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FAIR VALUE OF FINANCIAL INSTRUMENTS (Tables)
6 Months Ended
Sep. 30, 2025
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Table Text Block]

The following table presents information about the Company’s assets that are measured at fair value on a recurring basis as of September 30, 2025, and March 31, 2025, and indicates the fair value hierarchy of the valuation techniques the Company used to determine such fair value:

Particular   Adjusted
Cost
($)
    Gain
($)
    Loss
($)
    Fair
Value
($)
    Cash &
Cash
Equivalents
($)
    Short
Term
Investments
($)
 
Level 1                                    
Cash     845       -           -       845       845       -  
Marketable Debt Funds     113       1       -       114       114       -  
Digital Assets     25       -       -       25       -       25  
Level 2                                                
Certificates of Deposit     142       4       -       146       146       -  
Level 3     -       -       -       -       -       -  
TOTAL     1,125       5       -       1,130       1,105       25  
Particular   Adjusted
Cost
($)
    Gain
($)
    Loss
($)
    Fair
Value
($)
    Cash &
Cash
Equivalents
($)
    Short
Term
Investments
($)
 
Level 1                                    
Cash     368           -       -       368       368            -  
Marketable Debt Funds     -       -           -       -       -       -  
Marketable Securities     -       -       -       -       -       -  
Level 2                                                
Certificates of Deposit     37       -       -       37       37       -  
Level 3     -       -       -       -       -       -  
TOTAL     405       -       -       405       405       -