0001213900-14-004075.txt : 20140624 0001213900-14-004075.hdr.sgml : 20140624 20140609164245 ACCESSION NUMBER: 0001213900-14-004075 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 11 CONFORMED PERIOD OF REPORT: 20140430 FILED AS OF DATE: 20140609 DATE AS OF CHANGE: 20140609 FILER: COMPANY DATA: COMPANY CONFORMED NAME: IDT CORP CENTRAL INDEX KEY: 0001005731 STANDARD INDUSTRIAL CLASSIFICATION: TELEPHONE COMMUNICATIONS (NO RADIO TELEPHONE) [4813] IRS NUMBER: 223415036 STATE OF INCORPORATION: DE FISCAL YEAR END: 0731 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 001-16371 FILM NUMBER: 14899579 BUSINESS ADDRESS: STREET 1: 520 BROAD ST CITY: NEWARK STATE: NJ ZIP: 07102 BUSINESS PHONE: 973 438 1000 MAIL ADDRESS: STREET 1: 520 BROAD STREET CITY: NEWARK STATE: NJ ZIP: 07102 10-Q 1 f10q0414_idtcorp.htm QUARTERLY REPORT f10q0414_idtcorp.htm


UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
 

 
FORM 10-Q
 

 
x QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
 
FOR THE QUARTERLY PERIOD ENDED APRIL 30, 2014
 
or
 
¨ TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
 
Commission File Number: 1-16371
 

 
IDT CORPORATION
(Exact Name of Registrant as Specified in its Charter)
 

 
Delaware
 
22-3415036
(State or other jurisdiction of
incorporation or organization)
 
(I.R.S. Employer
Identification Number)
     
520 Broad Street, Newark, New Jersey
 
07102
(Address of principal executive offices)
 
(Zip Code)
 
(973) 438-1000
(Registrant’s telephone number, including area code)
 

 
 
Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days. Yes No  ¨
 
Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (§ 232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files). Yes No ¨
 
Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company. See the definitions of “large accelerated filer,” “accelerated filer” and “smaller reporting company” in Rule 12b-2 of the Exchange Act.
 
Large accelerated filer
o
Accelerated filer
x
       
Non-accelerated filer
¨  (Do not check if a smaller reporting company)
Smaller reporting company
o
 
Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act.):  Yes ¨ No x
 
As of June 4, 2014, the registrant had the following shares outstanding:
 
Class A common stock, $.01 par value:
1,574,326 shares outstanding (excluding 1,698,000 treasury shares)
Class B common stock, $.01 par value:
21,645,343 shares outstanding (excluding 2,930,771 treasury shares)
 


 
 

 
 
IDT CORPORATION
 
TABLE OF CONTENTS
 
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2

 
 
 
 
 
CONSOLIDATED BALANCE SHEETS
 
   
April 30,
2014
   
July 31,
2013
 
   
(Unaudited)
   
(Note 1)
 
   
(in thousands)
 
Assets
           
Current assets:
           
Cash and cash equivalents
  $ 147,027     $ 151,600  
Restricted cash and cash equivalents—short-term
    53,298       34,988  
Marketable securities
    12,362       9,684  
Trade accounts receivable, net of allowance for doubtful accounts of $13,759 at April 30, 2014 and $13,079 at July 31, 2013
    66,075       65,078  
Prepaid expenses
    19,823       19,175  
Deferred income tax assets, net—current portion
    973       1,689  
Other current assets
    11,377       12,730  
Total current assets
    310,935       294,944  
Property, plant and equipment, net
    81,203       80,742  
Goodwill
    14,910       14,807  
Other intangibles, net
    1,885       1,390  
Investments
    10,162       9,605  
Restricted cash and cash equivalents—long-term
    2,763       2,767  
Deferred income tax assets, net—long-term portion
    14,116       20,000  
Other assets
    14,981       11,152  
Total assets
  $ 450,955     $ 435,407  
Liabilities and equity
               
Current liabilities:
               
Revolving credit loan payable
  $ 13,000     $ 21,062  
Trade accounts payable
    37,398       39,323  
Accrued expenses
    137,163       145,432  
Deferred revenue
    99,245       91,227  
Customer deposits
    48,487       28,663  
Income taxes payable
    719       761  
Dividends payable
          1,837  
Notes payable—current portion
    546       535  
Other current liabilities
    3,987       4,829  
Total current liabilities
    340,545       333,669  
Notes payable—long-term portion
    6,422       6,624  
Other liabilities
    6,669       5,978  
Total liabilities
    353,636       346,271  
Commitments and contingencies
               
Equity:
               
IDT Corporation stockholders’ equity:
               
Preferred stock, $.01 par value; authorized shares—10,000; no shares issued
           
Class A common stock, $.01 par value; authorized shares—35,000; 3,272 shares issued and 1,574 shares outstanding at April 30, 2014 and July 31, 2013
    33       33  
Class B common stock, $.01 par value; authorized shares—200,000; 24,576 and 24,275 shares issued and 21,645 and 21,397 shares outstanding at April 30, 2014 and July 31, 2013, respectively
    246       243  
Additional paid-in capital
    392,416       388,533  
Treasury stock, at cost, consisting of 1,698 and 1,698 shares of Class A common stock and 2,931 and 2,878 shares of Class B common stock at April 30, 2014 and July 31, 2013, respectively
    (99,791 )     (98,836 )
Accumulated other comprehensive income
    4,054       2,341  
Accumulated deficit
    (200,487 )     (203,711 )
Total IDT Corporation stockholders’ equity
    96,471       88,603  
Noncontrolling interests
    848       533  
Total equity
    97,319       89,136  
Total liabilities and equity
  $ 450,955     $ 435,407  
 
See accompanying notes to consolidated financial statements.
 
 
3

 
 
 
CONSOLIDATED STATEMENTS OF INCOME
(Unaudited)
 
   
Three Months Ended
April 30,
   
Nine Months Ended
April 30,
 
   
2014
   
2013
   
2014
   
2013
 
   
(in thousands, except per share data)
 
Revenues
  $ 403,761     $ 396,935     $ 1,230,855     $ 1,208,509  
Costs and expenses:
                               
Direct cost of revenues (exclusive of depreciation and amortization)
    332,376       331,163       1,017,954       1,010,900  
Selling, general and administrative (i)
    55,548       53,997       170,588       162,945  
Depreciation and amortization
    4,153       3,972       12,108       10,972  
Research and development
    2,514       1,717       7,387       4,918  
Total costs and expenses
    394,591       390,849       1,208,037       1,189,735  
Other operating gains, net
          9,601       1,209       9,251  
Income from operations
    9,170       15,687       24,027       28,025  
Interest expense, net
    (135 )     (446 )     (55 )     (798 )
Other income (expense), net
    159       2,433       (3,455 )     5,133  
Income from continuing operations before income taxes
    9,194       17,674       20,517       32,360  
Provision for income taxes
    (3,595 )     (7,592 )     (7,895 )     (12,751 )
Income from continuing operations
    5,599       10,082       12,622       19,609  
Loss from discontinued operations, net of tax
          (958 )           (2,822 )
Net income
    5,599       9,124       12,622       16,787  
Net income attributable to noncontrolling interests
    (582 )     (433 )     (1,548 )     (1,529 )
Net income attributable to IDT Corporation
  $ 5,017     $ 8,691     $ 11,074     $ 15,258  
Amounts attributable to IDT Corporation common stockholders:
                               
Income from continuing operations
  $ 5,017     $ 9,623     $ 11,074     $ 17,974  
Loss from discontinued operations
          (932 )           (2,716 )
Net income
  $ 5,017     $ 8,691     $ 11,074     $ 15,258  
Earnings per share attributable to IDT Corporation common stockholders:
                               
Basic:
                               
Income from continuing operations
  $ 0.22     $ 0.46     $ 0.51     $ 0.86  
Loss from discontinued operations
          (0.04 )           (0.13 )
Net income
  $ 0.22     $ 0.42     $ 0.51     $ 0.73  
Weighted-average number of shares used in calculation of basic earnings per share
    22,680       20,905       21,763       20,847  
Diluted:
                               
Income from continuing operations
  $ 0.22     $ 0.43     $ 0.48     $ 0.81  
Loss from discontinued operations
          (0.04 )           (0.12 )
Net income
  $ 0.22     $ 0.39     $ 0.48     $ 0.69  
Weighted-average number of shares used in calculation of diluted earnings per share
    23,023       22,360       22,893       22,178  
Dividends declared per common share
  $ 0.17     $     $ 0.34     $ 0.75  
(i) Stock-based compensation included in selling, general and administrative expenses
  $ 793     $ 1,523     $ 4,920     $ 4,340  
 
See accompanying notes to consolidated financial statements. 
 
 
4

 
 
 
CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME
(Unaudited)
 
   
Three Months Ended
April 30,
   
Nine Months Ended
April 30,
 
   
2014
   
2013
   
2014
   
2013
 
   
(in thousands)
 
Net income
  $ 5,599     $ 9,124     $ 12,622     $ 16,787  
Other comprehensive income (loss):
                               
Foreign currency translation adjustments
    531       (1,892 )     1,713       1,381  
Comprehensive income
    6,130       7,232       14,335       18,168  
Comprehensive income attributable to noncontrolling interests
    (582 )     (433 )     (1,548 )     (1,482 )
Comprehensive income attributable to IDT Corporation
  $ 5,548     $ 6,799     $ 12,787     $ 16,686  
 
See accompanying notes to consolidated financial statements. 
 
 
5

 
 
 
CONSOLIDATED STATEMENTS OF CASH FLOWS
(Unaudited)
 
   
Nine Months Ended
April 30,
 
   
2014
   
2013
 
   
(in thousands)
 
Operating activities
           
Net income
  $ 12,622     $ 16,787  
Adjustments to reconcile net income to net cash provided by operating activities:
               
Net loss from discontinued operations
          2,822  
Depreciation and amortization
    12,108       10,972  
Deferred income taxes
    6,609       11,788  
Provision for doubtful accounts receivable
    1,367       2,517  
Gain on proceeds from insurance
    (571 )      
Interest in the equity of investments
    (1,433 )     (1,541 )
Stock-based compensation
    4,920       4,340  
Change in assets and liabilities:
               
Restricted cash and cash equivalents
    (14,278 )     (16,723 )
Trade accounts receivable
    1,292       16,907  
Prepaid expenses, other current assets and other assets
    (1,658 )     5,414  
Trade accounts payable, accrued expenses, other current liabilities and other liabilities
    (14,438 )     (26,147 )
Customer deposits
    16,103       12,977  
Income taxes payable
    (42 )     320  
Deferred revenue
    7,035       4,662  
Net cash provided by operating activities
    29,636       45,095  
Investing activities
               
Capital expenditures
    (12,431 )     (10,928 )
Deposit on purchase of leasehold interest in building
          (950 )
Collection of notes receivable
          750  
Cash used for investments and acquisitions
    (425 )     (1,219 )
Proceeds from sale and redemption of investments
    1,038       107  
Proceeds from insurance
    571        
Purchases of marketable securities
    (15,690 )     (4,453 )
Proceeds from maturities and sales of marketable securities
    12,957       300  
Net cash used in investing activities
    (13,980 )     (16,393 )
Financing activities
               
Dividends paid
    (9,687 )     (17,124 )
Distributions to noncontrolling interests
    (1,287 )     (1,545 )
Purchases of stock of subsidiary
    (1,133 )     (1,804 )
Proceeds from exercise of stock options
    609        
Proceeds from revolving credit loan payable
    43,000        
Repayments of revolving credit loan payable and other borrowings
    (51,252 )     (180 )
Proceeds from sale of stock of subsidiary
          145  
Repurchases of Class B common stock
    (955 )     (1,078 )
Net cash used in financing activities
    (20,705 )     (21,586 )
Discontinued operations
               
Net cash used in operating activities
          (1,270 )
Effect of exchange rate changes on cash and cash equivalents
    476       1,423  
Net (decrease) increase in cash and cash equivalents
    (4,573 )     7,269  
Cash and cash equivalents (including discontinued operations) at beginning of period
    151,600       158,206  
Cash and cash equivalents (including discontinued operations) at end of period
    147,027       165,475  
Less cash and cash equivalents of discontinued operations at end of period
          (3,252 )
Cash and cash equivalents (excluding discontinued operations) at end of period
  $ 147,027     $ 162,223  
Supplemental schedule of non-cash investing and financing activities
               
Adjustment to liabilities in connection with the Straight Path Spin-Off
  $ 1,624     $  
Escrow account overages included in other current assets used to reduce notes payable
  $     $ 1,340  
 
See accompanying notes to consolidated financial statements.
 
 
6

 
 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS
(Unaudited)

Note 1—Basis of Presentation
 
The accompanying unaudited consolidated financial statements of IDT Corporation and its subsidiaries (the “Company” or “IDT”) have been prepared in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”) for interim financial information and with the instructions to Form 10-Q and Article 10 of Regulation S-X. Accordingly, they do not include all of the information and footnotes required by U.S. GAAP for complete financial statements. In the opinion of management, all adjustments (consisting of normal recurring accruals) considered necessary for a fair presentation have been included. Operating results for the three and nine months ended April 30, 2014 are not necessarily indicative of the results that may be expected for the fiscal year ending July 31, 2014. The balance sheet at July 31, 2013 has been derived from the Company’s audited financial statements at that date but does not include all of the information and footnotes required by U.S. GAAP for complete financial statements. For further information, please refer to the consolidated financial statements and footnotes thereto included in the Company’s Annual Report on Form 10-K for the fiscal year ended July 31, 2013, as filed with the U.S. Securities and Exchange Commission (“SEC”).
 
The Company’s fiscal year ends on July 31 of each calendar year. Each reference below to a fiscal year refers to the fiscal year ending in the calendar year indicated (e.g., fiscal 2014 refers to the fiscal year ending July 31, 2014).
 
The Company records Universal Service Fund (“USF”) charges that are billed to customers on a gross basis in its results of operations, and records other taxes and surcharges on a net basis. USF charges in the amount of $0.2 million in each of the three months ended April 30, 2014 and 2013, and $0.5 million and $0.7 million in the nine months ended April 30, 2014 and 2013, respectively, were recorded on a gross basis and included in “Revenues” and “Direct cost of revenues” in the accompanying consolidated statements of income.
 
Note 2— Discontinued Operations
 
On July 31, 2013, the Company completed a pro rata distribution of the common stock of the Company’s subsidiary, Straight Path Communications Inc. (“Straight Path”), to the Company’s stockholders of record as of the close of business on July 25, 2013 (the “Straight Path Spin-Off”). At the time of the Straight Path Spin-Off, Straight Path owned 100% of Straight Path Spectrum, Inc., which holds, leases and markets fixed wireless spectrum licenses, and 84.5% of Straight Path IP Group, Inc., which holds intellectual property primarily related to communications over the Internet and the licensing and other businesses related to this intellectual property. As of July 31, 2013, each of the Company’s stockholders received one share of Straight Path Class A common stock for every two shares of the Company’s Class A common stock and one share of Straight Path Class B common stock for every two shares of the Company’s Class B common stock held of record as of the close of business on July 25, 2013. Straight Path and its subsidiaries met the criteria to be reported as discontinued operations and accordingly, their assets, liabilities, results of operations and cash flows are classified as discontinued operations for all periods presented. 
 
The Company believes that the Straight Path Spin-Off was tax-free for the Company and the Company’s stockholders for U.S. federal income tax purposes under Section 355 of the Internal Revenue Code of 1986 (the “Code”). The Company received an opinion from Pryor Cashman LLP on the requirements for a tax-free distribution. Specifically, the opinion concluded that the distribution (i) should satisfy the business purpose requirement of the Code for a tax-free distribution, (ii) should not be viewed as being used principally as a device for the distribution of earnings and profits of the distributing corporation or the controlled corporation or both, and (iii) should not be viewed as part of a plan (or series of related transactions) pursuant to which one or more persons will acquire directly or indirectly stock representing a 50 percent or greater interest in the distributing corporation or controlled corporation within the meaning of the relevant section of the Code. 
 
In connection with the Straight Path Spin-Off, the Company funded Straight Path with a total of $15.0 million in aggregate cash and cash equivalents.
 
The Company entered into various agreements with Straight Path prior to the Straight Path Spin-Off including (1) a Separation and Distribution Agreement to effect the separation and provide a framework for the Company’s relationship with Straight Path after the spin-off, (2) a Tax Separation Agreement, which sets forth the Company’s and Straight Path’s responsibilities with respect to, among other things, liabilities for federal, state, local and foreign taxes for periods before and including the spin-off, the preparation and filing of tax returns for such periods and disputes with taxing authorities regarding taxes for such periods, and (3) a Transition Services Agreement, which provides for certain services to be performed by the Company to facilitate Straight Path’s transition into a separate publicly-traded company. These agreements provide for, among other things, the allocation between the Company and Straight Path of employee benefits, taxes and other liabilities and obligations attributable to periods prior to the spin-off, and provision of certain services by the Company to Straight Path following the spin-off, including services relating to human resources and employee benefits administration, finance, treasury, accounting, tax, internal audit, facilities, external reporting, investor relations and legal. In addition, the Company and Straight Path entered into a license agreement whereby each of the Company, Straight Path and the Company’s subsidiaries granted and will grant a license to the other to utilize patents held by each entity.
 
 
7

 
 
The Separation and Distribution Agreement also includes that the Company is obligated to reimburse Straight Path for the payment of any liabilities of Straight Path arising or related to the period prior to the Straight Path Spin-Off. The following table summarizes the change in the balance of the Company’s estimated liability to Straight Path, which is included in “Other current liabilities” in the accompanying consolidated balance sheet:
 
   
Nine Months Ended
April 30, 2014
 
   
(in thousands)
 
Balance, beginning of period
  $ 931  
Additional liability
    1,700  
Payments
    (842 )
Balance, end of period
  $ 1,789  

The Company’s selling, general and administrative expenses were reduced by $0.2 million and nil in the three months ended April 30, 2014 and 2013, respectively, and $0.7 million and nil in the nine months ended April 30, 2014 and 2013, respectively, as a result of the fees the Company charged to Straight Path for services provided pursuant to the Transition Services Agreement. At April 30, 2014 and July 31, 2013, other current assets reported in the Company’s consolidated balance sheet included receivables from Straight Path of $0.2 million and nil, respectively.
 
Revenues, loss before income taxes and net loss of Straight Path, which is included in discontinued operations, were as follows:
 
   
Three Months Ended
April 30,
   
Nine Months Ended
April 30,
 
   
2014
   
2013
   
2014
   
2013
 
   
(in thousands)
 
Revenues
  $     $ 285     $     $ 982  
                                 
Loss before income taxes
  $     $ (958 )   $     $ (2,810 )
                                 
Net loss
  $     $ (958   $     $ (2,822

Note 3—Marketable Securities
 
The following is a summary of marketable securities:
 
   
Amortized Cost
   
Gross Unrealized Gains
   
Gross Unrealized Losses
   
Fair Value
 
   
(in thousands)
 
Available-for-sale securities:
                       
April 30, 2014:
                       
Certificates of deposit*
  $ 8,400     $     $     $ 8,400  
Municipal bonds
    3,962                   3,962  
Total
  $ 12,362     $     $     $ 12,362  
                                 
July 31, 2013:
                               
Certificates of deposit*
  $ 8,786     $     $     $ 8,786  
Municipal bonds
    898                   898  
Total
  $ 9,684     $     $     $ 9,684  
 
* Each of the Company’s certificates of deposit has a CUSIP, was purchased in the secondary market through a broker and may be sold in the secondary market.
 
Proceeds from maturities and sales of available-for-sale securities were $2.9 million and $13.0 million in the three and nine months ended April 30, 2014, respectively, and $3.3 million and $3.3 million in the three and nine months ended April 30, 2013, respectively. There were no realized gains or losses from sales of available-for-sale securities in the three and nine months ended April 30, 2014 and 2013. The Company uses the specific identification method in computing the gross realized gains and gross realized losses on the sales of marketable securities.
 
