,714 $48,715 $5,864 
Issuances of sales of receivables/guarantees46,882 293 48,685 244 
Settlements(71,623)(879)(79,551)(2,701)
(Losses) gains recognized in earnings(943)(113)137 
Ending balance$14,648 $3,136 $17,736 $3,544