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DEBT SECURITIES ISSUED (Tables)
6 Months Ended
Sep. 30, 2025
Debt Securities [Abstract]  
Schedule of Outstanding Debt Securities of the Company
As of September 30, 2025, and March 31, 2025, outstanding debt securities issued by the Group included the following:
Debt securities issued by:
Principal Amount as of September 30, 2025
Principal Amount as of March 31, 2025
Interest rateIssue dateMaturity date
Denominated Currency
Freedom SPC bonds due 2026$200,860 $201,311 
10.5%
September, 2024September, 2026
USD
Freedom SPC bonds due 2027200,551 — 
10.0%
May, 2025May, 2027
USD
Freedom SPC bonds due 2028200,263 200,305 
1-2 years: 12%
3-5 years: EFFR + 6.5%
December, 2023December, 2028
USD
Freedom SPC bonds due 202768,875 — 
8.0%
May, 2025May, 2027
EUR
Freedom SPC bonds due 202664,930 64,801 
5.5%
October, 2021October, 2026
USD
Freedom SPC bonds due 20271,779 — 
9.0%
May, 2025May, 2027
CNY
Accrued interest5,516 3,134 
Total debt securities issued$742,774 $469,551