 
8

 
 
The contractual maturities of the Company’s available-for-sale securities at April 30, 2014 were as follows:
 
   
Fair Value
 
   
(in thousands)
 
Within one year
  $ 12,114  
After one year through five years
    248  
After five years through ten years
     
After ten years
     
Total
  $ 12,362  

Note 4—Fair Value Measurements
 
The following tables present the balance of assets measured at fair value on a recurring basis:
 
   
Level 1 (1)
   
Level 2 (2)
   
Level 3 (3)
   
Total
 
   
(in thousands)
 
April 30, 2014:
                       
Available-for-sale securities
  $     $ 12,362     $     $ 12,362  
July 31, 2013:
                               
Available-for-sale securities
  $     $ 9,684     $     $ 9,684  

(1) – quoted prices in active markets for identical assets or liabilities
(2) – observable inputs other than quoted prices in active markets for identical assets and liabilities
(3) – no observable pricing inputs in the market

At April 30, 2014 and July 31, 2013, the Company did not have any liabilities measured at fair value on a recurring basis.
 
At April 30, 2014 and July 31, 2013, the Company had $9.7 million and $8.3 million, respectively, in investments in hedge funds, of which $0.1 million and $0.1 million, respectively, were included in “Other current assets” and $9.6 million and $8.2 million, respectively, were included in “Investments” in the accompanying consolidated balance sheets. The Company’s investments in hedge funds are accounted for using the equity method or the cost method; therefore investments in hedge funds are not measured at fair value.
 
Fair Value of Other Financial Instruments
 
The estimated fair value of the Company’s other financial instruments was determined using available market information or other appropriate valuation methodologies. However, considerable judgment is required in interpreting these data to develop estimates of fair value. Consequently, the estimates are not necessarily indicative of the amounts that could be realized or would be paid in a current market exchange.
 
Cash and cash equivalents, restricted cash and cash equivalents—short-term, other current assets, revolving credit loan payable, customer deposits, dividends payable, notes payable—current portion and other current liabilities. At April 30, 2014 and July 31, 2013, the carrying amount of these assets and liabilities approximated fair value because of the short period of time to maturity. The fair value estimates for cash, cash equivalents and restricted cash and cash equivalents—short-term were classified as Level 1 and other current assets, revolving credit loan payable, customer deposits, dividends payable, notes payable—current portion and other current liabilities were classified as Level 2 of the fair value hierarchy.
 
Restricted cash and cash equivalents—long-term. At April 30, 2014 and July 31, 2013, the carrying amount of restricted cash and cash equivalents—long-term approximated fair value. The fair value was estimated based on the anticipated cash flows once the restrictions are removed, which was classified as Level 2 of the fair value hierarchy.
 
Notes payable—long-term portion and other liabilities.  At April 30, 2014 and July 31, 2013, the carrying amount of these liabilities approximated fair value. The fair values were estimated based on the Company’s assumptions, which were classified as Level 3 of the fair value hierarchy.
 
 
9

 
 
The Company’s investments at April 30, 2014 and July 31, 2013 included investments in the equity of certain privately held entities and other investments that are accounted for at cost. It is not practicable to estimate the fair value of these investments because of the lack of a quoted market price for the shares of these entities, and the inability to estimate their fair value without incurring excessive cost. The carrying value of these investments was $0.7 million and $1.5 million at April 30, 2014 and July 31, 2013, which the Company believes was not impaired.
 
Note 5—Equity
 
Changes in the components of equity were as follows:
 
   
Nine Months Ended
April 30, 2014
 
   
Attributable to IDT Corporation
   
Noncontrolling Interests
   
Total 
 
   
(in thousands)
 
Balance, July 31, 2013
  $ 88,603     $ 533     $ 89,136  
Dividends declared ($0.34 per share)
    (7,850           (7,850 )
Restricted Class B common stock purchased from employees
    (955           (955 )
Exercise of stock options
    606       3       609  
Stock issued for matching contributions to the 401(k) Plan
    1,168             1,168  
Purchases of stock of subsidiary
    (1,154     21       (1,133 )
Adjustment to liabilities in connection with the Straight Path Spin-Off
    (1,624           (1,624 )
Distributions to noncontrolling interests
          (1,287 )     (1,287 )
Stock-based compensation
    4,890       30       4,920  
Comprehensive income:
                       
Net income
    11,074       1,548       12,622  
Foreign currency translation adjustments
    1,713             1,713  
Comprehensive income
    12,787       1,548       14,335  
Balance, April 30, 2014
  $ 96,471     $ 848     $ 97,319  

Dividend Payments
 
In July 2013, the Company’s Board of Directors declared a special dividend of $0.08 per share to holders of the Company’s Class A common stock and Class B common stock. At July 31, 2013, dividends payable were $1.8 million. The special dividend was paid on September 10, 2013 to stockholders of record as of the close of business on August 30, 2013.
 
On January 7, 2014 and March 28, 2014, the Company paid cash dividends of $0.17 per share for the first and second quarters of fiscal 2014, respectively, to stockholders of record of the Company’s Class A common stock and Class B common stock at the close of business on December 16, 2013 and March 21, 2014, respectively. The aggregate dividends paid were $7.9 million.
 
In June 2014, the Company’s Board of Directors declared a dividend of $0.17 per share for the third quarter of fiscal 2014 to holders of the Company’s Class A common stock and Class B common stock. The dividend will be paid on or about June 27, 2014 to stockholders of record as of the close of business on June 20, 2014.
 
Purchases of Stock of Subsidiary
 
In August 2013, Fabrix Systems Ltd., (“Fabrix”), a subsidiary of the Company, and another wholly-owned subsidiary of the Company purchased shares of Fabrix for aggregate cash of $1.1 million. The shares were purchased from holders of noncontrolling interests in Fabrix representing 2.8% of the equity in Fabrix, which increased the Company’s ownership in Fabrix to 88.4%.
 
Adjustment to Liabilities in connection with the Straight Path Spin-Off
 
The Company’s Separation and Distribution Agreement with Straight Path includes, among other things, that the Company is obligated to reimburse Straight Path for the payment of any liabilities of Straight Path arising or related to the period prior to the Straight Path Spin-Off (see Note 2). In the nine months ended April 30, 2014, the Company increased its estimated liability for this obligation by $1.7 million, of which $1.6 million was recorded as a reduction of additional paid-in capital.
 
 
10

 
 
Stock-Based Compensation
 
In August 2013, in connection with the Straight Path Spin-Off, the exercise price of each outstanding option to purchase the Company’s Class B common stock was reduced by 15.29% of the exercise price based on the change in the trading price of the Company’s Class B common stock following the Straight Path Spin-Off. Further, each holder of options to purchase the Company’s Class B common stock shared ratably in a pool of options to purchase 32,155 shares of Straight Path Class B common stock. The Company accounted for the August 2013 reduction in the exercise price of the Company’s outstanding stock options and the grant of new options in Straight Path as a modification. The Company determined that there was no incremental value from the modification, and therefore, the Company was not required to record a stock-based compensation charge.
 
Stock Repurchase Program
 
The Company has a stock repurchase program for the repurchase of up to an aggregate of 8.3 million shares of the Company’s Class B common stock. There were no repurchases under the program in the nine months ended April 30, 2014. In the nine months ended April 30, 2013, the Company repurchased 77,843 shares of Class B common stock for an aggregate purchase price of $0.8 million. As of April 30, 2014, 5.1 million shares remained available for repurchase under the stock repurchase program.
 
Note 6—Earnings Per Share
 
Basic earnings per share is computed by dividing net income attributable to all classes of common stockholders of the Company by the weighted average number of shares of all classes of common stock outstanding during the applicable period. Diluted earnings per share is computed in the same manner as basic earnings per share, except that the number of shares is increased to include restricted stock still subject to risk of forfeiture and to assume exercise of potentially dilutive stock options using the treasury stock method, unless the effect of such increase is anti-dilutive.
 
The weighted-average number of shares used in the calculation of basic and diluted earnings per share attributable to the Company’s common stockholders consists of the following:
 
 
   
Three Months Ended
April 30,
   
Nine Months Ended
April 30,
 
   
2014
   
2013
   
2014
   
2013
 
   
(in thousands)
 
Basic weighted-average number of shares
    22,680       20,905       21,763       20,847  
Effect of dilutive securities:
                               
Stock options
    105             108        
Non-vested restricted Class B common stock
    238       1,455       1,022       1,331  
Diluted weighted-average number of shares
    23,023       22,360       22,893       22,178  

The following outstanding stock options were excluded from the calculation of diluted earnings per share because the exercise price of the stock option was greater than the average market price of the Company’s stock during the period:

   
Three Months Ended
April 30,
   
Nine Months Ended
April 30,
 
   
2014
   
2013
   
2014
   
2013
 
   
(in thousands)
 
Shares excluded from the calculation of diluted earnings per share
    98       703       61       703  

Note 7—Revolving Credit Loan Payable
 
The Company’s subsidiary, IDT Telecom, Inc., entered into a credit agreement, dated July 12, 2012, with TD Bank, N.A. for a line of credit facility for up to a maximum principal amount of $25.0 million. IDT Telecom may use the proceeds to finance working capital requirements, acquisitions and for other general corporate purposes. The line of credit facility is secured by primarily all of IDT Telecom’s assets. The principal outstanding bears interest per annum, at the option of IDT Telecom, at either (a) the U.S. Prime Rate less 125 basis points, or (b) the LIBOR rate adjusted by the Regulation D maximum reserve requirement plus 150 basis points. Interest is payable monthly and all outstanding principal and any accrued and unpaid interest is due on the maturity date of January 31, 2015. At April 30, 2014 and July 31, 2013, there was $13.0 million and $21.1 million, respectively, outstanding under the facility. The principal outstanding at April 30, 2014 and July 31, 2013 incurred interest at a rate of 1.65% and 1.69%, respectively, per annum.  On August 30, 2013, IDT Telecom repaid the entire $21.1 million loan payable. In October 2013, IDT Telecom borrowed an aggregate of $15.0 million, which was repaid on November 12, 2013. In January 2014, IDT Telecom borrowed an aggregate of $15.0 million, which was repaid on February 14, 2014. In April 2014, IDT Telecom borrowed an aggregate of $13.0 million, which was repaid on May 28, 2014. The Company intends to continue to borrow under the facility from time to time. IDT Telecom pays a quarterly unused commitment fee of 0.375% per annum on the average daily balance of the unused portion of the $25.0 million commitment. IDT Telecom is required to comply with various affirmative and negative covenants as well as maintain certain financial targets and ratios during the term of the line of credit, including IDT Telecom may not pay any dividend on its capital stock and IDT Telecom’s aggregate loans and advances to affiliates or subsidiaries may not exceed $90.0 million. At April 30, 2014, there were no amounts utilized for letters of credit under the line of credit, IDT Telecom was in compliance with all of the covenants, and IDT Telecom’s aggregate loans and advances to affiliates and subsidiaries was $29.7 million.
 
 
11

 
 
Note 8—Business Segment Information
 
The Company has three reportable business segments, Telecom Platform Services and Consumer Phone Services, which comprise the IDT Telecom division, and Zedge Holdings, Inc. (“Zedge”). All other operating segments that are not reportable individually are included in All Other. The Company’s reportable segments are distinguished by types of service, customers and methods used to provide their services. The operating results of these business segments are regularly reviewed by the Company’s chief operating decision maker.
 
The Telecom Platform Services segment provides telecommunications services, including prepaid and rechargeable calling products and international long distance traffic termination, as well as various payment services. The Consumer Phone Services segment provides consumer local and long distance services in the United States. Zedge owns and operates an on-line platform for mobile phone consumers interested in obtaining free and relevant, high quality games, apps, and personalization content such as ringtones, wallpapers, and alerts. All Other includes Fabrix, a software development company specializing in highly efficient cloud-based video processing, storage and delivery, the Company’s real estate holdings, and other smaller businesses. Corporate costs include certain services, such as compensation, consulting fees, treasury and accounts payable, tax and accounting services, human resources and payroll, corporate purchasing, corporate governance including Board of Directors’ fees, internal and external audit, investor relations, corporate insurance, corporate legal, business development, and other corporate-related general and administrative expenses including, among others, facilities costs, charitable contributions and travel, as well as depreciation expense on corporate assets. Corporate does not generate any revenues, nor does it incur any direct cost of revenues.
 
The accounting policies of the segments are the same as the accounting policies of the Company as a whole. The Company evaluates the performance of its business segments based primarily on income (loss) from operations. IDT Telecom depreciation and amortization are allocated to Telecom Platform Services and Consumer Phone Services because the related assets are not tracked separately by segment. There are no other significant asymmetrical allocations to segments.
 
Operating results for the business segments of the Company are as follows:
 
(in thousands)
 
Telecom
Platform
Services
   
Consumer
Phone
Services
   
 
Zedge
   
All Other
   
Corporate
   
Total
 
Three Months Ended April 30, 2014
                                   
Revenues
  $ 394,568     $ 2,625     $ $1,630     $ 4,938     $     $ 403,761  
Income (loss) from operations
    12,378       517       (76 )     (367 )     (3,282 )     9,170  
                                                 
Three Months Ended April 30, 2013
                                               
Revenues
  $ 389,048     $ 3,427     $ $1,413     $ 3,047     $     $ 396,935  
Income (loss) from operations
    19,593       341       68       (941 )     (3,374 )     15,687  
                                                 
Nine Months Ended April 30, 2014
                                               
Revenues
  $ 1,205,490     $ 8,491     $ $4,795     $ 12,079     $     $ 1,230,855  
Income (loss) from operations
    36,676       1,358       238       (2,480 )     (11,765 )     24,027  
                                                 
Nine Months Ended April 30, 2013
                                               
Revenues
  $ 1,184,079     $ 11,156     $ $4,193     $ 9,081     $     $ 1,208,509  
Income (loss) from operations
    38,542       1,377       185       (1,498 )     (10,581 )     28,025  

Note 9—Legal Proceedings
 
On October 17, 2013, the Company and Alexsam, Inc. (“Alexsam”) entered into a confidential Settlement Agreement pursuant to which the parties agreed to fully compromise, settle and release any and all claims and counterclaims related to Alexsam’s action in the United States District Court, Eastern District of Texas alleging infringement of two patents related to the activation of phone and gift cards (incorporating bank identification numbers approved by the American Banking Association for use in a banking network) over a point-of-sale terminal. In a judgment issued in August 2011, Alexsam was awarded an aggregate of $10.1 million including damages and interest. The Settlement Agreement included a prospective royalty free license. On November 4, 2013, the Company paid Alexsam the settlement amount.
 
 
12

 
 
In connection with the Aerotel, Ltd. (“Aerotel”) arbitration that was held in June 2012, on March 15, 2013, the arbitration panel issued its Final Award, and determined that Aerotel sustained damages, inclusive of interest at 9% per annum through March 15, 2013, in the total amount of approximately $5.4 million. On April 8, 2013, Aerotel filed a Petition for Judgment Vacating the Arbitration Awards in the United States District Court, Southern District of New York along with a Motion supporting its Petition to Vacate the Arbitration Awards. After briefing, on July 18, 2013, the Court confirmed the award, and as a result, in July 2013, the Company paid Aerotel $5.4 million, including interest. On August 14, 2013, Aerotel filed a Notice of Appeal with the Court of Appeals, 2nd Circuit. After briefing, oral argument was held on May 21, 2014 and on June 3, 2014, the Court of Appeals affirmed the decision of the District Court.
 
The Company’s subsidiary Prepaid Cards BVBA was the exclusive licensee of a patent related to a method and process used in prepaid calling cards that was invented by Shmuel Fromer, which has now expired. The Company had been attempting to enforce this patent in Germany, and had succeeded, prevailing in infringement cases against certain calling card providers, including Lycatel (Ireland) Limited and Lycatel Services Limited, and Mox Telecom AG. On February 21, 2012, a nullity hearing (effectively judging the validity of the patent) with respect to the patent, took place before the German Federal Court of Justice in Karlsruhe, between Lycatel Services Limited as claimant, Mox Telecom AG as intervenor on the side of claimant, and Mr. Fromer, as defendant. During this hearing, the court nullified claims 1, 2, 3, 5 and 6 of the patent. The Court also ordered the defendant to pay costs and fees in respect of all of the nullity proceedings involving Lycatel and Mox. Except for the amount of fees and costs which may be claimed against the Company in connection with the infringement proceedings, which are based on applicable statutes (for which the Company has accrued $1.2 million at April 30, 2014), the outcome of this matter is uncertain, and, as such, the Company is not able to make an assessment of the final result and its impact on the Company. The Company paid the court fees in connection with the infringement proceedings, and in March 2014, paid Lycatel for its own fees and costs. Mox’s costs and fees in connection with the infringement proceedings have not been determined. Upon enforcement of the judgments in these cases, the Company was required to transfer security deposits to the Court. While the security deposit for the Lycatel case was subsequently released to the Company, at this time the relevant courts have declined to release the security deposit for the Mox case. The Company is examining its options with respect to the release of this deposit.
 
On May 5, 2004, the Company filed a complaint in the Supreme Court of the State of New York, County of New York, seeking injunctive relief and damages against Tyco Group, S.A.R.L., Tyco Telecommunications (US) Inc. (f/k/a TyCom (US) Inc.), Tyco International, Ltd., Tyco International (US) Inc., and TyCom Ltd. (collectively “Tyco”). The Company alleged that Tyco breached a settlement agreement that it had entered into with the Company to resolve certain disputes and civil actions among the parties. The Company alleged that Tyco did not provide the Company, as required under the settlement agreement, free of charge and for the Company’s exclusive use, a 15-year indefeasible right to use four Wavelengths in Ring Configuration (as defined in the settlement agreement) (“Wavelengths”) on a global undersea fiber optic network that Tyco was deploying at that time. In June 2004, Tyco asserted several counterclaims against the Company, alleging that the Company breached the settlement agreement and is liable for damages for allegedly refusing to accept Tyco’s offer regarding the Wavelengths referenced in the settlement agreement and for making a public statement that Tyco failed to provide the Company with the use of its Wavelengths. On August 19, 2008, the Appellate Division of the State of New York, First Department, granted summary judgment in favor of Tyco dismissing the complaint and remanded the matter to the Supreme Court for further proceedings. On October 22, 2009, the New York Court of Appeals issued an Order denying the Company’s appeal and affirming the Appellate Division’s order. On or about November 17, 2009, the Company demanded that Tyco comply with its obligations under the settlement agreement. After further discussions and meetings between the parties regarding Tyco’s obligations under the settlement agreement, including its obligation to provide the use of the Wavelengths for fifteen years in a manner fully consistent with that described in the settlement agreement, the Company filed a complaint on November 24, 2010 in the Supreme Court of the State of New York, County of New York, against Tyco based upon the failure to comply with the obligations under the settlement agreement, to negotiate the terms of an indefeasible right to use the Wavelengths in good faith, and to provide the Company with the Wavelengths. The complaint alleges causes of action for breach of contract and breach of duty to negotiate in good faith. On January 6, 2011, Tyco filed a motion to dismiss the complaint, which was granted. On July 22, 2011, the Company filed a notice of appeal. After briefing was completed, oral argument was held on April 2, 2012. On December 27, 2012, the Appellate Division issued an opinion and order reversing the order of the Supreme Court which granted Tyco’s motion to dismiss the Company’s complaint. On April 30, 2013, Tyco filed a motion for reargument or, in the alternative, leave to appeal to the Court of Appeals, which the Company opposed. On February 8, 2013, Tyco filed an answer with a counterclaim. On May 21, 2013, the Appellate Division denied Tyco’s request for reargument but granted its request for leave to appeal to the Court of Appeals. On July 30, 2013, Tyco filed its opening brief, the Company filed its response brief on September 16, 2013, and Tyco filed its reply on October 11, 2013. Oral argument was held on April 29, 2014. On June 5, 2014, the Court issued its decision, and reversed the order of the Appellate Division, and ordered that the order of the Supreme Court should be reinstated. The Company is evaluating its options going forward.
 
In addition to the foregoing, the Company is subject to other legal proceedings that have arisen in the ordinary course of business and have not been finally adjudicated.  Although there can be no assurance in this regard, none of the other legal proceedings to which the Company is a party will have a material adverse effect on the Company’s results of operations, cash flows or financial condition.
 
 
13

 
 
Note 10—Commitments and Contingencies
 
Purchase Commitments
 
The Company had purchase commitments of $1.0 million as of April 30, 2014.
 
Letters of Credit
 
As of April 30, 2014, the Company had letters of credit outstanding totaling $3.8 million primarily for collateral to secure mortgage repayments and for IDT Telecom’s business. The letters of credit outstanding as of April 30, 2014 expire as follows: $1.0 million in the twelve month period ending April 30, 2015 and $2.8 million in August 2015.
 
