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Summary of Significant Accounting Policies (Tables)
3 Months Ended
Jun. 30, 2021
Accounting Policies [Abstract]  
Schedule of cash, cash equivalents and restricted cash
   As of 
(in thousands)  June 30,
2021
   March 31,
2021
 
Cash and Cash Equivalents  $13,355   $16,849 
Restricted Cash   1,000    1,000 
   $14,355   $17,849 

 

Schedule of estimated useful lives of property and equipment
Computer equipment and software   3 - 5 years 
Internal use software   5 years 
Digital cinema projection systems   10 years 
Machinery and equipment   3 - 10 years 
Furniture and fixtures   3 - 6 years 

 

Schedule of fair value measurements of financial assets
As of June 30, 2021                
                 
(in thousands)  Level 1   Level 2   Level 3   Total 
Restricted cash  $1,000   $
   $
   $1,000 
Equity investment in Starrise, at fair value   6,777    
    
    6,777 
   $7,777   $
    
   $7,777 

 

As of March 31, 2021                
                 
(in thousands)  Level 1   Level 2   Level 3   Total 
Restricted cash  $1,000   $
   $
   $1,000 
Equity investment in Starrise, at fair value   6,443    
    
    6,443 
   $7,443   $
   $
   $7,443 

 

Schedule of goodwill
(In thousands)        
Goodwill, net at March 31, 2021   $  8,701  
Goodwill from business combination – see Note 5     2,037    
Goodwill  , net at June 30, 2021   $ 10,738  

 

Schedule of revenue categories
   Three Months Ended
June 30,
 
   2021   2020 
Cinema Equipment Business:        
Phase I Deployment  $91   $31 
Phase II Deployment   386    398 
Services   179    100 
Digital System Sales   5,575    76 
Total Cinema Equipment Business revenue  $6,231   $605 
           
Content & Entertainment Business:          
Base Distribution Business  $1,778   $2,157 
OTT Streaming and Digital   7,006    3,256 
Total Content & Entertainment Business revenue  $8,784   $5,413