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Debt Arrangements - Schedule of Debt Financing (Details) - USD ($)
$ in Thousands
Mar. 31, 2025
Mar. 31, 2024
Feb. 06, 2023
Interest Rate      
   Total debt $ 849,892 $ 1,017,340  
Short-term 395,030 499,312  
Current portion of long-term debt 12 20,294  
Long-term debt 454,850 497,734  
Long-term debt including current maturities 454,862 518,028  
Letters of credit outstanding 7,790 5,070  
Long Term Debt Repayment Schedule by Fiscal Year      
2026 395,042    
2027 0    
2028 454,850    
2029 0    
2030 0    
Later 0    
Outstanding borrowings 849,892 1,017,340  
Face amount of debt instrument     $ 120,205
Senior notes | 10.0% Notes Due 2024      
Interest Rate      
Interest rate (as a percent)     10.00%
   Total debt 0 20,247  
Long Term Debt Repayment Schedule by Fiscal Year      
2026 0    
2027 0    
2028 0    
2029 0    
2030 0    
Later 0    
Outstanding borrowings $ 0 20,247  
Senior notes | 8.5% Notes Due 2027      
Interest Rate      
Interest rate (as a percent) 8.50%    
   Total debt $ 145,820 178,146  
Long Term Debt Repayment Schedule by Fiscal Year      
2026 0    
2027 0    
2028 145,820    
2029 0    
2030 0    
Later 0    
Outstanding borrowings $ 145,820 178,146  
Intabex Term Loan      
Interest Rate      
Weighted-average interest rate (as a percent) 13.20%    
   Total debt $ 187,144 186,659  
Long Term Debt Repayment Schedule by Fiscal Year      
2026 0    
2027 0    
2028 187,144    
2029 0    
2030 0    
Later 0    
Outstanding borrowings $ 187,144 186,659  
Pyxus Term Loan      
Interest Rate      
Weighted-average interest rate (as a percent) 13.20%    
   Total debt $ 121,886 132,819  
Long Term Debt Repayment Schedule by Fiscal Year      
2026 0    
2027 0    
2028 121,886    
2029 0    
2030 0    
Later 0    
Outstanding borrowings 121,886 132,819  
Unamortized premium $ 1,681    
Other long-term debt      
Interest Rate      
Weighted-average interest rate (as a percent) 8.80%    
   Total debt $ 12 157  
Long Term Debt Repayment Schedule by Fiscal Year      
2026 12    
2027 0    
2028 0    
2029 0    
2030 0    
Later 0    
Outstanding borrowings $ 12 157  
Notes payable to banks      
Interest Rate      
Weighted-average interest rate (as a percent) 9.40%    
   Total debt $ 395,030 499,312  
Long Term Debt Repayment Schedule by Fiscal Year      
2026 395,030    
2027 0    
2028 0    
2029 0    
2030 0    
Later 0    
Outstanding borrowings $ 395,030 499,312  
   ABL Credit Facility | Credit Facility      
Interest Rate      
Interest rate (as a percent) 8.10%    
   Total debt $ 0 0  
Long Term Debt Repayment Schedule by Fiscal Year      
2026 0    
2027 0    
2028 0    
2029 0    
2030 0    
Later 0    
Outstanding borrowings 0 $ 0  
DDTL Facility | Senior notes      
Long Term Debt Repayment Schedule by Fiscal Year      
Unamortized discount of debt instrument $ 2,519    
Intabex Term Loans | 8.5% Notes Due 2027      
Long Term Debt Repayment Schedule by Fiscal Year      
Unamortized discount of debt instrument     $ 1,889
Face amount of debt instrument     189,033
Exit fee amount     2,000
Pyxus Credit Facility | Term Loan Credit Agreement      
Long Term Debt Repayment Schedule by Fiscal Year      
Face amount of debt instrument     $ 130,550