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Debt (Details)
$ in Millions
3 Months Ended
Sep. 30, 2024
USD ($)
Rate
Debt Disclosure [Abstract]  
Line of credit facility, initiation date Sep. 09, 2021
Line of credit facility, maximum borrowing capacity | $ $ 90.0
Compensating balance | $ 25.0
Line of credit facility, borrowing base | $ 61.4
Letters of credit outstanding, amount | $ 4.8
Line of credit facility, remaining borrowing capacity | $ $ 56.6
Asset backed credit facility, adjusted term SOFR one-month tenor, basis points 11.448
Asset backed credit facility, adjusted term SOFR three-month tenor, basis points 26.161
Asset backed credit facility, federal funds rate addition 0.50%
Asset backed credit facility, adjusted term SOFR rate, minimum 1.00%
Alternate base rate margin 1.00%
Additional margin on alternate base rate loans, minimum 1.00%
Additional margin on alternate base rate loans, maximum 1.50%
Additional margin on adjusted term SOFR, minimum 2.00%
Additional margin on adjusted term SOFR, maximum 2.50%
Unused credit facility fee, percentage 0.25%
Asset backed line of credit, balance limit for fixed charge, coverage ratio | $ $ 15.0
Asset backed line of credit, percentage limit for fixed charge, coverage ratio 15.00%
Asset backed credit facility, fixed charge coverage ratio requirement, minimum 1.00
Asset backed credit facility, fixed charged coverage ratio requirement, maximum 1.00