Quarterly report pursuant to Section 13 or 15(d)

Cash and Cash Equivalents (Details 1)

v3.10.0.1
Cash and Cash Equivalents (Details 1) - USD ($)
$ in Thousands
Dec. 31, 2018
Mar. 31, 2018
Remaining contractual maturity: up to 30 days $ 10,675  
Remaining contractual maturity: 30 - 90 days 791  
Total contractual maturity $ 11,466  
(Recast)    
Remaining contractual maturity: up to 30 days   $ 11,616
Remaining contractual maturity: 30 - 90 days   15,773
Total contractual maturity   $ 27,389
Corporate equity    
Average interest rate 10.16%  
Remaining contractual maturity: up to 30 days $ 7,960  
Remaining contractual maturity: 30 - 90 days 791  
Total contractual maturity $ 8,751  
Corporate equity | (Recast)    
Average interest rate   14.99%
Remaining contractual maturity: up to 30 days   $ 11,095
Remaining contractual maturity: 30 - 90 days   15,572
Total contractual maturity   $ 26,667
Corporate debt    
Average interest rate 14.00%  
Remaining contractual maturity: up to 30 days $ 115  
Remaining contractual maturity: 30 - 90 days 0  
Total contractual maturity $ 115  
Corporate debt | (Recast)    
Average interest rate   14.96%
Remaining contractual maturity: up to 30 days   $ 521
Remaining contractual maturity: 30 - 90 days   201
Total contractual maturity   $ 722
Non-US sovereign debt    
Average interest rate 8.25%  
Remaining contractual maturity: up to 30 days $ 2,600  
Remaining contractual maturity: 30 - 90 days 0  
Total contractual maturity $ 2,600