Performance Bonds
 
IDT Payment Services and IDT Telecom have performance bonds issued through third parties for the benefit of various states in order to comply with the states’ financial requirements for money remittance licenses and telecommunications resellers, respectively. At April 30, 2014, the Company had aggregate performance bonds of $9.9 million outstanding.
 
Customer Deposits
 
As of April 30, 2014 and July 31, 2013, “Customer deposits” in the Company’s consolidated balance sheets included refundable customer deposits of $48.5 million and $28.7 million, respectively, related to IDT Financial Services, the Company’s Gibraltar-based bank.
 
Substantially Restricted Cash and Cash Equivalents
 
IDT Payment Services and IDT Financial Services set aside certain cash balances in accordance with banking regulations, credit card issuer requirements or license compliance. The balances are not legally restricted, however the Company treats these balances as substantially restricted and unavailable for other purposes. At April 30, 2014 and July 31, 2013, “Cash and cash equivalents” in the Company’s consolidated balance sheet included an aggregate of $9.6 million and $7.8 million, respectively, set aside by IDT Payment Services and IDT Financial Services that was unavailable for other purposes.
 
Restricted Cash and Cash Equivalents
 
Restricted cash and cash equivalents consist of the following:
 
   
April 30,
2014
   
July 31,
2013
 
   
(in thousands)
 
Restricted cash and cash equivalents-short-term
           
Letters of credit related
  $ 734     $ 3,189  
IDT Financial Services customer deposits
    50,452       31,076  
Other
    2,112       723  
Total short-term
    53,298       34,988  
Restricted cash and cash equivalents-long-term
               
Letters of credit related
    2,763       2,767  
Total restricted cash and cash equivalents
  $ 56,061     $ 37,755  
 
 
14

 
 
Note 11—Other Operating Gains, Net
 
The following table summarizes the other operating gains, net by business segment:

   
Three Months Ended
April 30,
   
Nine Months Ended
April 30,
 
   
2014
   
2013
   
2014
   
2013
 
   
(in thousands)
 
Telecom Platform Services-gains related to legal matters, net
  $     $ 9,601     $ 650     $ 9,251  
All Other-gain on insurance claim (a)
                571        
All Other-other
                67        
Corporate-loss related to settlement (b)
                (79 )      
Total other operating gains, net
  $     $ 9,601     $ 1,209     $ 9,251  
 
(a) In the nine months ended April 30, 2014, the Company received proceeds from insurance of $0.6 million related to water damage to portions of the Company’s building and improvements at 520 Broad Street, Newark, New Jersey. The damage occurred in a prior period. The Company recorded a gain of $0.6 million from this insurance claim.
 
(b) In the nine months ended April 30, 2014, the Company incurred a loss of $0.1 million in connection with the June 2013 settlement of outstanding claims and disputes with the former Chief Executive Officer of Straight Path Spectrum, Inc. and his related parties.
 
Note 12—Other Income (Expense), Net
 
Other income (expense), net consists of the following:

   
Three Months Ended
April 30,
   
Nine Months Ended
April 30,
 
   
2014
   
2013
   
2014
   
2013
 
   
(in thousands)
 
Foreign currency transaction (losses) gains
  $ (478 )   $ 1,521     $ (4,840 )   $ 3,566  
Gain on investments
    581       960       1,434       1,565  
Other
    56       (48 )     (49 )     2  
Total other income (expense), net
  $ 159     $ 2,433     $ (3,455 )   $ 5,133  

Note 13—520 Broad Street Building
 
At April 30, 2014, the carrying value of the land, building and improvements that the Company owns at 520 Broad Street, Newark, New Jersey, after the impairment charge that was recorded in fiscal 2013, was $37.3 million. The Company is considering a range of options as to the future use or disposition of 520 Broad Street, some of which could result in an additional loss from a further reduction in the carrying value of the land, building and improvements and such loss could be material.
 
Note 14—Recently Issued Accounting Standard Not Yet Adopted
 
In May 2014, the Financial Accounting Standards Board and the International Accounting Standards Board jointly issued a comprehensive new revenue recognition standard that will supersede most of the current revenue recognition guidance under U.S. GAAP and International Financial Reporting Standards (“IFRS”). The goals of the revenue recognition project were to clarify and converge the revenue recognition principles under U.S. GAAP and IFRS and to develop guidance that would streamline and enhance revenue recognition requirements. The Company will adopt this standard on August 1, 2017. Entities have the option of using either a full retrospective or modified retrospective approach for the adoption of the standard. The Company is evaluating the impact that the standard will have on its consolidated financial statements.
 
In April 2014, an accounting standard update was issued that changes the criteria for reporting discontinued operations and enhances convergence of U.S. GAAP and IFRS reporting requirements for discontinued operations. The amendments in the update raise the threshold for a disposal to qualify as a discontinued operation and require new disclosures of both discontinued operations and certain other disposals that do not meet the definition of a discontinued operation. The adoption of this standard update will be applied prospectively to (a) all disposals (or classifications as held for sale) of components of the Company, and (b) all businesses that, on acquisition, are classified as held for sale, that occur within a fiscal year beginning on or after August 1, 2015. Early adoption is permitted but only for disposals (or classifications as held for sale) that have not been reported in previously issued financial statements. The Company does not expect the adoption of this standard update to impact its financial position, results of operations or cash flows.
 
 
15

 
 
 
The following information should be read in conjunction with the accompanying consolidated financial statements and the associated notes thereto of this Quarterly Report, and the audited consolidated financial statements and the notes thereto and our Management’s Discussion and Analysis of Financial Condition and Results of Operations contained in our Annual Report on Form 10-K for the year ended July 31, 2013, as filed with the U.S. Securities and Exchange Commission (or SEC).
 
As used below, unless the context otherwise requires, the terms “the Company,” “IDT,” “we,” “us,” and “our” refer to IDT Corporation, a Delaware corporation, its predecessor, International Discount Telecommunications, Corp., a New York corporation, and their subsidiaries, collectively.
 
Forward-Looking Statements
 
This Quarterly Report on Form 10-Q contains forward-looking statements within the meaning of Section 27A of the Securities Act of 1933 and Section 21E of the Securities Exchange Act of 1934, including statements that contain the words “believes,” “anticipates,” “expects,” “plans,” “intends,” and similar words and phrases. These forward-looking statements are subject to risks and uncertainties that could cause actual results to differ materially from the results projected in any forward-looking statement. In addition to the factors specifically noted in the forward-looking statements, other important factors, risks and uncertainties that could result in those differences include, but are not limited to, those discussed under Item 1A to Part I “Risk Factors” in our Annual Report on Form 10-K for the fiscal year ended July 31, 2013. The forward-looking statements are made as of the date of this report and we assume no obligation to update the forward-looking statements, or to update the reasons why actual results could differ from those projected in the forward-looking statements. Investors should consult all of the information set forth in this report and the other information set forth from time to time in our reports filed with the SEC pursuant to the Securities Act of 1933 and the Securities Exchange Act of 1934, including our Annual Report on Form 10-K for the year ended July 31, 2013.
 
Overview
 
We are a multinational holding company with operations primarily in the telecommunications industry. We have three reportable business segments, Telecom Platform Services and Consumer Phone Services, which comprise our IDT Telecom division, and Zedge Holdings, Inc., or Zedge. Telecom Platform Services provides telecommunications services, including prepaid and rechargeable calling products and international long distance traffic termination, as well as various payment services. Consumer Phone Services provides consumer local and long distance services in the United States. Zedge owns and operates an online platform for mobile phone consumers interested in obtaining free and relevant, high quality games, apps, and personalization content, such as ringtones, wallpapers, and alerts. All other operating segments that are not reportable individually are included in All Other. All Other includes Fabrix Systems Ltd., or Fabrix, a software development company specializing in highly efficient cloud-based video processing, storage and delivery, our real estate holdings, and other smaller businesses.
 
IDT Telecom
 
Since our inception, we have derived the majority of our revenues and operating expenses from IDT Telecom’s businesses. IDT Telecom’s revenues represented 98.6% and 98.0% of our total revenues from continuing operations in the nine months ended April 30, 2014 and 2013, respectively.
 
Telecom Platform Services, which represented 99.3% and 99.1% of IDT Telecom’s total revenues in the nine months ended April 30, 2014 and 2013, respectively, markets and distributes multiple communications and payment services across four broad business categories, including:
 
 
·
Retail Communications provides international long-distance calling products primarily to immigrant communities worldwide, with its core markets in the United States. These products include our flagship Boss Revolution PIN-less product (an international calling service sold through our Boss Revolution payment platform) as well as other prepaid calling card products including traditional, disposable calling cards.
 
 
·
Wholesale Termination Services is a global telecom carrier, terminating international long distance calls around the world for Tier 1 fixed line and mobile network operators, as well as other service providers, through our network of 650-plus carrier interconnects.
 
 
·
Payment Services provides payment offerings including domestic and international airtime top-up sold both in traditional hard card format and over our Boss Revolution payment platform, gift cards sold in the United States and Europe, and our recently launched bill pay and international money transfer service. Payment Services also includes reloadable prepaid debit cards and Bank Identification Number (BIN) sponsorship services offered in Europe by our Gibraltar-based bank, IDT Financial Services Limited.
 
 
·
Hosted Platform Solutions provides customized communications services that leverage our proprietary networks, platforms and/or technology to cable companies and other service providers. The majority of Hosted Platform Solutions’ revenue is generated by our cable telephony business.
 
 
16

 
 
Over the past few years, we have experienced a continued shift in demand industry-wide, away from traditional calling cards and into wireless products and Internet protocol (or IP)-based products, which, among other things, has, and continues to contribute to the gradual erosion of our pricing power. The continued growth of these wireless and IP-based services has adversely affected the sales of our traditional disposable prepaid calling card products as customers migrate from using cards to using these alternative services. We expect pricing of wireless and IP-based services to continue to decrease, which may result in increased substitution and increased pricing pressure on our prepaid calling products’ sales and margins.
 
To combat this trend, we have introduced in recent years new sources of revenue, such as Boss Revolution PIN-less and international airtime top-up that have now largely replaced revenues from our traditional disposable calling cards. Boss Revolution PIN-less allows our customers to call overseas without the need to enter a personal identification number. International airtime top-up, which enables customers to purchase airtime for a prepaid mobile telephone in another country, appeals to residents of developed countries such as the United States who regularly communicate with or financially support friends or family members in a developing country. The addition of Boss Revolution PIN-less and international airtime top-up represent successful efforts to leverage our existing capabilities and distribution. Although Boss Revolution PIN-less and international airtime top-up generally have lower gross margins than our traditional disposable calling cards, we believe that customers tend to continue using these products over a longer period of time thereby allowing us to generate higher revenues and longer lifetime value per user. The Boss Revolution payment platform provides us with a direct, real-time relationship with all of our participating retailers, resulting in a cost-effective and adaptable distribution model that can rapidly respond to changes in the business environment. There can be no assurance that we will continue to grow our Boss Revolution PIN-less and international airtime top-up sales, or that we will be able to continue to generate new sources of revenue to offset the continuing decline in our traditional disposable calling card revenues or possible future declines in Boss Revolution PIN-less or other sources of revenue.
 
The wholesale carrier industry has numerous players competing for the same customers, primarily on the basis of price, products and quality of service. In our Wholesale Termination Services business, we have historically had to pass along all or most of our per-minute cost savings to our customers in the form of lower prices.
 
Discontinued Operations
 
On July 31, 2013, we completed a pro rata distribution of the common stock of our subsidiary Straight Path Communications Inc., or Straight Path, to our stockholders of record as of the close of business on July 25, 2013 (the Straight Path Spin-Off). At the time of the Straight Path Spin-Off, Straight Path owned 100% of Straight Path Spectrum, Inc., which holds, leases and markets fixed wireless spectrum licenses, and 84.5% of Straight Path IP Group, Inc., which holds intellectual property primarily related to communications over the Internet and the licensing and other businesses related to this intellectual property. As of July 31, 2013, each of our stockholders received one share of Straight Path Class A common stock for every two shares of our Class A common stock and one share of Straight Path Class B common stock for every two shares of our Class B common stock held of record as of the close of business on July 25, 2013. Straight Path and its subsidiaries met the criteria to be reported as discontinued operations and accordingly, their assets, liabilities, results of operations and cash flows are classified as discontinued operations for all periods presented.
 
We believe that the Straight Path Spin-Off was tax-free for us and our stockholders for U.S. federal income tax purposes under Section 355 of the Internal Revenue Code of 1986. We received an opinion from Pryor Cashman LLP on the requirements for a tax-free distribution. Specifically, the opinion concluded that the distribution (i) should satisfy the business purpose requirement of the Internal Revenue Code for a tax-free distribution, (ii) should not be viewed as being used principally as a device for the distribution of earnings and profits of the distributing corporation or the controlled corporation or both, and (iii) should not be viewed as part of a plan (or series of related transactions) pursuant to which one or more persons will acquire directly or indirectly stock representing a 50 percent or greater interest in the distributing corporation or controlled corporation within the meaning of the relevant section of the Internal Revenue Code.
 
In connection with the Straight Path Spin-Off, we funded Straight Path with a total of $15.0 million in aggregate cash and cash equivalents.
 
We entered into various agreements with Straight Path prior to the Straight Path Spin-Off including (1) a Separation and Distribution Agreement to effect the separation and provide a framework for our relationship with Straight Path after the spin-off, (2) a Tax Separation Agreement, which sets forth our and Straight Path’s responsibilities with respect to, among other things, liabilities for federal, state, local and foreign taxes for periods before and including the spin-off, the preparation and filing of tax returns for such periods and disputes with taxing authorities regarding taxes for such periods, and (3) a Transition Services Agreement, which provides for certain services to be performed by us to facilitate Straight Path’s transition into a separate publicly-traded company. These agreements provide for, among other things, the allocation between us and Straight Path of employee benefits, taxes and other liabilities and obligations attributable to periods prior to the spin-off, and provision of certain services by us to Straight Path following the spin-off, including services relating to human resources and employee benefits administration, finance, treasury, accounting, tax, internal audit, facilities, external reporting, investor relations and legal. In addition, we and Straight Path have entered into a license agreement whereby each of us, Straight Path and our subsidiaries granted and will grant a license to the other to utilize patents held by each entity.
 
 
17

 
 
Revenues, loss before income taxes and net loss of Straight Path, which is included in discontinued operations, were as follows:
 
   
Three months ended
April 30,
   
Nine months ended
April 30,
 
   
2014
   
2013
   
2014
   
2013
 
   
(in millions)
 
Revenues
  $     $ 0.3     $     $ 1.0  
                                 
Loss before income taxes
  $     $ (1.0 )   $     $ (2.8 )
                                 
Net loss
  $     $ (1.0   $     $ (2.8 )

520 Broad Street Building
 
At April 30, 2014, the carrying value of the land, building and improvements that we own at 520 Broad Street, Newark, New Jersey, after the impairment charge that was recorded in fiscal 2013, was $37.3 million. We are considering a range of options as to the future use or disposition of 520 Broad Street, some of which could result in an additional loss from a further reduction in the carrying value of the land, building and improvements and such loss could be material.
 
Critical Accounting Policies
 
Our consolidated financial statements and accompanying notes are prepared in accordance with accounting principles generally accepted in the United States of America, or U.S. GAAP. Our significant accounting policies are described in Note 1 to the consolidated financial statements included in our Annual Report on Form 10-K for fiscal 2013. The preparation of financial statements requires management to make estimates and assumptions that affect the reported amounts of assets, liabilities, revenues and expenses as well as the disclosure of contingent assets and liabilities. Critical accounting policies are those that require application of management’s most subjective or complex judgments, often as a result of matters that are inherently uncertain and may change in subsequent periods. Our critical accounting policies include those related to the allowance for doubtful accounts, goodwill, valuation of long-lived and intangible assets, income and other taxes and regulatory agency fees, IDT Telecom direct cost of revenues—disputed amounts, and contingent liabilities. Management bases its estimates and judgments on historical experience and other factors that are believed to be reasonable under the circumstances. Actual results may differ from these estimates under different assumptions or conditions. For additional discussion of our critical accounting policies, see our Management’s Discussion and Analysis of Financial Condition and Results of Operations in our Annual Report on Form 10-K for fiscal 2013.
 
Recently Issued Accounting Standard Not Yet Adopted
 
In May 2014, the Financial Accounting Standards Board and the International Accounting Standards Board jointly issued a comprehensive new revenue recognition standard that will supersede most of the current revenue recognition guidance under U.S. GAAP and International Financial Reporting Standards, or IFRS. The goals of the revenue recognition project were to clarify and converge the revenue recognition principles under U.S. GAAP and IFRS and to develop guidance that would streamline and enhance revenue recognition requirements. We will adopt this standard on August 1, 2017. Entities have the option of using either a full retrospective or modified retrospective approach for the adoption of the standard. We are evaluating the impact that the standard will have on our consolidated financial statements.
 
In April 2014, an accounting standard update was issued that changes the criteria for reporting discontinued operations and enhances convergence of U.S. GAAP and IFRS reporting requirements for discontinued operations. The amendments in the update raise the threshold for a disposal to qualify as a discontinued operation and require new disclosures of both discontinued operations and certain other disposals that do not meet the definition of a discontinued operation. The adoption of this standard update will be applied prospectively to (a) all disposals (or classifications as held for sale) of components of ours, and (b) all businesses that, on acquisition, are classified as held for sale, that occur within a fiscal year beginning on or after August 1, 2015. Early adoption is permitted but only for disposals (or classifications as held for sale) that have not been reported in previously issued financial statements. We do not expect the adoption of this standard update to impact our financial position, results of operations or cash flows.
 
 
18

 
 
Results of Operations
 
Three and Nine Months Ended April 30, 2014 Compared to Three and Nine Months Ended April 30, 2013
 
We evaluate the performance of our operating business segments based primarily on income (loss) from operations. Accordingly, the income and expense line items below income (loss) from operations are only included in our discussion of the consolidated results of operations.
 
IDT Telecom—Telecom Platform Services and Consumer Phone Services Segments

   
Three months ended
April 30,
   
Change
   
Nine months ended
April 30,
   
Change
 
   
2014
   
2013
     $       %       2014       2013      $       %  
   
(in millions)
 
Revenues
                                                       
Telecom Platform Services
  $ 394.6     $ 389.0     $ 5.6       1.4 %   $ 1,205.5     $ 1,184.1     $ 21.4       1.8 %
Consumer Phone Services
    2.6       3.4       (0.8 )     (23.4 )     8.5       11.2       (2.7 )     (23.9 )
Total revenues
  $ 397.2     $ 392.4     $ 4.8       1.2 %   $ 1,214.0     $ 1,195.3     $ 18.7       1.6 %

Revenues. IDT Telecom revenues increased in the three and nine months ended April 30, 2014 compared to the similar periods in fiscal 2013 due to increases in Telecom Platform Services revenues, which more than offset declines in Consumer Phone Services revenues. As a percentage of IDT Telecom’s total revenues, Telecom Platform Services revenues increased from 99.1% in the nine months ended April 30, 2013 to 99.3% in the nine months ended April 30, 2014, and Consumer Phone Services revenues decreased from 0.9% in the nine months ended April 30, 2013 to 0.7% in the nine months ended April 30, 2014.
 
