v3.26.3
Derivative Instruments (Tables)
3 Months Ended
Jun. 30, 2026
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Consolidated Balance Sheets: Fair value of derivatives

(a) Consolidated Balance Sheets: Fair value of derivatives

 

Type of Derivative Contract   Balance Sheet
classification
  As of
June 30,
2026
  As of
March 31,
2026
Commodity   Derivative asset   $   144   $ 1  
Conversion feature on convertible notes (see Note 12)   Derivative liability   $   —   $ (26,244)  
Consolidated Statements of Operations: The effect of derivatives [Gain (Loss)]

(b) Consolidated Statements of Operations: The effect of derivatives [Gain (Loss)]

 

Type of Derivative Contract  

Statement of
Operations
classification 

  Three months ended
June 30,
2026
  Three months ended
June 30,
2025
Commodity (fair value changes)   Fair value gain on derivatives   $   383   $ 21  
Commodity (transaction cost)   Selling, general, & administrative expenses   $   (20)   $ (9)  
Conversion feature on convertible notes (fair value changes) (see Note 12)   Fair value gain on derivatives   $   2,096   $ —