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Fair Value Measurements (Tables)
3 Months Ended
Jun. 30, 2026
Fair Value Disclosures [Abstract]  
Schedule of Assets and Liabilities Required to be Carried at Fair Value on a Recurring Basis
Assets and liabilities required to be carried at fair value on a recurring basis as of June 30, 2026 and March 31, 2026 were as follows:
June 30,
2026
March 31,
2026
Level 1
Level 2
Total
Level 1
Level 2
Total
(Amounts in millions)
Assets:
Forward exchange contracts (see Note 17)
$
— 
$
0.3 
$
0.3 
$
— 
$
— 
$
— 
Liabilities:
Forward exchange contracts (see Note 17)
— 
2.8 
2.8 
— 
2.7 
2.7 
Interest rate swaps (see Note 17)
— 
0.2 
0.2 
— 
1.6 
1.6 
Schedule of Carrying Values and Fair Values of Assets and Liabilities Not Required to be Carried at Fair Value on a Recurring Basis
June 30,
2026
March 31,
2026
(Amounts in millions)
Carrying Value
Fair Value
Carrying Value
Fair Value
(Level 2)
(Level 2)
Revolving Credit Facility
$
— 
$
— 
$
— 
$
— 
Senior Notes
383.5 
370.4 
383.1 
359.6 
eOne IP Credit Facility
357.8 
362.0 
366.7 
371.3 
LG IP Credit Facility
1,142.3 
1,156.3 
1,172.5 
1,187.5 
3 Arts Credit Facility
30.2 
30.7 
30.1 
30.7 
Production Loans
1,361.1 
1,364.7 
1,280.5 
1,283.9 
Production Tax Credit Facility
364.6 
367.4 
364.8 
368.0 
Backlog Facility and Other
310.8 
313.2 
304.6 
307.2