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Fair Value Measurements and Disclosures (Tables)
12 Months Ended
Mar. 31, 2014
Schedule of Fair Value Other Financial Instruments Measured

The following table provides the fair value hierarchy for the company’s other financial instruments measured as of March 31, 2014:

 

(In thousands)    Total     

Quoted prices in
active markets

(Level 1)

    

Significant

observable

inputs

(Level 2)

    

Significant

unobservable
inputs

(Level 3)

       

Money market cash equivalents

   $ 16,559         16,559                        

Total fair value of assets

   $     16,559         16,559                      

 

 

The following table provides the fair value hierarchy for the company’s other financial instruments measured as of March 31, 2013:

 

(In thousands)    Total     

Quoted prices in
active markets

(Level 1)

    

Significant

observable

inputs

(Level 2)

    

Significant

unobservable

inputs

(Level 3)

       

Money market cash equivalents

   $ 949         949                      

Long-term British pound forward derivative contracts

     4,359                 4,359                

Total fair value of assets

   $     5,308         949         4,359              

 

Summary of Gain on Assets Disposition

The below table summarizes the combined fair value of the assets that incurred impairments along with the amount of impairment during the years ended March 31. The fair values of impaired assets are based on expected net proceeds from asset sales or appraisals performed by third parties. The impairment charges were recorded in gain on asset dispositions, net.

 

(In thousands)    2014      2013      2012        

Amount of impairment incurred

   $ 9,341         8,078         3,607      

Combined fair value of assets incurring impairment

         11,149         14,733         8,175