Supplemental cash flow information is as follows:
For the Nine Months Ended December 31,
2025
2024
(dollars in thousands)
Cash Payments:
Interest
$
42,180
37,223
Income Taxes
77,765
110,683
Operating Cash Flows Used for Operating Leases
4,438
6,802
Noncash Financing Activities:
Right-of-Use Assets Obtained for Capitalized Operating Leases
3,325
19,588
Excise Tax on Share Repurchases
515
2,013
Tabular disclosure of supplemental cash flow information for the periods presented.
No definition available.