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Fair Value Measurements (Tables)
12 Months Ended
Mar. 31, 2025
Fair Value Measurements  
Fair Value of Pension Plan Assets

Plan assets related to the Company’s pension plans were classified as follows:

    

March 31, 2025

    

Level 1

    

Level 2

    

Total

Money market investments

$

$

2.7

$

2.7

Fixed income securities

 

 

51.3

 

51.3

U.S. government and agency securities

 

 

87.0

 

87.0

Other

 

1.4

 

8.4

 

9.8

Fair value excluding investments measured at net asset value

 

1.4

 

149.4

 

150.8

Investments measured at net asset value

 

  

 

Total fair value

 

  

$

150.8

    

March 31, 2024

    

Level 1

    

Level 2

    

Total

Money market investments

$

$

6.7

$

6.7

Fixed income securities

 

 

45.3

 

45.3

Pooled equity funds

 

7.0

 

 

7.0

U.S. government and agency securities

 

 

57.0

 

57.0

Other

 

1.1

 

5.7

 

6.8

Fair value excluding investment measured at net asset value

 

8.1

 

114.7

 

122.8

Investments measured at net asset value

 

  

 

27.7

Total fair value

 

  

$

150.5