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SHORT-TERM BANK DEBT AND LONG-TERM DEBT - Narrative (Details)
₪ in Millions
3 Months Ended 6 Months Ended 12 Months Ended
Mar. 18, 2024
USD ($)
loan
Mar. 14, 2024
USD ($)
Mar. 13, 2024
USD ($)
Mar. 07, 2024
USD ($)
loan
Sep. 30, 2024
USD ($)
loan
Sep. 30, 2023
USD ($)
Sep. 30, 2024
USD ($)
loan
Sep. 30, 2023
USD ($)
Mar. 31, 2024
USD ($)
Sep. 30, 2024
ILS (₪)
loan
Mar. 14, 2024
ZAR (R)
Nov. 15, 2022
ZAR (R)
Line of Credit Facility                        
Borrowing facilities outstanding         $ 31,813,000   $ 31,813,000          
Book overdrafts         155,000   $ 155,000          
Proceeds to prepay loan $ 11,200,000                      
Line of Credit                        
Line of Credit Facility                        
Debt instrument, basis spread on variable rate             6.00%          
Debt instrument, term             5 years          
RMB Facility                        
Line of Credit Facility                        
Maximum borrowing capacity   $ 20,451,000                    
Debt instrument, basis spread on variable rate       0.75%                
Debt instrument, variable interest rate, type       Prime Rate [Member]                
Amount of facility utilized         $ 19,728,000   $ 19,728,000          
Hapoalim Term Facilities                        
Line of Credit Facility                        
Proceeds from lines of credit $ 30,000,000           30,000,000          
Proceeds to prepay loan             $ 11,200,000          
Equity to total assets, percentage         35.00%   35.00%     35.00%    
Net debt to EBITDA ratio         2   2     2    
Present value of cash flow maximum availability, percentage         10.00%   10.00%     10.00%    
Increase in carrying amount             $ 18,800,000          
Increase in deferred finance cost           $ 29,000 15,000 $ 64,000        
Amortization of debt issuance costs         $ 15,000   15,000          
Recorded interest expense         591,000 $ 133,000 1,246,000 $ 285,000        
Hapoalim Term Facilities | Line of Credit                        
Line of Credit Facility                        
Minimum repayment amount | ₪                   ₪ 1    
Hapoalim Term Facilities | Powerfleet Israel Ltd.                        
Line of Credit Facility                        
Amount of facility utilized         $ 12,085,000   $ 12,085,000          
Number of loans (loan) | loan 2       2   2     2    
Aggregate principal amount $ 30,000,000       $ 30,000,000   $ 30,000,000          
Minimum equity requirement         $ 60,000   $ 60,000          
Hapoalim Term Facilities | Pointer Telocation Ltd.                        
Line of Credit Facility                        
Net debt levels, percentage         100.00%   100.00%     100.00%    
EBITDA, maximum ratio         4.75   4.75     4.75    
Term A Facility | Line of Credit                        
Line of Credit Facility                        
Debt instrument, basis spread on variable rate             2.20%          
Term A Facility | Line of Credit | Period One                        
Line of Credit Facility                        
Principal amortization rate         10.00%   10.00%     10.00%    
Term A Facility | Line of Credit | Period Two                        
Line of Credit Facility                        
Principal amortization rate         25.00%   25.00%     25.00%    
Term A Facility | Line of Credit | Period Three                        
Line of Credit Facility                        
Principal amortization rate         27.50%   27.50%     27.50%    
Term A Facility | Line of Credit | Period Four                        
Line of Credit Facility                        
Principal amortization rate         27.50%   27.50%     27.50%    
Term A Facility | Line of Credit | Period Five                        
Line of Credit Facility                        
Principal amortization rate         10.00%   10.00%     10.00%    
Term A Facility | Powerfleet Israel Ltd.                        
Line of Credit Facility                        
Aggregate principal amount 20,000,000       $ 20,000,000   $ 20,000,000          
Term B Facility | Line of Credit                        
Line of Credit Facility                        
Debt instrument, basis spread on variable rate             2.30%          
Term B Facility | Powerfleet Israel Ltd.                        
