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STOCK PLANS AND STOCK-BASED COMPENSATION (Tables)
9 Months Ended
Dec. 31, 2022
STOCK PLANS AND STOCK-BASED COMPENSATION  
Schedule of activity related to stock options under the Stock Option Plans

Nine Months Ended December 31, 

Nine Months Ended December 31, 

    

2022

2021

    

 

    

Weighted 

    

    

Weighted 

 

Average

Average

Number of

Exercise

Number of

Exercise

 

 Shares

 

Price

 

Shares

 

Price

 

Balance, beginning of period

 

17,332

$

2.78

 

23,332

$

2.78

 

Options exercised

 

(1,511)

 

2.78

 

(6,000)

 

2.78

 

Options forfeited

 

(1,511)

 

2.78

 

 

 

Balance, end of period

 

14,310

$

2.78

 

17,332

$

2.78

 

Schedule of information on stock options outstanding under the Stock Option Plans

2022

2021

Stock options fully vested and expected to vest:

 

  

 

  

Number

 

14,310

 

17,332

Weighted average exercise price

$

2.78

$

2.78

Aggregate intrinsic value (1)

$

70,000

$

85,000

Weighted average contractual term of options (years)

 

0.54

 

1.54

Stock options fully vested and currently exercisable:

 

 

Number

 

14,310

 

17,332

Weighted average exercise price

$

2.78

$

2.78

Aggregate intrinsic value (1)

$

70,000

$

85,000

Weighted average contractual term of options (years)

 

0.54

 

1.54

(1)The aggregate intrinsic value of a stock option in the table above represents the total pre-tax intrinsic value (the amount by which the current market value of the underlying stock exceeds the exercise price) that would have been received by the option holders had all option holders exercised. This amount changes based on changes in the market value of the Company’s stock.
Schedule of unvested restricted stock activity

    

Time Based

    

Performance Based

    

Total

Number 

Weighted 

Number 

Weighted 

Number 

Weighted 

of

Average 

of

Average 

of

Average 

 Unvested 

Grant Date

 Unvested 

Grant Date

 Unvested 

Grant Date

Nine Months Ended December 31, 2022

    

Shares

    

Fair Value

    

Shares

    

Fair Value

    

Shares

    

Fair Value

Balance, beginning of period

 

26,855

$

6.02

 

121,492

$

5.70

 

148,347

$

5.76

Granted

 

15,571

6.30

 

56,125

 

6.30

 

71,696

 

6.30

Forfeited

 

 

 

(2,977)

 

7.56

 

(2,977)

 

7.56

Vested

 

(12,449)

 

6.07

 

(41,995)

 

5.26

 

(54,444)

 

5.45

Balance, end of period

 

29,977

$

6.14

 

132,645

$

6.05

 

162,622

$

6.07

    

Time Based

    

Performance Based

    

Total

Number 

Weighted 

Number 

Weighted 

Number 

Weighted 

of

Average 

of

Average 

of

Average 

 Unvested 

Grant Date

 Unvested 

Grant Date

 Unvested 

Grant Date

Nine Months Ended December 31, 2021

    

Shares

    

Fair Value

    

Shares

    

Fair Value

    

Shares

    

Fair Value

Balance, beginning of period

 

45,616

$

6.57

 

96,772

$

5.27

 

142,388

$

5.69

Granted

 

15,274

 

7.08

 

54,011

 

7.06

 

69,285

 

7.06

Forfeited

 

 

 

 

 

 

Vested

 

(29,618)

 

7.43

 

(12,732)

 

8.35

 

(42,350)

 

7.71

Balance, end of period

 

31,272

$

6.00

 

138,051

$

5.69

 

169,323

$

5.75