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Financing Arrangements - Textual (Details) - USD ($)
6 Months Ended
Jun. 09, 2022
Sep. 30, 2022
Jun. 08, 2022
Jan. 07, 2022
Debt Instrument        
Taxes receivable $ 2,600,000      
Proceeds from income tax refunds 2,600,000      
Employee retention tax credit 9,100,000      
Cumulative proceeds from ERC   $ 1,400,000    
Trust Preferred Capital Security | ATM        
Debt Instrument        
Amount of principal outstanding   25,600,000    
Unsecured Debt | Contrail Aviation Inc.        
Debt Instrument        
Interest rate stated percentage (as a percentage)       4.68%
Promissory Note - CCI        
Debt Instrument        
Principle amount   2,000,000    
Promissory Note - CCI | Unsecured Debt | Parent Company        
Debt Instrument        
Principle amount   $ 2,000,000    
Interest rate stated percentage (as a percentage)   10.00%    
Promissory Note - CCI | Unsecured Debt | Jet Yard        
Debt Instrument        
Principle amount 5,000,000      
Credit facility maximum borrowing capacity 22,000,000   $ 17,000,000  
Interest rate stated percentage (as a percentage)   10.00%    
Amended Promissory Note | Unsecured Debt        
Debt Instrument        
Credit facility maximum borrowing capacity 22,000,000      
Amended Promissory Note | Unsecured Debt | Jet Yard        
Debt Instrument        
Debt instrument, outstanding credit rate trigger $ 17,000,000      
Amended Promissory Note | Unsecured Debt | Jet Yard | Below Threshold        
Debt Instrument        
Interest rate stated percentage (as a percentage) 2.50%      
Amended Promissory Note | Unsecured Debt | Jet Yard | Below Threshold | Prime Rate        
Debt Instrument        
Basis spread on variable rate (as a percentage) 1.00%      
Commitment fee (as a percentage) 0.11%      
Amended Promissory Note | Unsecured Debt | Jet Yard | Above Threshold        
Debt Instrument        
Interest rate stated percentage (as a percentage) 2.50%      
Amended Promissory Note | Unsecured Debt | Jet Yard | Above Threshold | Prime Rate        
Debt Instrument        
Basis spread on variable rate (as a percentage) 0.50%      
Commitment fee (as a percentage) 0.20%      
Overline        
Debt Instrument        
Debt instrument fair value $ 9,100,000      
Third Amended And Restated Credit Agreement | Unsecured Debt | Parent Company        
Debt Instrument        
Unused commitment fees   $ 0    
Interest rate stated percentage (as a percentage)   2.50%    
Third Amended And Restated Credit Agreement | Unsecured Debt | Prime Rate | Parent Company        
Debt Instrument        
Basis spread on variable rate (as a percentage)   1.00%    
Overline Note - MBT | Unsecured Debt | Parent Company        
Debt Instrument        
Unused commitment fees   $ 4,121,000    
Interest rate stated percentage (as a percentage)   2.50%    
Overline Note - MBT | Unsecured Debt | Prime Rate | Parent Company        
Debt Instrument        
Basis spread on variable rate (as a percentage)   0.50%