Telecom Platform Services revenues, minutes of use and average revenue per minute for the three and nine months ended April 30, 2014 and 2013 consisted of the following:
 
   
Three months ended
April 30,
   
Change
   
Nine months ended
April 30,
   
Change
 
   
2014
   
2013
      $/#    
%
      2014       2013       $/#    
%
 
   
(in millions, except revenue per minute)
 
Telecom Platform Services Revenues
                                                       
Retail Communications
  $ 172.5     $ 165.4     $ 7.1       4.3 %   $ 514.8     $ 480.2     $ 34.6       7.2 %
Wholesale Termination Services
    160.6       159.3       1.3       0.8       507.0       523.1       (16.1 )     (3.1 )
Payment Services
    50.2       51.3       (1.1 )     (2.1 )     149.0       141.7       7.3       5.2  
Hosted Platform Solutions
    11.3       13.0       (1.7 )     (12.8 )     34.7       39.1       (4.4 )     (11.2 )
Total Telecom Platform Services revenues
  $ 394.6     $ 389.0     $ 5.6       1.4 %   $ 1,205.5     $ 1,184.1     $ 21.4       1.8 %
Minutes of use
                                                               
Retail Communications
    2,367       2,334       33       1.4 %     7,125       6,990       135       1.9 %
Wholesale Termination Services
    5,032       5,293       (261 )     (4.9 )     14,516       17,711       (3,195 )     (18.0 )
Hosted Platform Solutions
    195       217       (22 )     (10.2 )     601       679       (78 )     (11.5 )
Total minutes of use
    7,594       7,844       (250 )     (3.2 )%     22,242       25,380       (3,138 )     (12.4 )%
Average revenue per minute
                                                               
Retail Communications
  $ 0.0729     $ 0.0709     $ 0.0020       2.8 %   $ 0.0723     $ 0.0687     $ 0.0036       5.2 %
Wholesale Termination Services
    0.0319       0.0301       0.0018       6.1       0.0349       0.0295       0.0054       18.3  

Retail Communications minutes of use increased 1.4% and 1.9% in the three and nine months ended April 30, 2014, respectively, compared to the similar periods in fiscal 2013, which was driven by the volume growth in the U.S., which more than offset the decrease in minutes of use in Europe and Asia. Revenue grew 4.3% and 7.2% in the three and nine months ended April 30, 2014, respectively, compared to the similar periods in fiscal 2013. The growth was led by penetration and acceptance of Boss Revolution within our U.S. retail distribution network as both the number of active Boss Revolution retailers and customers increased, partially offset by continued declines in sales of traditional disposable calling cards and retail sales in Europe. Retail Communications revenue comprised 42.7% and 40.5% of Telecom Platform Services’ revenue in the nine months ended April 30, 2014 and 2013, respectively.
 
 
19

 
 
Wholesale Termination Services minutes of use decreased 4.9% and 18.0% in the three and nine months ended April 30, 2014, respectively, compared to the similar periods in fiscal 2013, which included a significant decrease from our web-based prepaid termination service. Revenue increased 0.8% in the three months ended April 30, 2014 compared to the similar period in fiscal 2013 at the same time that minutes of use decreased reflects partially the impact of industry-wide market price increases in termination rates into certain South Asian nations, which were imposed towards the end of the third quarter of fiscal 2013, and resulted in a decline in minute traffic to those countries. In addition, the revenue growth resulted from increased sales of higher revenue-per-minute traffic in Latin America, as we took advantage of certain pricing shift opportunities resulting from disparities in local currency exchange rates. Wholesale Termination Services revenue decreased 3.1% in the nine months ended April 30, 2014 compared to the similar period in fiscal 2013 as the result of a change in the destination mix. Wholesale Termination Services revenue comprised 42.1% and 44.2% of Telecom Platform Services’ revenue in the nine months ended April 30, 2014 and 2013, respectively.
 
Payment Services revenue decreased 2.1% in the three months ended April 30, 2014 compared to the similar period in fiscal 2013 due to a decline in international and domestic airtime top-up revenue primarily resulting from increased competition among resellers. Payment Services revenue grew 5.2% in the nine months ended April 30, 2014 compared to the similar period in fiscal 2013, driven by growth in sales of our international airtime top-up in the first half of fiscal 2014. Future growth will be, in large part, contingent upon our ability to enter into new international airtime top-up partnerships with wireless providers, as well as continued growth of international airtime top-up volume within existing relationships and the introduction of new payment offerings through the Boss Revolution payment platform. In the third quarter of fiscal 2013, we launched our domestic bill payment services in partnership with a licensed domestic bill pay provider. In addition, in the first quarter of fiscal 2014, we initiated an international money transfer service on a limited basis over our Boss Revolution payment platform after obtaining the requisite licenses. Payment Services revenue comprised 12.4% and 12.0% of Telecom Platform Services’ revenue in the nine months ended April 30, 2014 and 2013, respectively.
 
Hosted Platform Solutions revenue declined 12.8% and 11.2% in the three and nine months ended April 30, 2014, respectively, compared to the similar periods in fiscal 2013. The decline was due to decreases in revenues from managed services and from call shops outside the U.S. Call shop revenues decreased due to price competition and migration to alternative wireless and IP-based services. The decline in Hosted Platform Solutions revenue in the nine months ended April 30, 2014 compared to the similar period in fiscal 2013 was also due to a decrease in revenue from our cable telephony business which is in harvest mode. Hosted Platform Solutions revenue comprised 2.8% and 3.3% of Telecom Platform Services’ revenue in the nine months ended April 30, 2014 and 2013, respectively. Hosted Platform Solutions minutes of use decreased 10.2% and 11.5% in the three and nine months ended April 30, 2014, respectively, compared to the similar periods in fiscal 2013, primarily as a result of the decline in minutes of use from managed services and cable telephony customers. In general, since our Hosted Platform Solutions business’ revenues and cash flows are driven far more by the number of existing subscribers in the form of a per-subscriber fee rather than by subscriber minutes of use, we do not view Hosted Platform Solutions minutes of use as a very significant metric.
 
Consumer Phone Services revenues declined 23.4% and 23.9% in the three and nine months ended April 30, 2014, respectively, compared to the similar periods in fiscal 2013 as we continued to operate the business in harvest mode. This strategy has been in effect since calendar 2005 when the FCC decided to terminate the UNE-P pricing regime, which resulted in significantly inferior economics in the operating model for this business. The customer base for our bundled, unlimited local and long distance services business was approximately 6,600 as of April 30, 2014 compared to 8,400 as of April 30, 2013. We currently offer local service in the following 11 states: New York, New Jersey, Pennsylvania, Maryland, Delaware, Massachusetts, New Hampshire, West Virginia, Maine, Rhode Island and California. In addition, the customer base for our long distance-only services was approximately 30,300 as of April 30, 2014 compared to 38,000 as of April 30, 2013. We anticipate that Consumer Phone Services’ customer base and revenues will continue to decline. Minutes of use relating to our Consumer Phone Services segment is not tracked as a meaningful business metric as the domestic traffic generated by this segment is not carried on our network, and the international traffic generated by this segment, though carried on our own network, is insignificant.
 
   
Three months ended
April 30,
   
Change
   
Nine months ended
April 30,
   
Change
 
   
2014
   
2013
    $       %       2014       2013      $       %  
   
(in millions)
 
Direct cost of revenues
                                                       
Telecom Platform Services
  $ 330.4     $ 329.2     $ 1.2       0.4 %   $ 1,011.7     $ 1,004.5     $ 7.2       0.7 %
Consumer Phone Services
    1.1       1.5       (0.4 )     (26.5 )     3.8       4.9       (1.1 )     (23.0 )
Total direct cost of revenues
  $ 331.5     $ 330.7     $ 0.8       0.2 %   $ 1,015.5     $ 1,009.4     $ 6.1       0.6 %
 
 
20

 
 
   
Three months ended
April 30,
         
Nine months ended
April 30,
       
   
2014
   
2013
   
Change
   
2014
   
2013
   
Change
 
Direct cost of revenues as a percentage of revenues
                                   
Telecom Platform Services
    83.7 %     84.6 %     (0.9 )%     83.9 %     84.8 %     (0.9 )%
Consumer Phone Services
    42.6       44.4       (1.8 )     44.6       44.0       0.6  
Total
    83.5 %     84.3 %     (0.8 )%     83.7 %     84.5 %     (0.8 )%

Direct Cost of Revenues. Direct cost of revenues in Telecom Platform Services increased in the three and nine months ended April 30, 2014 compared to the similar periods in fiscal 2013 mainly due to the similar trends in Telecom Platform Services’ revenues. Direct cost of revenues as a percentage of revenues in Telecom Platform Services decreased 90 basis points in the three and nine months ended April 30, 2014 compared to the similar periods in fiscal 2013 as a result of the increase in Wholesale Termination Services average revenue per minute, as well as the positive effect of the overall revenue mix, as the relatively higher-margin Retail Communications business comprised a larger share of  Telecom Platform Services total revenue compared to Wholesale Termination Services.
 
Direct cost of revenues in our Consumer Phone Services segment decreased the three and nine months ended April 30, 2014 compared to the similar periods in fiscal 2013 primarily as a result of the declining customer base.
 
   
Three months ended
April 30,
   
Change
   
Nine months ended
April 30,
   
Change
 
   
2014
   
2013
     $       %       2014       2013      $       %  
   
(in millions)
 
Selling, general and administrative expenses
                                                       
Telecom Platform Services
  $ 48.3     $ 46.6     $ 1.7       3.7 %   $ 147.6     $ 141.3     $ 6.3       4.5 %
Consumer Phone Services
    1.0       1.6       (0.6 )     (36.7 )     3.3       4.9       (1.6 )     (31.1 )
Total selling, general and administrative expenses
  $ 49.3     $ 48.2     $ 1.1       2.4 %   $ 150.9     $ 146.2     $ 4.7       3.3 %

Selling, General and Administrative. An increase in employee compensation expense was a significant portion of the increase in selling, general and administrative expenses in our Telecom Platform Services segment in the three and nine months ended April 30, 2014 compared to the similar periods in fiscal 2013. The increase in employee compensation was the result of annual payroll increases, as well as expansion of our retail direct sales force in the U.S., which results in more control over our product distribution and enhances our relationships with retailers. The increase in selling, general and administrative expenses in our Telecom Platform Services segment was also due to an increase in marketing and advertising costs, which is one of our variable costs that closely track revenue performance. The increase in selling, general and administrative expenses in our Telecom Platform Services segment in the nine months ended April 30, 2014 compared to the similar period in fiscal 2013 was partially offset by decreases in bad debt expense and external legal fees. As a percentage of Telecom Platform Services’ revenue, Telecom Platform Services’ selling, general and administrative expenses increased to 12.2% from 12.0% in the three months ended April 30, 2014 and 2013, respectively, and increased to 12.2% from 11.9% in the nine months ended April 30, 2014 and 2013, respectively.
 
Selling, general and administrative expenses in our Consumer Phone Services segment decreased in the three and nine months ended April 30, 2014 compared to the similar periods in fiscal 2013 as the cost structure for this segment continued to be right-sized to the needs of its declining revenue base.
 
   
Three months ended
April 30,
   
Change
   
Nine months ended
April 30,
   
Change
 
   
2014
   
2013
    $       %       2014       2013     $       %  
   
(in millions)
 
Depreciation and amortization
                                                       
Telecom Platform Services
  $ 3.5     $ 3.3     $ 0.2       6.9 %   $ 10.2     $ 9.1     $ 1.1       12.3 %
Consumer Phone Services
                                              (78.8 )
Total depreciation and amortization
  $ 3.5     $ 3.3     $ 0.2       6.9 %   $ 10.2     $ 9.1     $ 1.1       12.3 %

Depreciation and Amortization. The increase in depreciation and amortization expense in the three and nine months ended April 30, 2014 compared to the similar periods in fiscal 2013 was due to increases in depreciation of capitalized costs of consultants and employees developing internal use software. The increase in depreciation and amortization expense in the nine months ended April 30, 2014 compared to the similar period in fiscal 2013 was also the result of a $0.7 million reduction in depreciation expense in the nine months ended April 30, 2013 due to an adjustment in our estimate of capital expenditures subject to sales and use tax as a result of an audit.
 
 
21

 
 
Other Operating Gains, net. The Telecom Platform Services segment’s income from operations in the three months ended April 30, 2013 included gains of $9.6 million related to legal matters. The Telecom Platform Services segment’s income from operations in the nine months ended April 30, 2014 and 2013 included net gains of $0.7 million and $9.3 million, respectively, related to legal matters.
 
   
Three months ended
April 30,
   
Change
   
Nine months ended
April 30,
   
Change
 
   
2014
   
2013
    $       %       2014       2013     $       %  
   
(in millions)
 
Income from operations
                                                       
Telecom Platform Services
  $ 12.4     $ 19.6     $ (7.2 )     (36.8 )%   $ 36.7     $ 38.5     $ (1.8 )     (4.8 )%
Consumer Phone Services
    0.5       0.3       0.2       51.2       1.4       1.4             (1.4 )
Total income from operations
  $ 12.9     $ 19.9     $ (7.0 )     (35.3 )%   $ 38.1     $ 39.9     $ (1.8 )     (4.7 )%

Zedge
 
   
Three months ended
April 30,
   
Change
   
Nine months ended
April 30,
   
Change
 
   
2014
   
2013
    $       %       2014       2013     $       %  
   
(in millions)
 
Revenues
  $ 1.6     $ 1.4     $ 0.2       15.4 %   $ 4.8     $ 4.2     $ 0.6       14.4 %
Direct cost of revenues
    0.2       0.2             31.6       0.7       0.7             5.6  
Selling, general and administrative
    1.2       0.9       0.3       28.3       3.2       2.7       0.5       13.6  
Depreciation
    0.3       0.2       0.1       15.9       0.7       0.6       0.1       23.3  
(Loss) income from operations
  $ (0.1 )   $ 0.1     $ (0.2 )     (212.8 )%   $ 0.2     $ 0.2     $       28.2 %

Revenues.  Zedge’s revenues are entirely derived from selling its advertising inventory across its Android and iOS apps and websites. Zedge launched its Android app in fiscal 2010 and its iOS app in fiscal 2013. Zedge’s revenues increased in the three and nine months ended April 30, 2014 compared to the similar periods in fiscal 2013 as a result of higher app usage and higher value ad units on its Android app as well as the introduction of advertising on its iOS app. The growth in Total Installs and Active Installs for the Zedge Android and iOS apps is presented in the table below. “Total Installs” is the number of times the app has been downloaded. “Active Installs” is the number of unique active devices on which the application is currently installed and excludes any devices where the application was uninstalled or any devices that are no longer active. This increase in users was a primary driver of advertising revenue growth.
 
   
April 30,
   
Change
 
   
2014
   
2013
      #  
   
(in millions)
 
Total Installs (Android and iOS)
    101       63       38  
Active Installs (Android and iOS)
    44       29       15  

Direct Cost of Revenues. Direct cost of revenues was substantially unchanged in the three and nine months ended April 30, 2014 compared to the similar periods in fiscal 2013 primarily as a result of favorable renegotiated hosting and ad serving contracts. Direct cost of revenues as a percentage of revenues was 15.3% and 13.4% in the three months ended April 30, 2014 and 2013, respectively, and 14.6% and 15.8% in the nine months ended April 30, 2014 and 2013, respectively.
 
Selling, General and Administrative. The increases in selling, general and administrative expenses in the three and nine months ended April 30, 2014 compared to the similar periods in fiscal 2013 were primarily due to increases in developer headcount which increased employee payroll, consulting expense related to business development, non-routine audit fees, and employee recruiting expense, partially offset by a decrease in bonus expense. Zedge’s selling expense included in selling, general and administrative expenses continue to be relatively minor compared to its revenue.
 
Depreciation. The increase in depreciation expense in the three and nine months ended April 30, 2014 compared to the similar periods in fiscal 2013 was due to an increase in depreciation of capitalized payroll costs of employees working on internal use software related to the iOS app and the Android app.
 
 
22

 
 
All Other
 
   
Three months ended
April 30,
   
Change
   
Nine months ended
April 30,
   
Change
 
   
2014
   
2013
    $       %       2014       2013     $       %  
   
(in millions)
 
Revenues
  $ 4.9     $ 3.1     $ 1.8       62.1 %   $ 12.1     $ 9.1     $ 3.0       33.0 %
Direct cost of revenues
    (0.7 )     (0.3 )     (0.4 )     (130.0 )     (1.8 )     (0.9 )     (0.9 )     (101.6 )
Selling, general and administrative
    (1.7 )     (1.5 )     (0.2 )     (13.7 )     (4.8 )     (3.5 )     (1.3 )     (37.8 )
Depreciation
    (0.4 )     (0.5 )     0.1       13.1       (1.2 )     (1.3 )     0.1       5.6  
Research and development
    (2.5 )     (1.7 )     (0.8 )     (46.4 )     (7.4 )     (4.9 )     (2.5 )     (50.2 )
Other operating gains
                            0.6             0.6    
nm
 
Loss from operations
  $ (0.4 )   $ (0.9 )   $ 0.5       61.0 %   $ (2.5 )   $ (1.5 )   $ (1.0 )     (65.5 )%
 

nm—not meaningful

Other Operating Gains. In the nine months ended April 30, 2014, we received proceeds from insurance of $0.6 million related to water damage to portions of our building and improvements at 520 Broad Street, Newark, New Jersey. The damage occurred in a prior period. We recorded a gain of $0.6 million from this insurance claim.
 
Currently, we report aggregate results for all of our operating businesses that are not part of IDT Telecom or Zedge in All Other. Following is the results of operations of Fabrix, which is included in All Other:

   
Three months ended
April 30,
   
Change
   
Nine months ended
April 30,
   
Change
 
Fabrix
 
2014
   
2013
    $       %       2014       2013     $       %  
   
(in millions)
 
Revenues
  $ 4.5     $ 2.6     $ 1.9       70.3 %   $ 10.7     $ 7.9     $ 2.8       36.0 %
Direct cost of revenues
    0.7       0.3       0.4       130.0       1.7       0.9       0.8       101.6  
Selling, general and administrative
    0.9       0.9             1.2       2.8       2.0       0.8       34.7  
Depreciation
    0.1       0.1             (18.9 )     0.3       0.3             15.6  
Research and development
    2.5       1.7       0.8       46.4       7.4       4.9       2.5       50.2  
Income (loss) from operations
  $ 0.3     $ (0.4 )   $ 0.7       176.6 %   $ (1.5 )   $ (0.2 )   $ (1.3 )     (640.7 )%

Revenues. Fabrix is our majority-owned venture that develops and licenses a proprietary video software platform optimized for cost effective cloud-based video storage, high throughput streaming and intelligent content distribution. This software is marketed to cable and telecommunications operators, Internet service providers and web based video portals that require deep video storage capabilities or offer unicast television applications including video-on-demand, multi-screen delivery, cloud storage, time/place shifting and remote DVR storage capabilities. In the first quarter of fiscal 2011, Fabrix successfully deployed its deep video storage product with a North American tier-1 operator. In addition, the major American cable operator that licensed the Fabrix software in August 2010 to empower its cloud-based DVR offering continued to purchase additional product. Finally, in the third quarter of fiscal 2013, Fabrix commenced software deliveries to a major European operator. In the three months ended April 30, 2014 and 2013, Fabrix received cash from these sales of $5.4 million and $1.1 million, respectively, and in the nine months ended April 30, 2014 and 2013, Fabrix received cash from these sales of $9.2 million and $13.9 million, respectively. Fabrix generally recognizes revenue for its software licenses and support from the date on which delivered orders were accepted by the customer over the term of the related software support agreements.
 
 
23

 
 
Corporate

   
Three months ended
April 30,
   
Change
   
Nine months ended
April 30,
   
Change
 
   
2014
   
2013
    $       %       2014       2013     $       %  
   
(in millions)
 
General and administrative expenses
  $ 3.3     $ 3.4     $ (0.1 )     (2.2 )%   $ 11.7     $ 10.5     $ 1.2       11.0 %
Depreciation and amortization
                      (82.5 )           0.1       (0.1 )     (62.0 )
Other operating loss
                            0.1             0.1    
nm
 
Loss from operations
  $ 3.3     $ 3.4     $ (0.1 )     (2.7 )%   $ 11.8     $ 10.6     $ 1.2       11.2 %
  

nm—not meaningful

Corporate costs include compensation, consulting fees, treasury and accounts payable, tax and accounting services, human resources and payroll, corporate purchasing, corporate governance including Board of Directors’ fees, internal and external audit, investor relations, corporate insurance, corporate legal, business development, and other corporate-related general and administrative expenses, including, among others, facilities costs, charitable contributions and travel, as well as depreciation expense on corporate assets. Corporate does not generate any revenues, nor does it incur any direct cost of revenues.
 
