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Supplemental Cash Flow Information (Tables)
12 Months Ended
Mar. 31, 2022
Supplemental Cash Flow Elements [Abstract]  
Schedule of Supplemental Cash Flow Disclosures
Year Ended March 31,
202220212020
Cash paid during the year for interest$4,591 $1,986 $2,854 
Cash paid during the year for income taxes$33,682 $6,331 $7,804 
Shares issued for contingent compensation payment
$— $— $425 
Establishment of lease liability in exchange for ROU asset$7,950 $61,725 $14,776 
Non-cash investing activities:
Conversion of note receivable$— $— $902 
Contribution of investment for purchase of intangible assets$— $— $2,201 
Non-cash financing activities:
Establishment of net deferred tax assets related to tax receivable agreement$16,996 $121,065 $37,394 
Deferred underwriter fees related to consolidated entity$— $9,660 $— 
Dividends declared but not paid$12,947 $11,201 $8,027 
Members’ distributions declared but not paid$27,119 $16,877 $5,829