Quarterly report pursuant to Section 13 or 15(d)

Cash and Cash Equivalents (Details 1)

v3.19.3.a.u2
Cash and Cash Equivalents (Details 1) - USD ($)
$ in Thousands
Dec. 31, 2019
Mar. 31, 2019
Remaining contractual maturity: up to 30 days $ 21,578 $ 7,083
Remaining contractual maturity: 30 - 90 days 0 804
Total $ 21,578 $ 7,887
Corporate equity    
Average interest rate 12.95% 11.90%
Remaining contractual maturity: up to 30 days $ 20,006 $ 4,328
Remaining contractual maturity: 30 - 90 days 0 804
Total $ 20,006 $ 5,132
Non-US sovereign debt    
Average interest rate 9.96% 8.25%
Remaining contractual maturity: up to 30 days $ 1,336 $ 2,635
Remaining contractual maturity: 30 - 90 days 0 0
Total $ 1,336 $ 2,635
Corporate debt    
Average interest rate 10.50% 14.00%
Remaining contractual maturity: up to 30 days $ 236 $ 120
Remaining contractual maturity: 30 - 90 days 0 0
Total $ 236 $ 120