General and Administrative. The decrease in Corporate general and administrative expenses in the three months ended April 30, 2014 compared to the similar period in fiscal 2013 was due to a decrease in stock-based compensation, partially offset by an increase in charitable contributions accrual. The increase in Corporate general and administrative expenses in the nine months ended April 30, 2014 compared to the similar period in fiscal 2013 was primarily due to increases in charitable contributions accrual and legal fees. In the three months ended April 30, 2014 and 2013, we accrued $0.4 million and a nominal amount, respectively, for contributions to the IDT Charitable Foundation, and in the nine months ended April 30, 2014 and 2013, we accrued $1.5 million and $0.9 million, respectively, for contributions to the IDT Charitable Foundation. Corporate general and administrative expenses in the three and nine months ended April 30, 2014 and 2013 are net of amounts billed pursuant to a Transition Services Agreement to our former subsidiary Genie Energy Ltd., or Genie, which we spun-off in October 2011, and Corporate general and administrative expenses in the three and nine months ended April 30, 2014 are net of the fees charged to Straight Path pursuant to its Transition Services Agreement. The fees charged to Genie, net of amounts charged by Genie to us, were $0.6 million and $0.9 million in the three months ended April 30, 2014 and 2013, respectively, and $2.3 million and $2.8 million in the nine months ended April 30, 2014 and 2013, respectively. The fees charged to Straight Path were $0.2 and nil in the three months ended April 30, 2014 and 2013, respectively, and $0.8 million and nil in the nine months ended April 30, 2014 and 2013, respectively. As a percentage of our total consolidated revenues from continuing operations, Corporate general and administrative expenses was 0.8% in the three months ended April 30, 2014 and 2013, and 0.9% in the nine months ended April 30, 2014 and 2013.
 
Other Operating Loss. In the nine months ended April 30, 2014, we incurred a loss of $0.1 million in connection with the June 2013 settlement of outstanding claims and disputes with the former Chief Executive Officer of Straight Path Spectrum, Inc. and his related parties.
 
Consolidated
 
The following is a discussion of our consolidated stock-based compensation expense, and our consolidated income and expense line items below income (loss) from operations.
 
Stock-Based Compensation Expense. Stock-based compensation expense included in consolidated selling, general and administrative expenses was $0.8 million and $1.5 million in the three months ended April 30, 2014 and 2013, respectively, and $4.9 million and $4.3 million in the nine months ended April 30, 2014 and 2013, respectively. At April 30, 2014, unrecognized compensation cost related to non-vested stock-based compensation, including stock options and restricted stock, was an aggregate of $4.9 million. The unrecognized compensation cost is expected to be recognized over the remaining vesting period, of which $3.1 million is expected to be recognized in the twelve month period ending April 30, 2015, $1.5 million is expected to be recognized in the twelve month period ending April 30, 2016, and the remaining $0.3 million is expected to be recognized in the twelve month period ending April 30, 2017.
 
 
24

 
 
   
Three months ended
April 30,
   
Change
   
Nine months ended
April 30,
   
Change
 
   
2014
   
2013
    $       %       2014       2013     $       %  
   
(in millions)
 
Income from operations
  $ 9.2     $ 15.7     $ (6.5 )     (41.5 )%   $ 24.0     $ 28.0     $ (4.0 )     (14.3 )%
Interest expense, net
    (0.1 )     (0.4 )     0.3       69.7             (0.8 )     0.8       93.1  
Other income (expense), net
    0.1       2.4       (2.3 )     (93.5 )     (3.5 )     5.1       (8.6 )     (167.3 )
Provision for income taxes
    (3.6 )     (7.6 )     4.0       52.6       (7.9 )     (12.7 )     4.8       38.1  
Income from continuing operations
    5.6       10.1       (4.5 )     (44.5 )     12.6       19.6       (7.0 )     (35.6 )
Discontinued operations, net of tax
          (1.0 )     1.0       100.0             (2.8 )     2.8       100.0  
Net income
    5.6       9.1       (3.5 )     (38.6 )     12.6       16.8       (4.2 )     (24.8 )
Net income attributable to noncontrolling interests
    (0.6 )     (0.4 )     (0.2 )     (34.4 )     (1.5 )     (1.5 )           (1.2 )
Net income attributable to IDT Corporation
  $ 5.0     $ 8.7     $ (3.7 )     (42.3 )%   $ 11.1     $ 15.3     $ (4.2 )     (27.4 )%

Interest Expense, net. The decrease in interest expense, net in the three and nine months ended April 30, 2014 compared to the similar periods in fiscal 2013 was due to a decrease in interest expense as well as an increase in interest income.
 
Other Income (Expense), net. Other income (expense), net consists of the following:

   
Three months ended
April 30,
   
Nine months ended
April 30,
 
   
2014
   
2013
   
2014
   
2013
 
   
(in millions)
 
Foreign currency transaction (losses) gains
  $ (0.5 )   $ 1.5     $ (4.8 )   $ 3.6  
Gain on investments
    0.6       0.9       1.4       1.5  
Other
                (0.1 )      
Total other income (expense), net
  $ 0.1     $ 2.4     $ (3.5 )   $ 5.1  

Income Taxes. The decline in income tax expense in the three and nine months ended April 30, 2014 compared to the similar periods in fiscal 2013 was primarily due to the decrease in income from continuing operations before income taxes in the three and nine months ended April 30, 2014 compared to the similar periods in fiscal 2013.
 
Discontinued Operations, net of tax. The loss from discontinued operations, net of tax, in the three and nine months ended April 30, 2013 was due to Straight Path’s net loss of $1.0 million and $2.8 million, respectively.
 
Net Income Attributable to Noncontrolling Interests. The change in the net income attributable to noncontrolling interests in the three months ended April 30, 2014 compared to the similar period in fiscal 2013 was primarily due to the change in the results of operations of Fabrix from net loss in the three months ended April 30, 2013 to net income in the three months ended April 30, 2014, as well an increase in the net income attributable to noncontrolling interests in certain IDT Telecom subsidiaries. The change in the net income attributable to noncontrolling interests in the nine months ended April 30, 2014 compared to the similar period in fiscal 2013 was primarily due to an increase in the net income attributable to noncontrolling interests in certain IDT Telecom subsidiaries as well as the Straight Path Spin-off, partially offset by a change in Fabrix’ results of operations from net income in the nine months ended April 30, 2013 to net loss in the nine months ended April 30, 2014.
 
Liquidity and Capital Resources
 
General
 
We currently expect our cash from operations in the next twelve months and the balance of cash, cash equivalents and marketable securities that we held as of April 30, 2014 to be sufficient to meet our currently anticipated working capital and capital expenditure requirements during the twelve month period ending April 30, 2015.
 
As of April 30, 2014, we had cash, cash equivalents and marketable securities of $159.4 million and a deficit in working capital (current liabilities in excess of current assets) of $29.6 million. As of April 30, 2014, we also had $9.7 million in investments in hedge funds, of which $0.1 million was included in “Other current assets” and $9.6 million was included in “Investments” in our consolidated balance sheet.
 
 
25

 
 
As of April 30, 2014, we had aggregate restricted cash and cash equivalents of $56.1 million, of which $53.3 million was included in “Restricted cash and cash equivalents-short term” and $2.8 million was included in “Restricted cash and cash equivalents-long-term” in our consolidated balance sheet. Our restricted cash and cash equivalents include, among other amounts, restricted balances pursuant to banking regulatory and other requirements and customer deposits related to IDT Financial Services, our Gibraltar-based bank. We expect customer deposits and the offsetting restricted cash and cash equivalents will continue to increase in the remainder of fiscal 2014.
 
IDT Payment Services and IDT Financial Services set aside certain cash balances in accordance with banking regulations, credit card issuer requirements or license compliance. The balances are not legally restricted, however we treat these balances as substantially restricted and unavailable for other purposes. At April 30, 2014, “Cash and cash equivalents” in our consolidated balance sheet included an aggregate of $9.6 million set aside by IDT Payment Services and IDT Financial Services that was unavailable for other purposes.
 
   
Nine months ended
April 30,
 
   
2014
   
2013
 
   
(in millions)
 
Cash flows provided by (used in):
           
Operating activities
  $ 29.6     $ 45.1  
Investing activities
    (14.0 )     (16.4 )
Financing activities
    (20.7 )     (21.5 )
Effect of exchange rate changes on cash and cash equivalents
    0.5       1.4  
(Decrease) increase in cash and cash equivalents from continuing operations
    (4.6 )     8.6  
Discontinued operations
          (1.3 )
(Decrease) increase in cash and cash equivalents
  $ (4.6 )   $ 7.3  

Operating Activities
 
Our cash flow from operations varies significantly from quarter to quarter and from year to year, depending on our operating results and the timing of operating cash receipts and payments, specifically trade accounts receivable and trade accounts payable.
 
In the nine months ended April 30, 2014 and 2013, Fabrix received cash of $9.2 million and $13.9 million, respectively, from sales of software licenses and support services.
 
Our Separation and Distribution Agreement with Straight Path includes, among other things, our obligation to reimburse Straight Path for the payment of any liabilities of Straight Path arising or related to the period prior to the Straight Path Spin-Off. In the nine months ended April 30, 2014, we paid $0.8 million in connection with this obligation. At April 30, 2014, our estimated liability for this obligation was $1.8 million.
 
Investing Activities
 
Our capital expenditures were $12.4 million and $10.9 million in the nine months ended April 30, 2014 and 2013, respectively. We currently anticipate that total capital expenditures for the twelve month period ending April 30, 2015 will be in the $16 million to $18 million range. We expect to fund our capital expenditures with our net cash provided by operating activities and cash, cash equivalents and marketable securities on hand.
 
In the nine months ended April 30, 2013, we made a deposit of $1.0 million for the purchase of a leasehold interest in an office building in New Jersey.
 
We used cash of $0.4 million for an acquisition and additional investments in the nine months ended April 30, 2014 and $1.2 million for additional investments in the nine months ended April 30, 2013. We acquired the assets of an over-the-top messaging provider in the nine months ended April 30, 2014, and we have begun integrating its messaging service into our wholesale and retail offerings.
 
We received $1.0 million and $0.1 million in the nine months ended April 30, 2014 and 2013, respectively, from the redemption of certain of our investments, including investments in hedge funds.
 
 
26

 
 
Proceeds from insurance of $0.6 million in the nine months ended April 30, 2014 related to water damage in our building at 520 Broad Street, Newark, New Jersey that occurred in a prior period. We recorded a gain of $0.6 million from this insurance claim in the nine months ended April 30, 2014.
 
Purchases of marketable securities were $15.7 million and $4.4 million in the nine months ended April 30, 2014 and 2013, respectively. Proceeds from maturities and sales of marketable securities were $13.0 million and $0.3 million in the nine months ended April 30, 2014 and 2013, respectively.
 
Financing Activities
 
In the nine months ended April 30, 2014, we paid cash dividends of $0.42 per share on our Class A common stock and Class B common stock, or $9.7 million in total. In the nine months ended April 30, 2013, we paid cash dividends of $0.75 per share on our Class A common stock and Class B common stock, or $17.1 million in total. In June 2014, our Board of Directors declared a dividend of $0.17 per share for the third quarter of fiscal 2014 to holders of our Class A common stock and Class B common stock. The dividend will be paid on or about June 27, 2014 to stockholders of record as of the close of business on June 20, 2014.
 
We distributed cash of $1.3 million and $1.5 million in the nine months ended April 30, 2014 and 2013, respectively, to the holders of noncontrolling interests in subsidiaries.
 
In August 2013, both Fabrix and a wholly-owned subsidiary of ours purchased shares of Fabrix for aggregate cash of $1.1 million. The shares were purchased from holders of noncontrolling interests in Fabrix representing 2.8% of the equity in Fabrix, which increased our ownership in Fabrix to 88.4%. In December 2012, a wholly-owned subsidiary of ours purchased shares of Fabrix for cash of $1.8 million. The shares were purchased from holders of noncontrolling interests in Fabrix representing 4.5% of the equity in Fabrix.
 
We received proceeds from the exercise of stock options of $0.6 million in the nine months ended April 30, 2014. No stock options were exercised in the nine months ended April 30, 2013.
 
Our subsidiary, IDT Telecom, Inc., entered into a credit agreement, dated July 12, 2012, with TD Bank, N.A. for a line of credit facility for up to a maximum principal amount of $25.0 million. IDT Telecom may use the proceeds to finance working capital requirements, acquisitions and for other general corporate purposes. The line of credit facility is secured by primarily all of IDT Telecom’s assets. The principal outstanding bears interest per annum, at the option of IDT Telecom, at either (a) the U.S. Prime Rate less 125 basis points, or (b) the LIBOR rate adjusted by the Regulation D maximum reserve requirement plus 150 basis points. Interest is payable monthly and all outstanding principal and any accrued and unpaid interest is due on the maturity date of January 31, 2015. At April 30, 2014 and July 31, 2013, there was $13.0 million and $21.1 million, respectively, outstanding under the facility. The principal outstanding at April 30, 2014 and July 31, 2013 incurred interest at a rate of 1.65% and 1.69%, respectively, per annum. On August 30, 2013, IDT Telecom repaid the entire $21.1 million loan payable. In October 2013, IDT Telecom borrowed an aggregate of $15.0 million, which was repaid on November 12, 2013. In January 2014, IDT Telecom borrowed an aggregate of $15.0 million, which was repaid on February 14, 2014. In April 2014, IDT Telecom borrowed an aggregate of $13.0 million, which was repaid on May 28, 2014. We intend to continue to borrow under the facility from time to time. IDT Telecom pays a quarterly unused commitment fee of 0.375% per annum on the average daily balance of the unused portion of the $25.0 million commitment. IDT Telecom is required to comply with various affirmative and negative covenants as well as maintain certain financial targets and ratios during the term of the line of credit, including IDT Telecom may not pay any dividend on its capital stock and IDT Telecom’s aggregate loans and advances to affiliates or subsidiaries may not exceed $90.0 million. At April 30, 2014, there were no amounts utilized for letters of credit under the line of credit, IDT Telecom was in compliance with all of the covenants, and IDT Telecom’s aggregate loans and advances to affiliates and subsidiaries was $29.7 million.
 
Repayments of other borrowings were $0.2 million and $0.2 million in the nine months ended April 30, 2014 and 2013, respectively.
 
On November 21, 2012, our subsidiary, Zedge, sold shares to Shaman II, L.P. for cash of $0.1 million, which increased Shaman II, L.P.’s ownership in Zedge to 11.17% from 11.1%. One of the limited partners in Shaman II, L.P. is a former employee of ours.
 
In the nine months ended April 30, 2014 and 2013, we paid $1.0 million and $0.3 million, respectively, to repurchase 31,182 and 30,998 shares of Class B common stock, respectively, that were tendered by employees of ours to satisfy the tax withholding obligations in connection with the lapsing of restrictions on awards of restricted stock. Such shares were repurchased by us based on their fair market value on the trading day immediately prior to the vesting date and the proceeds utilized to pay the taxes due upon such vesting event.
 
We have a stock repurchase program for the repurchase of up to an aggregate of 8.3 million shares of our Class B common stock. There were no repurchases under the program in the nine months ended April 30, 2014. In the nine months ended April 30, 2013, we repurchased 77,843 shares of Class B common stock for an aggregate purchase price of $0.8 million. As of April 30, 2014, 5.1 million shares remained available for repurchase under the stock repurchase program.
 
 
27

 
 
Changes in Trade Accounts Receivable and Allowance for Doubtful Accounts
 
Gross trade accounts receivable increased to $79.8 million at April 30, 2014 from $78.2 million at July 31, 2013 primarily due to a $1.3 million increase in IDT Telecom’s gross trade accounts receivable balance as well as a $0.5 million increase in Fabrix’ gross trade accounts receivable balance. The increase in IDT Telecom’s gross trade accounts receivable balance was primarily due to changes in foreign currency exchange rates.
 
The allowance for doubtful accounts as a percentage of gross trade accounts receivable was 17.2% at April 30, 2014 and 16.7% at July 31, 2013 as a result of an increase in the IDT Telecom allowance for doubtful accounts.
 
Contractual Obligations and Other Commercial Commitments
 
The following tables quantify our future contractual obligations and commercial commitments as of April 30, 2014:
 
Contractual Obligations
 
Payments Due by Period
(in millions)
 
Total
   
Less than
1 year
   
1–3 years
   
4–5 years
   
After 5 years
 
Operating leases
  $ 7.4     $ 3.1     $ 2.5     $ 1.6     $ 0.2  
Purchase commitments
    1.0       1.0                    
Revolving credit loan and notes payable (including interest)
    20.5       13.9       6.6              
Total contractual obligations
  $ 28.9     $ 18.0     $ 9.1     $ 1.6     $ 0.2  

Other Commercial Commitments
 
Payments Due by Period
(in millions)
 
Total
   
Less than
1 year
   
1–3 years
   
4–5 years
   
After 5 years
 
Standby letters of credit (1)
  $ 3.8     $ 1.0     $ 2.8     $     $  
 

(1)
The above table does not include an aggregate of $9.9 million in performance bonds due to the uncertainty of the amount and/or timing of any such payments.
 
Off-Balance Sheet Arrangements
 
We do not have any “off-balance sheet arrangements,” as defined in relevant SEC regulations that are reasonably likely to have a current or future effect on our financial condition, results of operations, liquidity, capital expenditures or capital resources, other than the following.
 
In connection with our spin-off of CTM Media Holdings, Inc., or CTM, in September 2009, we and CTM entered into a Tax Separation Agreement, dated as of September 14, 2009, to provide for certain tax matters including the assignment of responsibility for the preparation and filing of tax returns, the payment of and indemnification for taxes, entitlement to tax refunds and the prosecution and defense of any tax controversies. Pursuant to this agreement, among other things, we indemnify CTM from all liability for taxes of CTM and its subsidiaries for periods ending on or before September 14, 2009, and CTM indemnifies us from all liability for taxes of CTM and its subsidiaries accruing after September 14, 2009.
 
 In connection with our spin-off of Genie Energy Ltd., or Genie, in October 2011, we and Genie entered into various agreements prior to the spin-off including a Separation and Distribution Agreement to effect the separation and provide a framework for our relationship with Genie after the spin-off, and a Tax Separation Agreement, which sets forth the responsibilities of us and Genie with respect to, among other things, liabilities for federal, state, local and foreign taxes for periods before and including the spin-off, the preparation and filing of tax returns for such periods and disputes with taxing authorities regarding taxes for such periods. Pursuant to the Separation and Distribution Agreement, among other things, we indemnify Genie and Genie indemnifies us for losses related to the failure of the other to pay, perform or otherwise discharge, any of the liabilities and obligations set forth in the agreement. Pursuant to the Tax Separation Agreement, among other things, we indemnify Genie from all liability for taxes of ours with respect to any taxable period, and Genie indemnifies us from all liability for taxes of Genie and its subsidiaries with respect to any taxable period, including, without limitation, the ongoing tax audits related to Genie’s business.
 
 
28

 
 
In connection with the Straight Path Spin-Off in July 2013, we and Straight Path entered into various agreements prior to the Straight Path Spin-Off including a Separation and Distribution Agreement to effect the separation and provide a framework for our relationship with Straight Path after the Straight Path Spin-Off, and a Tax Separation Agreement, which sets forth the responsibilities of us and Straight Path with respect to, among other things, liabilities for federal, state, local and foreign taxes for periods before and including the Straight Path Spin-Off, the preparation and filing of tax returns for such periods and disputes with taxing authorities regarding taxes for such periods. Pursuant to the Separation and Distribution Agreement, the Company indemnifies Straight Path and Straight Path indemnifies the Company for losses related to the failure of the other to pay, perform or otherwise discharge, any of the liabilities and obligations set forth in the agreement. Pursuant to the Tax Separation Agreement, the Company indemnifies Straight Path from all liability for taxes of Straight Path or any of its subsidiaries or relating to the Straight Path business with respect to taxable periods ending on or before the Straight Path Spin-Off, from all liability for taxes of the Company, other than Straight Path and its subsidiaries, for any taxable period, and from all liability for taxes due to the Straight Path Spin-Off.
 
IDT Payment Services and IDT Telecom have performance bonds issued through third parties for the benefit of various states in order to comply with the states’ financial requirements for money remittance licenses and telecommunications resellers, respectively. At April 30, 2014, we had aggregate performance bonds of $9.9 million outstanding.
 
 
Foreign Currency Risk
 
Revenues from our international operations represented 30% and 23% of our consolidated revenues from continuing operations for the nine months ended April 30, 2014 and 2013, respectively. A significant portion of these revenues is in currencies other than the U.S. Dollar. Our foreign currency exchange risk is somewhat mitigated by our ability to offset a portion of these non U.S. Dollar-denominated revenues with operating expenses that are paid in the same currencies. While the impact from fluctuations in foreign exchange rates affects our revenue and expenses denominated in foreign currencies, the net amount of our exposure to foreign currency exchange rate changes at the end of each reporting period is generally not material.
 
