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NOTES PAYABLE (Tables)
3 Months Ended
Jul. 31, 2025
NOTES PAYABLE  
Summary of Company's notes payable

The following tables present information on the Company’s notes payable in effect as of July 31, 2025 (dollars in thousands):

    

Principal Amount

    

Available for

Outstanding Principal

New Borrowings

Amount

    

July 31, 

July 31, 

April 30, 

Loan Identifier

Lender

2025

2025

    

2025

Revolving Line of Credit

BOKF

 

$

3,688

 

$

 

$

Equipment Financing

DC

25

26

Total

$

3,688

$

25

$

26

July 31, 2025

Interest

Mortgaged Property

Scheduled

Loan Identifier

    

Rate

    

Book Value

    

Maturity

Revolving Line of Credit

 

7.49

%  

$

1,721

August 2028

Equipment Financing

 

2.35

%  

 

25

June 2028

Principal Repayments

Capitalized Interest and Fees

Three Months Ended

Three Months Ended

July 31, 

July 31, 

Loan Identifier

    

2025

    

2024

    

2025

    

2024

Revolving Line of Credit

$

$

$

$

Equipment Financing

 

2

 

1

 

 

Total

$

2

$

1

$

$

Schedule of notes payable scheduled principal repayments

The following table summarizes the notes payable scheduled principal repayments subsequent to July 31, 2025 (in thousands):

Fiscal Year

    

Scheduled Payments

2026

$

6

2027

9

2028

 

9

2029

 

1

Total

$

25