v3.26.1
Restructuring (Details) - USD ($)
$ in Thousands
12 Months Ended
Mar. 31, 2026
Mar. 31, 2025
Mar. 31, 2024
Restructuring reserve      
Charges, net $ 9,860 $ 9,615 $ 3,866
Continuing operations      
Restructuring reserve      
Balance at the beginning of the period 10,080 3,268 19,534
Charges, net 9,860 9,615 3,866
Cash payments (15,857) (2,803) (20,132)
Balance at the end of the period 4,083 10,080 3,268
Continuing operations | Termination Benefits      
Restructuring reserve      
Balance at the beginning of the period 9,097 1,813 14,177
Charges, net 7,584 9,846 6,011
Cash payments (13,558) (2,562) (18,375)
Balance at the end of the period 3,123 9,097 1,813
Continuing operations | Contract Termination and Other      
Restructuring reserve      
Balance at the beginning of the period 983 1,455 5,357
Charges, net 2,276 (231) (2,145)
Cash payments (2,299) (241) (1,757)
Balance at the end of the period $ 960 $ 983 $ 1,455