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Note F - Debt Facilities - Summary of Debt Facilities (Details) - USD ($)
$ in Thousands
Jan. 31, 2024
Apr. 30, 2023
Revolving line of credit, net $ 55,374 $ 167,231
Non-recourse notes payable, net 684,688 471,367
Total debt 740,062 638,598
Line of Credit [Member]    
Debt facilities, gross 55,994 168,516
Debt issuance costs (620) (1,285)
Non Recourse Notes Payable, 2022 Issuance [Member]    
Debt facilities, gross 0 134,137
Non Recourse Notes Payable, 2023 Issuance [Member]    
Debt facilities, gross 190,674 338,777
Non Recourse Notes Payable, 2023-2 Issuance [Member]    
Debt facilities, gross 248,130  
Non Recourse Notes Payable 2024 Issuance [Member]    
Debt facilities, gross 250,000 0
Notes Payable [Member]    
Debt issuance costs $ (4,116) $ (1,547)