BALANCE SHEET INFORMATION (Tables)
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12 Months Ended |
Mar. 31, 2024 |
Balance Sheet Related Disclosures [Abstract] |
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Schedule of manufacturing inventories |
Certain significant amounts included in the Company's consolidated balance sheets consist of the following (in thousands):
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Manufacturing inventories |
March 31, |
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2024 |
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2023 |
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2022 |
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Manufactured finished goods |
$ |
7,074 |
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$ |
6,958 |
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$ |
14,607 |
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Work in progress |
769 |
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1,304 |
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2,546 |
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Raw materials |
9,910 |
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|
11,179 |
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|
16,393 |
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Total manufacturing inventories |
$ |
17,753 |
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$ |
19,441 |
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$ |
33,546 |
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Schedule of service inventories |
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Service inventories |
March 31, |
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2024 |
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2023 |
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2022 |
Finished goods |
$ |
3,660 |
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$ |
19,834 |
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$ |
19,234 |
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Component parts |
6,123 |
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|
5,470 |
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|
5,020 |
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Total service inventories |
$ |
9,783 |
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$ |
25,304 |
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$ |
24,254 |
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Schedule of property and equipment |
Property and equipment are carried at cost, less accumulated depreciation and amortization, computed on a straight-line basis over the estimated useful lives of the assets as follows:
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Machinery and equipment |
3 to 5 years |
Computer equipment |
3 to 5 years |
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Other software |
3 years |
Furniture and fixtures |
5 years |
Other office equipment |
5 years |
Leasehold improvements |
Shorter of useful life or life of lease |
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Property and equipment, net |
March 31, |
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2024 |
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2023 |
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2022 |
Machinery and equipment, and software |
$ |
49,095 |
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$ |
48,534 |
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$ |
47,777 |
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Leasehold improvements |
12,473 |
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14,405 |
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6,029 |
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Furniture and fixtures |
1,109 |
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|
863 |
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|
844 |
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62,677 |
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63,802 |
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54,650 |
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Less: accumulated depreciation |
(50,649) |
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(47,247) |
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(41,797) |
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Total property, plant and equipment, net |
$ |
12,028 |
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$ |
16,555 |
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$ |
12,853 |
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Summary of carrying value of intangible assets |
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Intangibles, net |
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March 31, 2024 |
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March 31, 2023 |
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March 31, 2022 |
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Gross |
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Accumulated Amortization |
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Net |
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Gross |
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Accumulated Amortization |
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Net |
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Gross |
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Accumulated Amortization |
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Net |
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Developed technology |
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$ |
9,013 |
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$ |
(8,550) |
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$ |
463 |
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$ |
9,013 |
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$ |
(6,269) |
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$ |
2,744 |
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$ |
9,208 |
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$ |
(3,121) |
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$ |
6,087 |
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Customer lists |
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4,398 |
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(3,192) |
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1,206 |
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4,398 |
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(2,201) |
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2,197 |
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4,600 |
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(1,103) |
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3,497 |
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Intangible assets, net |
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$ |
13,411 |
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$ |
(11,742) |
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$ |
1,669 |
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$ |
13,411 |
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$ |
(8,470) |
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$ |
4,941 |
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$ |
13,808 |
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$ |
(4,224) |
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$ |
9,584 |
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Future expected amortization expense for intangible assets |
As of March 31, 2024, the future expected amortization expense for intangible assets is as follows (in thousands):
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Fiscal year ending |
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Estimated future amortization expense |
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2025 |
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$ |
1,388 |
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Thereafter |
|
281 |
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Total |
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$ |
1,669 |
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Goodwill rollforward |
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Goodwill |
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Amount |
Balance at March 31, 2022 |
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$ |
12,969 |
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Goodwill acquired |
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— |
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Balance at March 31, 2023 |
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$ |
12,969 |
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Goodwill acquired |
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— |
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Balance at March 31, 2024 |
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$ |
12,969 |
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Schedule of other long-term assets |
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Other long-term assets |
March 31, |
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2024 |
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2023 |
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2022 |
Capitalized SaaS implementation costs for internal use |
$ |
15,349 |
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$ |
11,483 |
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$ |
6,261 |
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Capitalized debt costs |
1,923 |
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1,690 |
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1,779 |
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Contract asset |
1,477 |
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1,247 |
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|
699 |
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Deferred taxes |
734 |
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1,054 |
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|
866 |
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Other |
257 |
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|
372 |
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|
320 |
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Total other long-term assets |
$ |
19,740 |
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$ |
15,846 |
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$ |
9,925 |
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Schedule of other accrued liabilities |
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Other accrued liabilities |
March 31, |
|
2024 |
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2023 |
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2022 |
Accrued expenses |
$ |
4,251 |
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$ |
1,988 |
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$ |
4,984 |
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Asset retirement obligation |
2,069 |
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2,513 |
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4,590 |
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Accrued income taxes |
1,044 |
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1,509 |
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|
943 |
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Accrued warranty |
1,545 |
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2,094 |
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1,899 |
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Accrued interest |
524 |
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|
494 |
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|
278 |
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Lease liability |
1,256 |
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1,364 |
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|
1,727 |
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Other |
3,297 |
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3,704 |
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|
2,141 |
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Total other accrued liabilities |
$ |
13,986 |
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$ |
13,666 |
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$ |
16,562 |
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Schedule of accrued warranty balance |
The following table details the change in the accrued warranty balance (in thousands):
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Year Ended March 31, |
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2024 |
|
2023 |
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2022 |
Balance as of April 1 |
$ |
2,094 |
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$ |
1,899 |
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|
2,383 |
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Current period accruals |
2,563 |
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3,477 |
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3,717 |
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Adjustments to prior estimates |
(141) |
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(18) |
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(156) |
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Charges incurred |
(2,971) |
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(3,264) |
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(4,045) |
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Balance as of March 31 |
$ |
1,545 |
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$ |
2,094 |
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$ |
1,899 |
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