Line of Credit Facility                        
Aggregate principal amount $ 10,000,000       10,000,000   $ 10,000,000          
Term C Facility | NIS-denominated loans                        
Line of Credit Facility                        
Debt instrument, basis spread on variable rate             2.50%          
Term C Facility | U.S. dollar-denominated loans                        
Line of Credit Facility                        
Debt instrument, basis spread on variable rate             2.15%          
Term D Facility | Line of Credit                        
Line of Credit Facility                        
Interest rate 0.50%                      
RMB Debt                        
Line of Credit Facility                        
Number of loans (loan) | loan       2                
Aggregate principal amount       $ 85,000,000                
Proceeds from lines of credit     $ 85,000,000                  
Minimum repayment amount       1,000,000                
Amortization of debt issuance costs         69,000   $ 146,000          
Recorded interest expense         $ 1,920,000   $ 3,790,000          
Subject to a minimum, reduction       5,000,000                
Prepayment at discount (premium)         10.00%   10.00%     10.00%    
Debt issuance costs       $ 1,000,000                
RMB Debt | Period One                        
Line of Credit Facility                        
First annual required prepayment, refinancing fee rate       2.00%                
RMB Debt | Period Two                        
Line of Credit Facility                        
First annual required prepayment, refinancing fee rate       1.00%                
RMB Facility B                        
Line of Credit Facility                        
Debt instrument, basis spread on variable rate             4.96%   5.34%      
Debt instrument, variable interest rate, type                 Secured Overnight Financing Rate (SOFR) [Member]      
Aggregate principal amount       $ 42,500,000                
Interest rate       8.979%                
Loan prepayment derivative       $ 1,616,000 $ 2,887,000   $ 2,887,000   $ 1,616,000      
RMB Facility B | 10 Percent Decrease In Spread                        
Line of Credit Facility                        
Increase (decrease) in derivative assets       265,000                
RMB Facility B | 10 Percent Increase In Spread                        
Line of Credit Facility                        
Increase (decrease) in derivative assets       264,000                
RMB Facility A                        
Line of Credit Facility                        
Debt instrument, basis spread on variable rate             4.96%   5.34%      
Debt instrument, variable interest rate, type             Secured Overnight Financing Rate (SOFR) [Member]          
Aggregate principal amount       $ 42,500,000                
Interest rate       8.699%                
Loan prepayment derivative       $ 610,000 1,536,000   $ 1,536,000   $ 610,000      
RMB Facility A | 10 Percent Decrease In Spread                        
Line of Credit Facility                        
Increase (decrease) in derivative assets       113,000                
RMB Facility A | 10 Percent Increase In Spread                        
Line of Credit Facility                        
Increase (decrease) in derivative assets       $ 111,000                
SOUTH AFRICA                        
Line of Credit Facility                        
Debt instrument, basis spread on variable rate             11.50%          
CFC Overdraft Facility | Standard Bank Limited                        
Line of Credit Facility                        
Maximum borrowing capacity         4,090,000   $ 4,090,000         R 70,000,000
Debt instrument, basis spread on variable rate             1.20%          
Amount of facility utilized         0   $ 0          
General Committed Banking Facility | Standard Bank Limited                        
Line of Credit Facility                        
Debt instrument, variable interest rate, type             Prime Rate [Member]          
Line of Credit | RMB Facility                        
Line of Credit Facility                        
Maximum borrowing capacity | R                     R 350,000,000  
Credit facility, period   364 days                    
Revolving Credit Facility                        
Line of Credit Facility                        
Undrawn borrowing remaining         7,915,000   $ 7,915,000          
Revolving Credit Facility | Pointer Telocation Ltd.                        
Line of Credit Facility                        
Amount of facility utilized         12,085,000   12,085,000          
Number of loans (loan) | loan 2                      
Aggregate principal amount $ 20,000,000       $ 10,000,000   $ 10,000,000          
Debt instrument, term             5 years          
Revolving Credit Facility | Term C Facility | Pointer Telocation Ltd.                        
Line of Credit Facility                        
Aggregate principal amount 10,000,000                      
Revolving Credit Facility | Term D Facility | Pointer Telocation Ltd.                        
Line of Credit Facility                        
Aggregate principal amount $ 10,000,000