Investment Risk
 
In addition to, but separate from our primary business, we hold a portion of our assets in marketable securities and hedge funds for strategic and speculative purposes. As of April 30, 2014, the carrying value of our marketable securities and investments in hedge funds was $12.4 million and $9.7 million, respectively. We liquidated most of our investment in hedge funds in recent years. Much of the remaining balances in these funds are subject to time restrictions. We may consider liquidating such remaining balances when their restrictions lapse. Investments in marketable securities and hedge funds carry a degree of risk, and depend to a great extent on correct assessments of the future course of price movements of securities and other instruments. There can be no assurance that our investment managers will be able to accurately predict these price movements. The securities markets have in recent years been characterized by great volatility and unpredictability. Accordingly, the value of our investments may go down as well as up and we may not receive the amounts originally invested upon redemption.
 
 
Evaluation of Disclosure Controls and Procedures. Our Chief Executive Officer and Principal Financial Officer have evaluated the effectiveness of our disclosure controls and procedures (as defined in Rules 13a-15(e) and 15d-15(e) of the Securities Exchange Act of 1934, as amended), as of the end of the period covered by this Quarterly Report on Form 10-Q. Based on this evaluation, our Chief Executive Officer and Principal Financial Officer have concluded that our disclosure controls and procedures were effective as of April 30, 2014.
 
Changes in Internal Control over Financial Reporting. There were no changes in our internal control over financial reporting during the quarter ended April 30, 2014 that have materially affected, or are reasonably likely to materially affect, our internal control over financial reporting.
 
 
29

 
 
 
 
Legal proceedings in which we are involved are more fully described in Note 9 to the Consolidated Financial Statements included in Item 1 to Part I of this Quarterly Report on Form 10-Q.
 
 
There are no material changes from the risk factors previously disclosed in Item 1A to Part I of our Annual Report on Form 10-K for the year ended July 31, 2013.
 
 
The following table provides information with respect to purchases by us of our shares during the third quarter of fiscal 2014:
 
   
Total
Number of
Shares
Purchased
   
Average
Price
per Share
   
Total Number
of Shares
Purchased as
part of
Publicly
Announced
Plans or
Programs
   
Maximum
Number of
Shares that
May Yet Be
Purchased
Under the
Plans or
Programs (1)
 
February 1-28, 2014
        $             5,064,792  
March 1–31, 2014 
        $             5,064,792  
April 1–30, 2014
        $             5,064,792  
Total
        $                
 

(1)
Under our existing stock repurchase program, approved by our Board of Directors on June 13, 2006, we were authorized to repurchase up to an aggregate of 8.3 million shares of our Class B common stock and, until April 2011, our common stock, without regard to class. On December 17, 2008, our Board of Directors (i) approved a one-for-three reverse stock split of all classes of our common stock which was effective on February 24, 2009, and (ii) amended the stock repurchase program to increase the aggregate number of shares of our Class B common stock and common stock, without regard to class, that we are authorized to repurchase from the 3.3 million shares that remained available for repurchase to 8.3 million shares.
 
 
None
 
 
Not applicable
 
 
None
 
 
30

 
 
 
Exhibit
Number
 
Description
     
31.1*
 
Certification of Chief Executive Officer pursuant to 17 CFR 240.13a-14(a), as adopted pursuant to §302 of the Sarbanes-Oxley Act of 2002.
     
31.2*
 
Certification of Principal Financial Officer pursuant to 17 CFR 240.13a-14(a), as adopted pursuant to §302 of the Sarbanes-Oxley Act of 2002.
     
32.1*
 
Certification of Chief Executive Officer pursuant to 18 U.S.C. Section 1350, as adopted pursuant to §906 of the Sarbanes-Oxley Act of 2002.
     
32.2*
 
Certification of Principal Financial Officer pursuant to 18 U.S.C. Section 1350, as adopted pursuant to §906 of the Sarbanes-Oxley Act of 2002.
     
101.INS*
 
XBRL Instance Document
     
101.SCH*
 
XBRL Taxonomy Extension Schema Document
     
101.CAL*
 
XBRL Taxonomy Extension Calculation Linkbase Document
     
101.DEF*
 
XBRL Taxonomy Extension Definition Linkbase Document
     
101.LAB*
 
XBRL Taxonomy Extension Label Linkbase Document
     
101.PRE*
 
XBRL Taxonomy Extension Presentation Linkbase Document
 

*
Filed or furnished herewith.

 
31

 
 
 
Pursuant to the requirements of the Securities Exchange Act of 1934, the Registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized.
 
 
IDT CORPORATION
     
June 9, 2014
By:
/s/    Shmuel Jonas       
   
Shmuel Jonas
 Chief Executive Officer
     
June 9, 2014
By:
/s/    Marcelo Fischer        
   
Marcelo Fischer
Senior Vice President of Finance
(Principal Financial Officer)
 
 
32

EX-31.1 2 f10q0414ex31i_idtcorp.htm CERTIFICATION f10q0414ex31i_idtcorp.htm
EXHIBIT 31.1
 
CERTIFICATION OF CHIEF EXECUTIVE OFFICER
 
PURSUANT TO EXCHANGE ACT RULE 13a-14(a)/15d-14(a)
AS ADOPTED PURSUANT TO SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002
 
I, Shmuel Jonas, certify that:
 
1. I have reviewed this Quarterly Report on Form 10-Q of IDT Corporation;
 
2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;
 
3. Based on my knowledge, the financial statements, and other financial information included in this Report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;
 
4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:
 
(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;
 
(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
 
(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and
 
(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and
 
5. The registrant’s other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):
 
(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and
 
(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.
 
Date: June 9, 2014
 
   
 
/s/    Shmuel Jonas        
 
Shmuel Jonas
Chief Executive Officer
EX-31.2 3 f10q0414ex31ii_idtcorp.htm CERTIFICATION f10q0414ex31ii_idtcorp.htm
EXHIBIT 31.2
 
CERTIFICATION OF PRINCIPAL FINANCIAL OFFICER
 
PURSUANT TO EXCHANGE ACT RULE 13a-14(a)/15d-14(a)
AS ADOPTED PURSUANT TO SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002
 
I, Marcelo Fischer, certify that:
 
1. I have reviewed this Quarterly Report on Form 10-Q of IDT Corporation;
 
2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;
 
3. Based on my knowledge, the financial statements, and other financial information included in this Report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;
 
4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:
 
(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;
 
(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
 
(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and
 
(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and
 
5. The registrant’s other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):
 
(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and
 
(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.
 
Date: June 9, 2014
   
 
/s/    Marcelo Fischer       
 
Marcelo Fischer
Senior Vice President of Finance
(Principal Financial Officer)
EX-32.1 4 f10q0414ex32i_idtcorp.htm CERTIFICATION f10q0414ex32i_idtcorp.htm
EXHIBIT 32.1
 
Certification Pursuant to
18 U.S.C. Section 1350
(as Adopted Pursuant to Section 906 of
the Sarbanes-Oxley Act Of 2002)
 
In connection with the Quarterly Report of IDT Corporation (the “Company”) on Form 10-Q for the quarter ended April 30, 2014 as filed with the Securities and Exchange Commission (the “Report”), I, Shmuel Jonas, Chief Executive Officer of the Company, certify, pursuant to 18 U.S.C. § 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that to my knowledge:
 
1. The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and
 
2. The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.
 
Date: June 9, 2014
 
 
/s/    Shmuel Jonas        
 
Shmuel Jonas
Chief Executive Officer

A signed original of this written statement required by Section 906, or other document authenticating, acknowledging, or otherwise adopting the signature that appears in typed form within the electronic version of this written statement required by Section 906, has been provided to IDT Corporation and will be retained by IDT Corporation and furnished to the Securities and Exchange Commission or its staff upon request.
 
 
EX-32.2 5 f10q0414ex32ii_idtcorp.htm CERTIFICATION f10q0414ex32ii_idtcorp.htm
EXHIBIT 32.2
 
Certification Pursuant to
18 U.S.C. Section 1350
(as Adopted Pursuant to Section 906 of
the Sarbanes-Oxley Act Of 2002)
 
In connection with the Quarterly Report of IDT Corporation (the “Company”) on Form 10-Q for the quarter ended April 30, 2014 as filed with the Securities and Exchange Commission (the “Report”), I, Marcelo Fischer, Senior Vice President of Finance of the Company, certify, pursuant to 18 U.S.C. § 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that to my knowledge:
 
1. The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and
 
2. The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.
 
Date: June 9, 2014
 
 
/s/    Marcelo Fischer        
 
Marcelo Fischer
Senior Vice President of Finance
(Principal Financial Officer)

A signed original of this written statement required by Section 906, or other document authenticating, acknowledging, or otherwise adopting the signature that appears in typed form within the electronic version of this written statement required by Section 906, has been provided to IDT Corporation and will be retained by IDT Corporation and furnished to the Securities and Exchange Commission or its staff upon request.
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font-family: 'times new roman'; font-size: 10pt;">&#160;</font></td><td valign="bottom" style="border-bottom-color: black; border-bottom-width: 2px; border-bottom-style: solid;" colspan="2"><div align="center" style="text-indent: 0pt; display: block; margin-left: 0pt; margin-right: 0pt;"><font style="display: inline; font-family: 'times new roman'; font-size: 10pt;"><font style="display: inline; font-family: 'times new roman'; font-size: 10pt; font-weight: bold;">2014</font></font></div></td><td nowrap="nowrap" valign="bottom" style="text-align: left; padding-bottom: 2px;"><font style="display: inline; font-family: 'times new roman'; font-size: 10pt;">&#160;</font></td><td valign="bottom" style="padding-bottom: 2px;"><font style="display: inline; font-family: 'times new roman'; font-size: 10pt;">&#160;</font></td><td valign="bottom" style="border-bottom-color: black; border-bottom-width: 2px; border-bottom-style: solid;" colspan="2"><div align="center" style="text-indent: 0pt; display: block; 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font-family: 'times new roman'; font-size: 10pt;">&#160;</font></td><td width="9%" valign="bottom" style="text-align: right;"><font style="display: inline; font-family: 'times new roman'; font-size: 10pt;">&#160;</font></td><td width="1%" nowrap="nowrap" valign="bottom" style="text-align: left;"><font style="display: inline; font-family: 'times new roman'; font-size: 10pt;">&#160;</font></td><td width="1%" valign="bottom"><font style="display: inline; font-family: 'times new roman'; font-size: 10pt;">&#160;</font></td><td width="1%" valign="bottom" style="text-align: left;"><font style="display: inline; font-family: 'times new roman'; font-size: 10pt;">&#160;</font></td><td width="9%" valign="bottom" style="text-align: right;"><font style="display: inline; font-family: 'times new roman'; font-size: 10pt;">&#160;</font></td><td width="1%" nowrap="nowrap" valign="bottom" style="text-align: left;"><font style="display: inline; font-family: 'times new roman'; font-size: 10pt;">&#160;</font></td><td width="1%" valign="bottom"><font style="display: inline; font-family: 'times new roman'; font-size: 10pt;">&#160;</font></td><td width="1%" valign="bottom" style="text-align: left;"><font style="display: inline; font-family: 'times new roman'; font-size: 10pt;">&#160;</font></td><td width="9%" valign="bottom" style="text-align: right;"><font style="display: inline; font-family: 'times new roman'; font-size: 10pt;">&#160;</font></td><td width="1%" nowrap="nowrap" valign="bottom" style="text-align: left;"><font style="display: inline; font-family: 'times new roman'; font-size: 10pt;">&#160;</font></td></tr><tr bgcolor="#cceeff"><td align="left" width="52%" valign="bottom" style="padding-bottom: 4px;"><div align="left" style="text-indent: 0pt; display: block; margin-left: 0pt; margin-right: 0pt;"><font style="display: inline; font-family: 'times new roman'; font-size: 10pt;"><font style="font-family: 'times new roman'; font-size: 10pt;">Loss before income taxes<font style="font-family: 'times new roman'; margin-left: 12pt; font-size: 10pt;"></font></font></font></div></td><td align="left" width="1%" valign="bottom" style="padding-bottom: 4px;"><font style="display: inline; 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The goals of the revenue recognition project were to clarify and converge the revenue recognition principles under U.S. GAAP and IFRS and to develop guidance that would streamline and enhance revenue recognition requirements. The Company will adopt this standard on August 1, 2017. Entities have the option of using either a full retrospective or modified retrospective approach for the adoption of the standard. 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The Company does not expect the adoption of this standard update to impact its financial position, results of operations or cash flows.</font></div> Each of the Company's certificates of deposit has a CUSIP, was purchased in the secondary market through a broker and may be sold in the secondary market. no observable pricing inputs in the market observable inputs other than quoted prices in active markets for identical assets and liabilities quoted prices in active markets for identical assets or liabilities Stock-based compensation included in selling, general and administrative expenses In the nine months ended April 30, 2014, the Company received proceeds from insurance of $0.6 million related to water damage to portions of the Company's building and improvements at 520 Broad Street, Newark, New Jersey. The damage occurred in a prior period. The Company recorded a gain of $0.6 million from this insurance claim. 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Equity - Summary of Changes in Components of Equity (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Apr. 30, 2014
Apr. 30, 2013
Apr. 30, 2014
Apr. 30, 2013
Changes in the components of equity        
Beginning Balance     $ 89,136  
Dividends declared ($0.34 per share)     (7,850)  
Restricted Class B common stock purchased from employees     (955)  
Exercise of stock options     609  
Stock issued for matching contributions to the 401(k) Plan     1,168  
Purchase of stock of subsidiary     (1,133)  
Adjustment to liabilities in connection with the Straight Path Spin-Off     (1,624)  
Distributions to noncontrolling interests     (1,287)  
Stock-based compensation 793 1,523 4,920 4,340
Comprehensive income:        
Net income 5,599 9,124 12,622 16,787
Foreign currency translation adjustments 531 (1,892) 1,713 1,381
Comprehensive income 6,130 7,232 14,335 18,168
Ending Balance 97,319   97,319  
Attributable to IDT Corporation [Member]
       
Changes in the components of equity        
Beginning Balance     88,603  
Dividends declared ($0.34 per share)     (7,850)  
Restricted Class B common stock purchased from employees     (955)  
Exercise of stock options     606  
Stock issued for matching contributions to the 401(k) Plan     1,168  
Purchase of stock of subsidiary     (1,154)  
Adjustment to liabilities in connection with the Straight Path Spin-Off     (1,624)  
Distributions to noncontrolling interests         
Stock-based compensation     4,890  
Comprehensive income:        
Net income     11,074  
Foreign currency translation adjustments     1,713  
Comprehensive income     12,787  
Ending Balance 96,471   96,471  
Noncontrolling Interests [Member]
       
Changes in the components of equity        
Beginning Balance     533  
Dividends declared ($0.34 per share)         
Restricted Class B common stock purchased from employees         
Exercise of stock options     3  
Stock issued for matching contributions to the 401(k) Plan         
Purchase of stock of subsidiary     21  
Adjustment to liabilities in connection with the Straight Path Spin-Off         
Distributions to noncontrolling interests     (1,287)  
Stock-based compensation     30  
Comprehensive income:        
Net income     1,548  
Foreign currency translation adjustments         
Comprehensive income     1,548  
Ending Balance $ 848   $ 848  
XML 13 R48.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies - Additional Information (Detail) (USD $)
Apr. 30, 2014
Jul. 31, 2013
Commitments and Contingencies (Textual) [Abstract]    
Purchase commitment of company $ 1,000,000  
Letters of credit outstanding 3,800,000  
Letter of credit expires by April 30, 2015 1,000,000  
Letter of credit expires in August 2015 2,800,000  
Aggregate surety and performance bonds outstanding 9,900,000  
Refundable customer deposits 48,487,000 28,663,000
IDT Payment Services and IDT Financial Services [Member]
   
Commitments and Contingencies (Textual) [Abstract]    
Restricted Cash and Cash Equivalents $ 9,600,000 $ 7,800,000
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Legal Proceedings - Additional Information (Detail) (USD $)
In Millions, unless otherwise specified
0 Months Ended 1 Months Ended 12 Months Ended
May 05, 2004
Oct. 17, 2013
Patents
Aug. 31, 2011
Apr. 30, 2014
Apr. 30, 2014
Lycatel [Member]
Jul. 31, 2013
Aerotel [Member]
Mar. 15, 2013
Aerotel [Member]
Loss Contingencies [Line Items]              
Number of patents   2          
Damages and interest awarded     $ 10.1        
Interest on damages per annum (Percentage)             9.00%
Total amount of Final Award damages             5.4
Security deposit               
Accrued litigation expense       1.2      
Term of indefeasible right to use 15 years            
Payments for legal settlements           $ 5.4  
XML 16 R33.htm IDEA: XBRL DOCUMENT v2.4.0.8
Discontinued Operations - Additional Information (Detail) (USD $)
In Millions, unless otherwise specified
3 Months Ended 9 Months Ended
Apr. 30, 2014
Apr. 30, 2013
Apr. 30, 2014
Apr. 30, 2013
Jul. 31, 2013
Straight Path Spectrum Inc [Member]
         
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]          
Ownership percentage at the time of spin-off 100.00%   100.00%    
Straight Path IP Group Inc [Member]
         
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]          
Ownership percentage at the time of spin-off 84.50%   84.50%    
Straight Path Communications Inc [Member]
         
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]          
Discontinued operations amount funded to spin-off $ 15   $ 15    
Straight Path [Member]
         
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]          
Reduction of selling, general and administrative expense 0.2    0.7     
Receivable from subsidiaries included in other current assets $ 0.2   $ 0.2     
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Earnings Per Share (Tables)
9 Months Ended
Apr. 30, 2014
Earnings Per Share [Abstract]  
Summary of Weighted-Average Number of Shares Used in the Calculation of Basic and Diluted Earnings Per Share
 
   
Three Months Ended
April 30,
   
Nine Months Ended
April 30,
 
   
2014
   
2013
   
2014
   
2013
 
   
(in thousands)
 
Basic weighted-average number of shares
    22,680       20,905       21,763       20,847  
Effect of dilutive securities:
                               
Stock options
    105             108        
Non-vested restricted Class B common stock
    238       1,455       1,022       1,331  
Diluted weighted-average number of shares
    23,023       22,360       22,893       22,178  
Shares Excluded from the Diluted Earnings Per Share Computations
 
Three Months Ended
April 30,
   
Nine Months Ended
April 30,
 
   
2014
   
2013
   
2014
   
2013
 
   
(in thousands)
 
Shares excluded from the calculation of diluted earnings per share
    98       703       61       703  
XML 19 R50.htm IDEA: XBRL DOCUMENT v2.4.0.8
Other Operating Gains, Net- Additional Information (Detail) (USD $)
9 Months Ended
Apr. 30, 2014
Apr. 30, 2013
Other Operating Gains, Net (Textual)    
Proceeds from insurance $ 571,000   
Gain on insurance claim 600,000  
NEW JERSEY
   
Other Operating Gains, Net (Textual)    
Proceeds from insurance 600,000  
Former Chief Executive Officer of Straight Path Spectrum, Inc [Member]
   
Other Operating Gains, Net (Textual)    
Loss on settlement of outstanding claims and disputes $ (100,000)  
XML 20 R42.htm IDEA: XBRL DOCUMENT v2.4.0.8
Earnings Per Share - Shares excluded from Diluted Earnings per share Computations (Details)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Apr. 30, 2014
Apr. 30, 2013
Apr. 30, 2014
Apr. 30, 2013
Shares excluded from the diluted earnings per share computations        
Shares excluded from the calculation of diluted earnings per share 98 703 61 703
XML 21 R37.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements - Summary of Assets Measured at Fair Value on Recurring Basis (Detail) (USD $)
In Thousands, unless otherwise specified
Apr. 30, 2014
Jul. 31, 2013
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Available-for-sale securities $ 12,362 $ 9,684
Fair Value, Measurements, Recurring [Member]
   
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Available-for-sale securities 12,362 9,684
Fair Value, Measurements, Recurring [Member] | Level 1 [Member]
   
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Available-for-sale securities    [1]    [1]
Fair Value, Measurements, Recurring [Member] | Level 2 [Member]
   
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Available-for-sale securities 12,362 [2] 9,684 [2]
Fair Value, Measurements, Recurring [Member] | Level 3 [Member]
   
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Available-for-sale securities    [3]    [3]
[1] quoted prices in active markets for identical assets or liabilities
[2] observable inputs other than quoted prices in active markets for identical assets and liabilities
[3] no observable pricing inputs in the market
XML 22 R52.htm IDEA: XBRL DOCUMENT v2.4.0.8
520 Broad Street Building (Details) (USD $)
In Millions, unless otherwise specified
Apr. 30, 2014
520 Broad Street Building [Abstract]  
Carrying value of the land, building and improvements $ 37.3
XML 23 R47.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies - Restricted Cash and Cash Equivalents (Detail) (USD $)
In Thousands, unless otherwise specified
Apr. 30, 2014
Jul. 31, 2013
Restricted Cash and Cash Equivalents Items [Line Items]    
Restricted cash and cash equivalents-short-term $ 53,298 $ 34,988
Restricted cash and cash equivalents-long-term 2,763 2,767
Total restricted cash and cash equivalents 56,061 37,755
Restricted cash and cash equivalents-short-term [Member] | Letters of credit related [Member]
   
Restricted Cash and Cash Equivalents Items [Line Items]    
Restricted cash and cash equivalents-short-term 734 3,189
Restricted cash and cash equivalents-short-term [Member] | IDT Financial Services customer deposits [Member]
   
Restricted Cash and Cash Equivalents Items [Line Items]    
Restricted cash and cash equivalents-short-term 50,452 31,076
Restricted cash and cash equivalents-short-term [Member] | Other [Member]
   
Restricted Cash and Cash Equivalents Items [Line Items]    
Restricted cash and cash equivalents-short-term 2,112 723
Restricted cash and cash equivalents-long-term [Member] | Letters of credit related [Member]
   
Restricted Cash and Cash Equivalents Items [Line Items]    
Restricted cash and cash equivalents-long-term $ 2,763 $ 2,767
XML 24 R9.htm IDEA: XBRL DOCUMENT v2.4.0.8
Marketable Securities
9 Months Ended
Apr. 30, 2014
Marketable Securities [Abstract]  
Marketable Securities
Note 3—Marketable Securities
 
The following is a summary of marketable securities:
 
   
Amortized
Cost
   
Gross
Unrealized
Gains
   
Gross
Unrealized
Losses
   
Fair
Value
 
   
(in thousands)
 
Available-for-sale securities:
                       
April 30, 2014:
                       
Certificates of deposit*
  $ 8,400     $     $     $ 8,400  
Municipal bonds
    3,962                   3,962  
Total
  $ 12,362     $     $     $ 12,362  
                                 
July 31, 2013:
                               
Certificates of deposit*
  $ 8,786     $     $     $ 8,786  
Municipal bonds
    898                   898  
Total
  $ 9,684     $     $     $ 9,684  
 
* Each of the Company’s certificates of deposit has a CUSIP, was purchased in the secondary market through a broker and may be sold in the secondary market.
 
