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Fair Value Disclosures (Tables)
6 Months Ended
Sep. 30, 2015
Fair Value Disclosures [Abstract]  
Schedule of assets and liabilities recorded at fair value on a recurring basis

 

     Fair Value Measurement Using         

Description

       Level 1          Level 2      Level 3      Fair Value  

Interest rate swap agreements:

           
September 30, 2015  liabilities:
   $ 0       $ (303,403 )     $ 0       $ (303,403 ) 

March 31, 2015 – liabilities:

   $ 0       $ (180,775    $ 0       $ (180,775
Schedule of financial instruments not measured at fair value
 
     Fair Value Measurement Using         

Description

       Level 1          Level 2      Level 3      Fair Value  

Finance receivables:

           

September 15, 2015

   $ 0       $ 0       $ 308,109,000       $ 308,109,000   
March 31, 2015
   $ 0       $ 0       $ 288,904,000       $ 288,904,000   

Line of credit:

           

September, 2015

   $ 0       $ 211,161,000       $ 0       $ 211,161,000   

March 31, 2015

   $ 0       $ 199,000,000       $ 0       $ 199,000,000