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BANK BORROWINGS AND LONG-TERM DEBT (Tables)
12 Months Ended
Mar. 31, 2020
Debt Disclosure [Abstract]  
Schedule of bank borrowings and long-term debt
Bank borrowings and long-term debt are as follows:
 
As of March 31,
 
2020
 
2019
 
(In thousands)
4.625% Notes due February 2020
$

 
$
500,000

Term Loan, including current portion, due in installments through November 2021

 
671,563

Term Loan, including current portion, due in installments through June 2022
433,406

 
458,531

5.000% Notes due February 2023
500,000

 
500,000

Term Loan due April 2024 - three-month Yen LIBOR plus 0.50%
310,115

 

4.750% Notes due June 2025
597,265

 
596,815

4.875% Notes due June 2029
661,908

 

India Facilities (1)
138,238

 
170,206

Other
210,684

 
168,039

Debt issuance costs
(13,377
)
 
(10,639
)
 
2,838,239

 
3,054,515

Current portion, net of debt issuance costs
(149,130
)
 
(632,611
)
Non-current portion
$
2,689,109

 
$
2,421,904


Schedule of the Company's repayments of long-term debt
Scheduled repayments of the Company's bank borrowings and long-term debt are as follows:
Fiscal Year Ending March 31,
Amount
 
(In thousands)
2021
$
149,456

2022
209,586

2023
870,178

2024
53,109

2025
310,115

Thereafter
1,259,172

Total
$
2,851,616