Proceeds from maturities and sales of available-for-sale securities were $2.9 million and $13.0 million in the three and nine months ended April 30, 2014, respectively, and $3.3 million and $3.3 million in the three and nine months ended April 30, 2013, respectively. There were no realized gains or losses from sales of available-for-sale securities in the three and nine months ended April 30, 2014 and 2013. The Company uses the specific identification method in computing the gross realized gains and gross realized losses on the sales of marketable securities.
 
The contractual maturities of the Company’s available-for-sale securities at April 30, 2014 were as follows:
 
   
Fair Value
 
   
(in thousands)
 
Within one year
  $ 12,114  
After one year through five years
    248  
After five years through ten years
     
After ten years
     
Total
  $ 12,362  
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Revolving Credit Loan Payable - Additional Information (Detail) (USD $)
0 Months Ended 1 Months Ended 9 Months Ended 12 Months Ended 3 Months Ended 9 Months Ended
Aug. 30, 2013
Jul. 12, 2012
Feb. 28, 2014
Nov. 30, 2013
Apr. 30, 2014
Apr. 30, 2013
Jul. 31, 2013
Apr. 30, 2014
Line of Credit [Member]
Jul. 31, 2013
Line of Credit [Member]
May 28, 2014
Subsequent Event [Member]
Apr. 30, 2014
July 30, 2012 [Member]
Jul. 12, 2013
Prime Rate [Member]
BasisPoint
Debt Instrument [Line Items]                        
Maximum principal amount of credit agreement   $ 25,000,000                    
Interest rate description                     Interest per annum, at the option of IDT Telecom, at either (a) the U.S. Prime Rate less 125 basis points, or (b) the LIBOR rate adjusted by the Regulation D maximum reserve requirement plus 150 basis points.  
U.S Prime Rate basis points                       125
Line of credit facility, outstanding         13,000,000   21,062,000 15,000,000 21,100,000      
Interest rate of credit agreement         1.65%   1.69%          
Average percentage of commitment fee per annum   0.375%                    
Maximum amount of investments in and advances to affiliates, at fair value   90,000,000                    
Proceeds from credit agreement         43,000,000               
Repayments of credit agreement 21,100,000   15,000,000 15,000,000           13,000,000    
Aggregate loans and advances to affiliates and subsidiaries         29,700,000              
Line of credit utilized for letters of credit outstanding amount         $ 0   $ 0          
XML 27 R29.htm IDEA: XBRL DOCUMENT v2.4.0.8
Other Income (Expense), Net (Tables)
9 Months Ended
Apr. 30, 2014
Other Operating Gains (Loss) and Other (Expense) Income, Net [Abstract]  
Schedule of Other Income (Expense), Net
 
   
Three Months Ended
April 30,
   
Nine Months Ended
April 30,
 
   
2014
   
2013
   
2014
   
2013
 
   
(in thousands)
 
Foreign currency transaction (losses) gains
  $ (478 )   $ 1,521     $ (4,840 )   $ 3,566  
Gain on investments
    581       960       1,434       1,565  
Other
    56       (48 )     (49 )     2  
Total other income (expense), net
  $ 159     $ 2,433     $ (3,455 )   $ 5,133  
XML 28 R28.htm IDEA: XBRL DOCUMENT v2.4.0.8
Other Operating Gains, Net (Tables)
9 Months Ended
Apr. 30, 2014
Other Operating Gains (Loss) and Other (Expense) Income, Net [Abstract]  
Schedule of Other Operating Gains Net
 
Three Months Ended
April 30,
   
Nine Months Ended
April 30,
 
   
2014
   
2013
   
2014
   
2013
 
   
(in thousands)
 
Telecom Platform Services-gains related to legal matters, net
  $     $ 9,601     $ 650     $ 9,251  
All Other-gain on insurance claim (a)
                571        
All Other-other
                67        
Corporate-loss related to settlement (b)
                (79 )      
Total other operating gains, net
  $     $ 9,601     $ 1,209     $ 9,251  
 
(a)  In the nine months ended April 30, 2014, the Company received proceeds from insurance of $0.6 million related to water damage to portions of the Company’s building and improvements at 520 Broad Street, Newark, New Jersey. The damage occurred in a prior period. The Company recorded a gain of $0.6 million from this insurance claim.
 
(b)  In the nine months ended April 30, 2014, the Company incurred a loss of $0.1 million in connection with the June 2013 settlement of outstanding claims and disputes with the former Chief Executive Officer of Straight Path Spectrum, Inc. and his related parties.
XML 29 R44.htm IDEA: XBRL DOCUMENT v2.4.0.8
Business Segment Information - Summary of Operating Results of Business Segments (Detail) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Apr. 30, 2014
Apr. 30, 2013
Apr. 30, 2014
Apr. 30, 2013
Segment Reporting Information [Line Items]        
Revenues $ 403,761 $ 396,935 $ 1,230,855 $ 1,208,509
Income (loss) from operations 9,170 15,687 24,027 28,025
Corporate [Member]
       
Segment Reporting Information [Line Items]        
Revenues            
Income (loss) from operations (3,282) (3,374) (11,765) (10,581)
Operating Segments [Member] | Telecom Platform Services [Member]
       
Segment Reporting Information [Line Items]        
Revenues 394,568 389,048 1,205,490 1,184,079
Income (loss) from operations 12,378 19,593 36,676 38,542
Operating Segments [Member] | Consumer Phone Services [Member]
       
Segment Reporting Information [Line Items]        
Revenues 2,625 3,427 8,491 11,156
Income (loss) from operations 517 341 1,358 1,377
Operating Segments [Member] | Zedge [Member]
       
Segment Reporting Information [Line Items]        
Revenues 1,630 1,413 4,795 4,193
Income (loss) from operations (76) 68 238 185
Operating Segments [Member] | All Other [Member]
       
Segment Reporting Information [Line Items]        
Revenues 4,938 3,047 12,079 9,081
Income (loss) from operations $ (367) $ (941) $ (2,480) $ (1,498)
XML 30 R30.htm IDEA: XBRL DOCUMENT v2.4.0.8
Basis of Presentation (Details) (USD $)
In Millions, unless otherwise specified
3 Months Ended 9 Months Ended
Apr. 30, 2014
Apr. 30, 2013
Apr. 30, 2014
Apr. 30, 2013
Basis of Presentation (Textual)        
USF charges $ 0.2 $ 0.2 $ 0.5 $ 0.7
XML 31 R31.htm IDEA: XBRL DOCUMENT v2.4.0.8
Discontinued Operation - Schedule Of Changes in Company's Estimated Liability (Detail) (Straight Path [Member], USD $)
In Thousands, unless otherwise specified
9 Months Ended
Apr. 30, 2014
Straight Path [Member]
 
Schedule of Changes in Company's Estimated Liability (Textual)  
Balance, beginning of period $ 931
Additional liability 1,700
Payments (842)
Balance, end of period $ 1,789
XML 32 R8.htm IDEA: XBRL DOCUMENT v2.4.0.8
Discontinued Operations
9 Months Ended
Apr. 30, 2014
Discontinued Operations [Abstract]  
Discontinued operations
Note 2— Discontinued Operations
 
On July 31, 2013, the Company completed a pro rata distribution of the common stock of the Company’s subsidiary, Straight Path Communications Inc. (“Straight Path”), to the Company’s stockholders of record as of the close of business on July 25, 2013 (the “Straight Path Spin-Off”). At the time of the Straight Path Spin-Off, Straight Path owned 100% of Straight Path Spectrum, Inc., which holds, leases and markets fixed wireless spectrum licenses, and 84.5% of Straight Path IP Group, Inc., which holds intellectual property primarily related to communications over the Internet and the licensing and other businesses related to this intellectual property. As of July 31, 2013, each of the Company’s stockholders received one share of Straight Path Class A common stock for every two shares of the Company’s Class A common stock and one share of Straight Path Class B common stock for every two shares of the Company’s Class B common stock held of record as of the close of business on July 25, 2013. Straight Path and its subsidiaries met the criteria to be reported as discontinued operations and accordingly, their assets, liabilities, results of operations and cash flows are classified as discontinued operations for all periods presented. 
 
The Company believes that the Straight Path Spin-Off was tax-free for the Company and the Company’s stockholders for U.S. federal income tax purposes under Section 355 of the Internal Revenue Code of 1986 (the “Code”). The Company received an opinion from Pryor Cashman LLP on the requirements for a tax-free distribution. Specifically, the opinion concluded that the distribution (i) should satisfy the business purpose requirement of the Code for a tax-free distribution, (ii) should not be viewed as being used principally as a device for the distribution of earnings and profits of the distributing corporation or the controlled corporation or both, and (iii) should not be viewed as part of a plan (or series of related transactions) pursuant to which one or more persons will acquire directly or indirectly stock representing a 50 percent or greater interest in the distributing corporation or controlled corporation within the meaning of the relevant section of the Code. 
 
In connection with the Straight Path Spin-Off, the Company funded Straight Path with a total of $15.0 million in aggregate cash and cash equivalents.
 
The Company entered into various agreements with Straight Path prior to the Straight Path Spin-Off including (1) a Separation and Distribution Agreement to effect the separation and provide a framework for the Company’s relationship with Straight Path after the spin-off, (2) a Tax Separation Agreement, which sets forth the Company’s and Straight Path’s responsibilities with respect to, among other things, liabilities for federal, state, local and foreign taxes for periods before and including the spin-off, the preparation and filing of tax returns for such periods and disputes with taxing authorities regarding taxes for such periods, and (3) a Transition Services Agreement, which provides for certain services to be performed by the Company to facilitate Straight Path’s transition into a separate publicly-traded company. These agreements provide for, among other things, the allocation between the Company and Straight Path of employee benefits, taxes and other liabilities and obligations attributable to periods prior to the spin-off, and provision of certain services by the Company to Straight Path following the spin-off, including services relating to human resources and employee benefits administration, finance, treasury, accounting, tax, internal audit, facilities, external reporting, investor relations and legal. In addition, the Company and Straight Path entered into a license agreement whereby each of the Company, Straight Path and the Company’s subsidiaries granted and will grant a license to the other to utilize patents held by each entity.
 
The Separation and Distribution Agreement also includes that the Company is obligated to reimburse Straight Path for the payment of any liabilities of Straight Path arising or related to the period prior to the Straight Path Spin-Off. The following table summarizes the change in the balance of the Company’s estimated liability to Straight Path, which is included in “Other current liabilities” in the accompanying consolidated balance sheet:
 
   
Nine Months Ended
April 30, 2014
 
   
(in thousands)
 
Balance, beginning of period
  $ 931  
Additional liability
    1,700  
Payments
    (842 )
Balance, end of period
  $ 1,789  
 
The Company’s selling, general and administrative expenses were reduced by $0.2 million and nil in the three months ended April 30, 2014 and 2013, respectively, and $0.7 million and nil in the nine months ended April 30, 2014 and 2013, respectively, as a result of the fees the Company charged to Straight Path for services provided pursuant to the Transition Services Agreement. At April 30, 2014 and July 31, 2013, other current assets reported in the Company’s consolidated balance sheet included receivables from Straight Path of $0.2 million and nil, respectively.
 
Revenues, loss before income taxes and net loss of Straight Path, which is included in discontinued operations, were as follows:
 
   
Three Months Ended
April 30,
   
Nine Months Ended
April 30,
 
   
2014
   
2013
   
2014
   
2013
 
   
(in thousands)
 
Revenues
  $     $ 285     $     $ 982  
                                 
Loss before income taxes
  $     $ (958 )   $     $ (2,810 )
                                 
Net loss
  $     $ (958   $     $ (2,822 )
XML 33 R32.htm IDEA: XBRL DOCUMENT v2.4.0.8
Discontinued Operations - Summary Financial Data of Discontinued Operations (Detail) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Apr. 30, 2014
Apr. 30, 2013
Apr. 30, 2014
Apr. 30, 2013
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]        
Net loss    $ (958)    $ (2,822)
Straight Path [Member]
       
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]        
Revenues    285    982
Loss before income taxes    (958)    (2,810)
Net loss    $ (958)    $ (2,822)
XML 34 R40.htm IDEA: XBRL DOCUMENT v2.4.0.8
Equity - Additional Information (Detail) (USD $)
9 Months Ended 9 Months Ended 1 Months Ended 3 Months Ended 1 Months Ended 3 Months Ended 9 Months Ended 1 Months Ended
Apr. 30, 2014
Jul. 31, 2013
Apr. 30, 2014
Additional Paid-in Capital [Member]
Apr. 30, 2014
Straight Path [Member]
Jul. 31, 2013
Class A Common Stock [Member]
Apr. 30, 2014
Class A Common Stock [Member]
Jan. 31, 2014
Class A Common Stock [Member]
Oct. 31, 2013
Class A Common Stock [Member]
Aug. 31, 2013
Class B Common Stock [Member]
Jul. 31, 2013
Class B Common Stock [Member]
Apr. 30, 2014
Class B Common Stock [Member]
Jan. 31, 2014
Class B Common Stock [Member]
Oct. 31, 2013
Class B Common Stock [Member]
Apr. 30, 2013
Class B Common Stock [Member]
Aug. 31, 2013
Fabrix [Member]
Equity Textual [Abstract]                              
Date of declared dividend will be paid           Jun. 27, 2014         Jun. 27, 2014        
Dividends payable    $ 1,837,000                          
Dividends paid 7,900,000                            
Dividend paid per share         $ 0.08 $ 0.17 $ 0.17 $ 0.17   $ 0.08 $ 0.17 $ 0.17 $ 0.17    
Stock repurchase program, shares authorized for repurchase                     8,300,000        
Purchase of stock of subsidiary 1,133,000                           1,100,000
Noncontrolling interests purchased percentage                             2.80%
Equity method investment, ownership percentage                             88.40%
Stock repurchased in a fiscal year                           77,843  
Aggregate purchase price of shares repurchased                           800,000  
Stock repurchase program, remaining number of shares authorized to be repurchased                     5,100,000        
Reduction in exercise price of options outstanding                 15.29%            
Option to purchase shares in spin-off                 32,155            
Additional liability     $ 1,600,000 $ 1,700,000                      
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Consolidated Balance Sheets (USD $)
In Thousands, unless otherwise specified
Apr. 30, 2014
Jul. 31, 2013
Current assets:    
Cash and cash equivalents $ 147,027 $ 151,600
Restricted cash and cash equivalents-short-term 53,298 34,988
Marketable securities 12,362 9,684
Trade accounts receivable, net of allowance for doubtful accounts of $13,759 at April 30, 2014 and $13,079 at July 31, 2013 66,075 65,078
Prepaid expenses 19,823 19,175
Deferred income tax assets, net-current portion 973 1,689
Other current assets 11,377 12,730
Total current assets 310,935 294,944
Property, plant and equipment, net 81,203 80,742
Goodwill 14,910 14,807
Other intangibles, net 1,885 1,390
Investments 10,162 9,605
Restricted cash and cash equivalents-long-term 2,763 2,767
Deferred income tax assets, net-long-term portion 14,116 20,000
Other assets 14,981 11,152
Total assets 450,955 435,407
Current liabilities:    
Revolving credit loan payable 13,000 21,062
Trade accounts payable 37,398 39,323
Accrued expenses 137,163 145,432
Deferred revenue 99,245 91,227
Customer deposits 48,487 28,663
Income taxes payable 719 761
Dividends payable    1,837
Notes payable-current portion 546 535
Other current liabilities 3,987 4,829
Total current liabilities 340,545 333,669
Notes payable-long-term portion 6,422 6,624
Other liabilities 6,669 5,978
Total liabilities 353,636 346,271
Commitments and contingencies      
IDT Corporation stockholders' equity:    
Preferred stock, $.01 par value; authorized shares-10,000; no shares issued      
Additional paid-in capital 392,416 388,533
Treasury stock, at cost, consisting of 1,698 and 1,698 shares of Class A common stock and 2,931 and 2,878 shares of Class B common stock at April 30, 2014 and July 31, 2013, respectively (99,791) (98,836)
Accumulated other comprehensive income 4,054 2,341
Accumulated deficit (200,487) (203,711)
Total IDT Corporation stockholders' equity 96,471 88,603
Noncontrolling interests 848 533
Total equity 97,319 89,136
Total liabilities and equity 450,955 435,407
Class A Common Stock [Member]
   
IDT Corporation stockholders' equity:    
Common stock, value 33 33
Class B Common Stock [Member]
   
