v3.26.1
Pension and Profit Sharing Plans - Schedule of Reconciliation of Obligations and Fair Values of Plan Assets (Detail) - USD ($)
$ in Thousands
12 Months Ended
Mar. 31, 2026
Mar. 31, 2025
Mar. 31, 2024
Retirement Benefits [Abstract]      
Benefit Obligation at April 1, $ 27,283 $ 28,130  
Interest Cost on Projected Benefit Obligation 1,457 1,434 $ 1,413
Actuarial Gain 1,453 (612)  
Benefits Paid (1,892) (1,669)  
Benefit Obligation at March 31, 28,301 27,283 28,130
Fair Value of Plan Assets at April 1, 29,492 30,124  
Actual Return on Plan Assets 1,136 1,037  
Employer Contributions 0 0  
Benefits Paid (1,892) (1,669)  
Fair Value of Plan Assets at March 31, 28,736 29,492 $ 30,124
Funded Status at March 31, 435 2,209  
Other Assets 435 2,209  
Accumulated Other Comprehensive Losses - Net Actuarial Loss 5,806 4,115  
Accumulated Other Comprehensive Losses 5,806 4,115  
Tax Impact (1,402) (990)  
Accumulated Other Comprehensive Losses, net of tax $ 4,404 $ 3,125