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SCHEDULE OF OPERATING SEGMENTS (Details) - USD ($)
12 Months Ended
Mar. 31, 2024
Mar. 31, 2023
Mar. 31, 2022
Revenue from External Customer [Line Items]      
Total Revenues $ 145,054,572 $ 191,439,801 $ 240,269,166
Cost of Revenues 102,431,803 136,031,204 151,505,657
General and administrative expense 47,657,175 45,388,754 37,911,999
Depreciation and amortization 13,542,791 13,278,762 13,702,148
Income/(Loss) from Operations (18,577,197) (3,258,919) 37,149,362
Ammunition [Member]      
Revenue from External Customer [Line Items]      
Total Revenues 91,112,496 128,290,128 175,660,650
Cost of Revenues 94,771,262 126,914,265 142,773,306
General and administrative expense 8,967,456 10,378,456 11,932,721
Depreciation and amortization 508,485 578,326 1,579,778
Income/(Loss) from Operations (13,134,707) (9,580,919) 19,374,845
Marketplace [Member]      
Revenue from External Customer [Line Items]      
Total Revenues 53,942,076 63,149,673 64,608,516
Cost of Revenues 7,660,541 9,116,939 8,732,351
General and administrative expense 9,885,131 9,707,425 8,434,308
Depreciation and amortization 13,034,306 12,700,436 12,122,370
Income/(Loss) from Operations 23,362,098 31,624,873 35,319,487
Corporate and Other Expenses [Member]      
Revenue from External Customer [Line Items]      
Total Revenues
Cost of Revenues
General and administrative expense 28,804,588 25,302,873 17,544,970
Depreciation and amortization
Income/(Loss) from Operations $ (28,804,588) $ (25,302,873) $ (17,544,970)