Quarterly report pursuant to Section 13 or 15(d)

Trading And Available-For-Sale Securities At Fair Value (Details 3)

v3.19.3
Trading And Available-For-Sale Securities At Fair Value (Details 3) - USD ($)
$ in Thousands
Sep. 30, 2019
Mar. 31, 2019
Assets measured at amortized cost $ 8,561 $ 1
Unrealized gain/(loss) accumulated in other comprehensive income/(loss) 27 1
Assets measured at fair value 8,588 2
Certificates of Deposit    
Assets measured at amortized cost 7,002 0
Unrealized gain/(loss) accumulated in other comprehensive income/(loss) 10 0
Assets measured at fair value 7,012 0
Mutual Investment Fund    
Assets measured at amortized cost 685 0
Unrealized gain/(loss) accumulated in other comprehensive income/(loss) 5 0
Assets measured at fair value 690 0
Debt securities    
Assets measured at amortized cost 569 0
Unrealized gain/(loss) accumulated in other comprehensive income/(loss) (2) 0
Assets measured at fair value 567 0
Preferred shares    
Assets measured at amortized cost 304 0
Unrealized gain/(loss) accumulated in other comprehensive income/(loss) 13 0
Assets measured at fair value 317 0
Equity securities    
Assets measured at amortized cost 1 1
Unrealized gain/(loss) accumulated in other comprehensive income/(loss) 1 1
Assets measured at fair value $ 2 $ 2