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Debt (Details) - USD ($)
3 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Mar. 31, 2025
Mar. 31, 2023
Amended Credit Facility [Abstract]        
Change in fair value of compound net derivative liability $ (1,790,000) $ 2,580,000    
Credit Facility [Member]        
Amended Credit Facility [Abstract]        
Maximum borrowing capacity $ 268,620,000      
Debt instrument, maturity date Dec. 12, 2028      
Percentage of aggregate revolving commitments 22.50%      
Revolving Facility [Member]        
Amended Credit Facility [Abstract]        
Interest rate at end of period 7.40%   7.46%  
Revolving Facility [Member] | Credit Facility [Member]        
Amended Credit Facility [Abstract]        
Maximum borrowing capacity $ 238,620,000      
Outstanding balance under revolving loan 86,856,000   $ 90,787,000  
Amount available under revolving facility 134,341,000      
Revolving Facility [Member] | Letters of Credit [Member]        
Amended Credit Facility [Abstract]        
Outstanding balance under revolving loan 11,888,000      
Term Loans [Member] | Credit Facility [Member]        
Amended Credit Facility [Abstract]        
Maximum borrowing capacity 30,000,000      
Convertible Notes [Member]        
Amended Credit Facility [Abstract]        
Interest rate at end of period       10.00%
Principal amount of Convertible Notes 38,730,000   $ 35,209,000 $ 32,000,000
Interest paid in-kind $ 3,521,000      
Conversion price (in Dollars per share) $ 15      
Effective interest rate 18.30%   18.30%  
Warrants maturity date Mar. 30, 2029      
Warrants fair value $ 0   $ 0  
Derivative liability 12,900,000   9,000,000  
Derivative assets 3,640,000   $ 1,530,000  
Change in fair value of compound net derivative liability (1,790,000) $ 2,580,000    
Total payments $ 56,704,000