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Fair Value Measurements (Tables)
9 Months Ended
Dec. 31, 2019
Fair Value Disclosures [Abstract]  
Schedule of Recurring Fair Value Measurements
The following summarizes the financial assets and liabilities measured at fair value on a recurring basis: 

December 31, 2019December 31, 2018March 31, 2019
TotalTotalTotal
Level 2Level 3at Fair ValueLevel 2Level 3at Fair ValueLevel 2Level 3at Fair Value
Financial Assets:
Derivative financial instruments$—  $—  $—  $1,029  $—  $1,029  $186  $—  $186  
Securitized beneficial interests—  14,385  14,385  —  24,659  24,659  —  40,332  40,332  
Total assets$—  $14,385  $14,385  $1,029  $24,659  $25,688  $186  $40,332  $40,518  
Financial Liabilities:
Long-term debt$558,401  $620  $559,021  $742,047  $708  $742,755  $830,082  $703  $830,785  
Guarantees—  1,112  1,112  —  2,890  2,890  —  3,714  3,714  
Total liabilities$558,401  $1,732  $560,133  $742,047  $3,598  $745,645  $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 December 31, 2019Nine Months Ended December 31, 2019
Securitized Beneficial InterestsGuaranteesSecuritized Beneficial InterestsGuarantees
Beginning balance$25,579  $1,026  $40,332  $3,714  
Issuances of sales of receivables/guarantees42,857  478  151,150  1,323  
Settlements(53,158) (408) (174,000) (3,937) 
(Losses) gains recognized in earnings(893) 16  (3,097) 12  
Ending balance$14,385  $1,112  $14,385  $1,112  

Three Months Ended December 31, 2018Nine Months Ended December 31, 2018
Securitized Beneficial InterestsGuaranteesSecuritized Beneficial InterestsGuarantees
Beginning balance$17,512  $1,861  $48,715  $5,864  
Issuances of sales of receivables/guarantees71,047  1,585  161,943  2,988  
Settlements(62,432) (569) (183,450) (6,109) 
(Losses) gains recognized in earnings(1,468) 13  (2,549) 147  
Ending balance$24,659  $2,890  $24,659  $2,890