IDT Corporation stockholders' equity:    
Common stock, value $ 246 $ 243

XML 37 R45.htm IDEA: XBRL DOCUMENT v2.4.0.8
Business Segment Information - Additional Information (Detail)
9 Months Ended
Apr. 30, 2014
Segment
Segment Reporting Information [Line Items]  
Number of reportable segments 3
XML 38 R6.htm IDEA: XBRL DOCUMENT v2.4.0.8
Consolidated Statements of Cash Flows (Unaudited) (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Apr. 30, 2014
Apr. 30, 2013
Operating activities    
Net income $ 12,622 $ 16,787
Adjustments to reconcile net income to net cash provided by operating activities:    
Net loss from discontinued operations    2,822
Depreciation and amortization 12,108 10,972
Deferred income taxes 6,609 11,788
Provision for doubtful accounts receivable 1,367 2,517
Gain on proceeds from insurance (571) [1]    [1]
Interest in the equity of investments (1,433) (1,541)
Stock-based compensation 4,920 4,340
Change in assets and liabilities:    
Restricted cash and cash equivalents (14,278) (16,723)
Trade accounts receivable 1,292 16,907
Prepaid expenses, other current assets and other assets (1,658) 5,414
Trade accounts payable, accrued expenses, other current liabilities and other liabilities (14,438) (26,147)
Customer deposits 16,103 12,977
Income taxes payable (42) 320
Deferred revenue 7,035 4,662
Net cash provided by operating activities 29,636 45,095
Investing activities    
Capital expenditures (12,431) (10,928)
Deposit on purchase of leasehold interest in building    (950)
Collection of notes receivable    750
Cash used for investments and acquisitions (425) (1,219)
Proceeds from sale and redemption of investments 1,038 107
Proceeds from insurance 571   
Purchases of marketable securities (15,690) (4,453)
Proceeds from maturities and sales of marketable securities 12,957 300
Net cash used in investing activities (13,980) (16,393)
Financing activities    
Dividends paid (9,687) (17,124)
Distributions to noncontrolling interests (1,287) (1,545)
Purchases of stock of subsidiary (1,133) (1,804)
Proceeds from exercise of stock options 609   
Proceeds from revolving credit loan payable 43,000   
Repayments of revolving credit loan payable and other borrowings (51,252) (180)
Proceeds from sale of stock of subsidiary    145
Repurchases of Class B common stock (955) (1,078)
Net cash used in financing activities (20,705) (21,586)
Discontinued operations    
Net cash used in operating activities    (1,270)
Effect of exchange rate changes on cash and cash equivalents 476 1,423
Net (decrease) increase in cash and cash equivalents (4,573) 7,269
Cash and cash equivalents (including discontinued operations) at beginning of period 151,600 158,206
Cash and cash equivalents (including discontinued operations) at end of period 147,027 165,475
Less cash and cash equivalents of discontinued operations at end of period    (3,252)
Cash and cash equivalents (excluding discontinued operations) at end of period 147,027 162,223
Supplemental schedule of non-cash investing and financing activities    
Adjustment to liabilities in connection with the Straight Path Spin-Off 1,624   
Escrow account overages included in other current assets used to reduce notes payable    $ 1,340
[1] In the nine months ended April 30, 2014, the Company received proceeds from insurance of $0.6 million related to water damage to portions of the Company's building and improvements at 520 Broad Street, Newark, New Jersey. The damage occurred in a prior period. The Company recorded a gain of $0.6 million from this insurance claim.
XML 39 R35.htm IDEA: XBRL DOCUMENT v2.4.0.8
Marketable Securities - Summary of Available-for-Sale Securities (Detail) (USD $)
In Thousands, unless otherwise specified
Apr. 30, 2014
Jul. 31, 2013
Marketable Securities [Abstract]    
Within one year $ 12,114  
After one year through five years 248  
After five years through ten years     
After ten years     
Total $ 12,362 $ 9,684
XML 40 R22.htm IDEA: XBRL DOCUMENT v2.4.0.8
Marketable Securities (Tables)
9 Months Ended
Apr. 30, 2014
Marketable Securities [Abstract]  
Summary of Marketable Securities
 
Amortized
Cost
   
Gross
Unrealized
Gains
   
Gross
Unrealized
Losses
   
Fair
Value
 
   
(in thousands)
 
Available-for-sale securities:
                       
April 30, 2014:
                       
Certificates of deposit*
  $ 8,400     $     $     $ 8,400  
Municipal bonds
    3,962                   3,962  
Total
  $ 12,362     $     $     $ 12,362  
                                 
July 31, 2013:
                               
Certificates of deposit*
  $ 8,786     $     $     $ 8,786  
Municipal bonds
    898                   898  
Total
  $ 9,684     $     $     $ 9,684  
 
* Each of the Company’s certificates of deposit has a CUSIP, was purchased in the secondary market through a broker and may be sold in the secondary market.
Summary of Available-for-Sale Securities
 
Fair Value
 
   
(in thousands)
 
Within one year
  $ 12,114  
After one year through five years
    248  
After five years through ten years
     
After ten years
     
Total
  $ 12,362  
XML 41 R36.htm IDEA: XBRL DOCUMENT v2.4.0.8
Marketable Securities - Additional Information (Detail) (USD $)
In Millions, unless otherwise specified
3 Months Ended 9 Months Ended
Apr. 30, 2014
Apr. 30, 2013
Apr. 30, 2014
Apr. 30, 2013
Marketable Securities [Abstract]        
Proceeds from maturities of available-for-sale securities $ 2.9 $ 3.3 $ 13.0 $ 3.3
Gross realized gains and gross realized losses            
XML 42 R24.htm IDEA: XBRL DOCUMENT v2.4.0.8
Equity (Tables)
9 Months Ended
Apr. 30, 2014
Equity [Abstract]  
Summary of Changes in the Components of Equity
 
Nine Months Ended
April 30, 2014
 
   
Attributable to IDT Corporation
   
Noncontrolling
Interests
   
Total
 
   
(in thousands)
 
Balance, July 31, 2013
  $ 88,603     $ 533     $ 89,136  
Dividends declared ($0.34 per share)
    (7,850           (7,850 )
Restricted Class B common stock purchased from employees
    (955           (955 )
Exercise of stock options
    606       3       609  
Stock issued for matching contributions to the 401(k) Plan
    1,168             1,168  
Purchases of stock of subsidiary
    (1,154     21       (1,133 )
Adjustment to liabilities in connection with the Straight Path Spin-Off
    (1,624           (1,624 )
Distributions to noncontrolling interests
          (1,287 )     (1,287 )
Stock-based compensation
    4,890       30       4,920  
Comprehensive income:
                       
Net income
    11,074       1,548       12,622  
Foreign currency translation adjustments
    1,713             1,713  
Comprehensive income
    12,787       1,548       14,335  
Balance, April 30, 2014
  $ 96,471     $ 848     $ 97,319  
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Basis of Presentation
9 Months Ended
Apr. 30, 2014
Basis of Presentation [Abstract]  
Basis of Presentation

Note 1—Basis of Presentation
 
The accompanying unaudited consolidated financial statements of IDT Corporation and its subsidiaries (the “Company” or “IDT”) have been prepared in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”) for interim financial information and with the instructions to Form 10-Q and Article 10 of Regulation S-X. Accordingly, they do not include all of the information and footnotes required by U.S. GAAP for complete financial statements. In the opinion of management, all adjustments (consisting of normal recurring accruals) considered necessary for a fair presentation have been included. Operating results for the three and nine months ended April 30, 2014 are not necessarily indicative of the results that may be expected for the fiscal year ending July 31, 2014. The balance sheet at July 31, 2013 has been derived from the Company’s audited financial statements at that date but does not include all of the information and footnotes required by U.S. GAAP for complete financial statements. For further information, please refer to the consolidated financial statements and footnotes thereto included in the Company’s Annual Report on Form 10-K for the fiscal year ended July 31, 2013, as filed with the U.S. Securities and Exchange Commission (“SEC”).
 
The Company’s fiscal year ends on July 31 of each calendar year. Each reference below to a fiscal year refers to the fiscal year ending in the calendar year indicated (e.g., fiscal 2014 refers to the fiscal year ending July 31, 2014).
 
The Company records Universal Service Fund (“USF”) charges that are billed to customers on a gross basis in its results of operations, and records other taxes and surcharges on a net basis. USF charges in the amount of $0.2 million in each of the three months ended April 30, 2014 and 2013, respectively, and $0.5 million and $0.7 million in the nine months ended April 30, 2014 and 2013, respectively, were recorded on a gross basis and included in “Revenues” and “Direct cost of revenues” in the accompanying consolidated statements of income.
XML 45 R3.htm IDEA: XBRL DOCUMENT v2.4.0.8
Consolidated Balance Sheets (Parenthetical) (USD $)
In Thousands, except Per Share data, unless otherwise specified
Apr. 30, 2014
Jul. 31, 2013
Allowance for doubtful accounts $ 13,759 $ 13,079
Preferred stock, par value $ 0.01 $ 0.01
Preferred stock, Authorized shares 10,000 10,000
Preferred stock, shares issued      
Class A Common Stock [Member]
   
Common stock, Par value $ 0.01 $ 0.01
Common stock, shares authorized 35,000 35,000
Common stock, shares issued 3,272 3,272
Common stock, shares outstanding 1,574 1,574
Treasury stock, Common stock shares 1,698 1,698
Class B Common Stock [Member]
   
Common stock, Par value $ 0.01 $ 0.01
Common stock, shares authorized 200,000 200,000
Common stock, shares issued 24,576 24,275
Common stock, shares outstanding 21,645 21,397
Treasury stock, Common stock shares 2,931 2,878
XML 46 R17.htm IDEA: XBRL DOCUMENT v2.4.0.8
Other Operating Gains, Net
9 Months Ended
Apr. 30, 2014
Other Operating Gains (Loss) and Other (Expense) Income, Net [Abstract]  
Other Operating Gains, Net
Note 11—Other Operating Gains, Net
 
The following table summarizes the other operating gains, net by business segment:
 
   
Three Months Ended
April 30,
   
Nine Months Ended
April 30,
 
   
2014
   
2013
   
2014
   
2013
 
   
(in thousands)
 
Telecom Platform Services-gains related to legal matters, net
  $     $ 9,601     $ 650     $ 9,251  
All Other-gain on insurance claim (a)
                571        
All Other-other
                67        
Corporate-loss related to settlement (b)
                (79 )      
Total other operating gains, net
  $     $ 9,601     $ 1,209     $ 9,251  
 
(a)  In the nine months ended April 30, 2014, the Company received proceeds from insurance of $0.6 million related to water damage to portions of the Company’s building and improvements at 520 Broad Street, Newark, New Jersey. The damage occurred in a prior period. The Company recorded a gain of $0.6 million from this insurance claim.
 
(b)  In the nine months ended April 30, 2014, the Company incurred a loss of $0.1 million in connection with the June 2013 settlement of outstanding claims and disputes with the former Chief Executive Officer of Straight Path Spectrum, Inc. and his related parties.
XML 47 R1.htm IDEA: XBRL DOCUMENT v2.4.0.8
Document and Entity Information
9 Months Ended
Apr. 30, 2014
Jun. 04, 2014
Class A Common Stock [Member]
Jun. 04, 2014
Class B Common Stock [Member]
Document Information [Line Items]      
Entity Registrant Name IDT CORP    
Entity Central Index Key 0001005731    
Amendment Flag false    
Current Fiscal Year End Date --07-31    
Document Type 10-Q    
Document Period End Date Apr. 30, 2014    
Document Fiscal Year Focus 2014    
Document Fiscal Period Focus Q3    
Entity Filer Category Accelerated Filer    
Entity Common Stock Shares Outstanding   1,574,326 21,645,343
XML 48 R18.htm IDEA: XBRL DOCUMENT v2.4.0.8
Other Income (Expense), Net
9 Months Ended
Apr. 30, 2014
Other Operating Gains (Loss) and Other (Expense) Income, Net [Abstract]  
Other (Expense) Income, Net
Note 12—Other Income (Expense), Net
 
Other income (expense), net consists of the following:
 
   
Three Months Ended
April 30,
   
Nine Months Ended
April 30,
 
   
2014
   
2013
   
2014
   
2013
 
   
(in thousands)
 
Foreign currency transaction (losses) gains
  $ (478 )   $ 1,521     $ (4,840 )   $ 3,566  
Gain on investments
    581       960       1,434       1,565  
Other
    56       (48 )     (49 )     2  
Total other income (expense), net
  $ 159     $ 2,433     $ (3,455 )   $ 5,133  
XML 49 R4.htm IDEA: XBRL DOCUMENT v2.4.0.8
Consolidated Statements of Income (Unaudited) (USD $)
In Thousands, except Per Share data, unless otherwise specified
3 Months Ended 9 Months Ended
Apr. 30, 2014
Apr. 30, 2013
Apr. 30, 2014
Apr. 30, 2013
Consolidated Statements of Income [Abstract]        
Revenues $ 403,761 $ 396,935 $ 1,230,855 $ 1,208,509
Costs and expenses:        
Direct cost of revenues (exclusive of depreciation and amortization) 332,376 331,163 1,017,954 1,010,900
Selling, general and administrative (i) 55,548 [1] 53,997 [1] 170,588 [1] 162,945 [1]
Depreciation and amortization 4,153 3,972 12,108 10,972
Research and development 2,514 1,717 7,387 4,918
Total costs and expenses 394,591 390,849 1,208,037 1,189,735
Other operating gains, net    9,601 1,209 9,251
Income from operations 9,170 15,687 24,027 28,025
Interest expense, net (135) (446) (55) (798)
Other income (expense), net 159 2,433 (3,455) 5,133
Income from continuing operations before income taxes 9,194 17,674 20,517 32,360
Provision for income taxes (3,595) (7,592) (7,895) (12,751)
Income from continuing operations 5,599 10,082 12,622 19,609
Loss from discontinued operations, net of tax    (958)    (2,822)
Net income 5,599 9,124 12,622 16,787
Net income attributable to noncontrolling interests (582) (433) (1,548) (1,529)
Net income attributable to IDT Corporation 5,017 8,691 11,074 15,258
Amounts attributable to IDT Corporation common stockholders:        
Income from continuing operations 5,017 9,623 11,074 17,974
Loss from discontinued operations    (932)    (2,716)
Net income attributable to IDT Corporation 5,017 8,691 11,074 15,258
Basic:        
Income from continuing operations $ 0.22 $ 0.46 $ 0.51 $ 0.86
Loss from discontinued operations    $ (0.04)    $ (0.13)
Net income $ 0.22 $ 0.42 $ 0.51 $ 0.73
Weighted-average number of shares used in calculation of basic earnings per share 22,680 20,905 21,763 20,847
Diluted:        
Income from continuing operations $ 0.22 $ 0.43 $ 0.48 $ 0.81
Loss from discontinued operations    $ (0.04)    $ (0.12)
Net income $ 0.22 $ 0.39 $ 0.48 $ 0.69
Weighted-average number of shares used in calculation of diluted earnings per share 23,023 22,360 22,893 22,178
Dividends declared per common share $ 0.17    $ 0.34 $ 0.75
(i) Stock-based compensation included in selling, general and administrative expenses $ 793 $ 1,523 $ 4,920 $ 4,340
[1] Stock-based compensation included in selling, general and administrative expenses
XML 50 R12.htm IDEA: XBRL DOCUMENT v2.4.0.8
Earnings Per Share
9 Months Ended
Apr. 30, 2014
Earnings Per Share [Abstract]  
Earnings Per Share
Note 6—Earnings Per Share
 
Basic earnings per share is computed by dividing net income attributable to all classes of common stockholders of the Company by the weighted average number of shares of all classes of common stock outstanding during the applicable period. Diluted earnings per share is computed in the same manner as basic earnings per share, except that the number of shares is increased to include restricted stock still subject to risk of forfeiture and to assume exercise of potentially dilutive stock options using the treasury stock method, unless the effect of such increase is anti-dilutive.
 
The weighted-average number of shares used in the calculation of basic and diluted earnings per share attributable to the Company’s common stockholders consists of the following:
 
   
Three Months Ended
April 30,
   
Nine Months Ended
April 30,
 
   
2014
   
2013
   
2014
   
2013
 
   
(in thousands)
 
Basic weighted-average number of shares
    22,680       20,905       21,763       20,847  
Effect of dilutive securities:
                               
Stock options
    105             108        
Non-vested restricted Class B common stock
    238       1,455       1,022       1,331  
Diluted weighted-average number of shares
    23,023       22,360       22,893       22,178  
 
The following outstanding stock options were excluded from the calculation of diluted earnings per share because the exercise price of the stock option was greater than the average market price of the Company’s stock during the period:
 
   
Three Months Ended
April 30,
   
Nine Months Ended
April 30,
 
   
2014
   
2013
   
2014
   
2013
 
   
(in thousands)
 
Shares excluded from the calculation of diluted earnings per share
    98       703       61       703  
XML 51 R11.htm IDEA: XBRL DOCUMENT v2.4.0.8
Equity
9 Months Ended
Apr. 30, 2014
Equity [Abstract]  
Equity
Note 5—Equity
 
Changes in the components of equity were as follows:
 
   
Nine Months Ended
April 30, 2014
 
   
Attributable to IDT Corporation
   
Noncontrolling
Interests
   
Total
 
   
(in thousands)
 
Balance, July 31, 2013
  $ 88,603     $ 533     $ 89,136  
Dividends declared ($0.34 per share)
    (7,850           (7,850 )
Restricted Class B common stock purchased from employees
    (955           (955 )
Exercise of stock options
    606       3       609  
Stock issued for matching contributions to the 401(k) Plan
    1,168             1,168  
Purchases of stock of subsidiary
    (1,154     21       (1,133 )
Adjustment to liabilities in connection with the Straight Path Spin-Off
    (1,624           (1,624 )
Distributions to noncontrolling interests
          (1,287 )     (1,287 )
Stock-based compensation
    4,890       30       4,920  
Comprehensive income:
                       
Net income
    11,074       1,548       12,622  
Foreign currency translation adjustments
    1,713             1,713  
Comprehensive income
    12,787       1,548       14,335  
Balance, April 30, 2014
  $ 96,471     $ 848     $ 97,319  
 
Dividend Payments
 
In July 2013, the Company’s Board of Directors declared a special dividend of $0.08 per share to holders of the Company’s Class A common stock and Class B common stock. At July 31, 2013, dividends payable were $1.8 million. The special dividend was paid on September 10, 2013 to stockholders of record as of the close of business on August 30, 2013.
 
On January 7, 2014 and March 28, 2014, the Company paid cash dividends of $0.17 per share for the first and second quarters of fiscal 2014, respectively, to stockholders of record of the Company’s Class A common stock and Class B common stock at the close of business on December 16, 2013 and March 21, 2014, respectively. The aggregate dividends paid were $7.9 million.
 
In June 2014, the Company’s Board of Directors declared a dividend of $0.17 per share for the third quarter of fiscal 2014 to holders of the Company’s Class A common stock and Class B common stock. The dividend will be paid on or about June 27, 2014 to stockholders of record as of the close of business on June 20, 2014.
 
Purchases of Stock of Subsidiary
 
In August 2013, Fabrix Systems Ltd., (“Fabrix”), a subsidiary of the Company, and another wholly-owned subsidiary of the Company purchased shares of Fabrix for aggregate cash of $1.1 million. The shares were purchased from holders of noncontrolling interests in Fabrix representing 2.8% of the equity in Fabrix, which increased the Company’s ownership in Fabrix to 88.4%.
 
Adjustment to Liabilities in connection with the Straight Path Spin-Off
 
The Company’s Separation and Distribution Agreement with Straight Path includes, among other things, that the Company is obligated to reimburse Straight Path for the payment of any liabilities of Straight Path arising or related to the period prior to the Straight Path Spin-Off (see Note 2). In the nine months ended April 30, 2014, the Company increased its estimated liability for this obligation by $1.7 million, of which $1.6 million was recorded as a reduction of additional paid-in capital.
 
Stock-Based Compensation
 
In August 2013, in connection with the Straight Path Spin-Off, the exercise price of each outstanding option to purchase the Company’s Class B common stock was reduced by 15.29% of the exercise price based on the change in the trading price of the Company’s Class B common stock following the Straight Path Spin-Off. Further, each holder of options to purchase the Company’s Class B common stock shared ratably in a pool of options to purchase 32,155 shares of Straight Path Class B common stock. The Company accounted for the August 2013 reduction in the exercise price of the Company’s outstanding stock options and the grant of new options in Straight Path as a modification. The Company determined that there was no incremental value from the modification, and therefore, the Company was not required to record a stock-based compensation charge.
 
Stock Repurchase Program
 
The Company has a stock repurchase program for the repurchase of up to an aggregate of 8.3 million shares of the Company’s Class B common stock. There were no repurchases under the program in the nine months ended April 30, 2014. In the nine months ended April 30, 2013, the Company repurchased 77,843 shares of Class B common stock for an aggregate purchase price of $0.8 million. As of April 30, 2014, 5.1 million shares remained available for repurchase under the stock repurchase program.
XML 52 R23.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements (Tables)
9 Months Ended
Apr. 30, 2014
Fair Value Measurements [Abstract]  
Summary of Assets Measured at Fair Value on Recurring Basis
 
   
Level 1 (1)
   
Level 2 (2)
   
Level 3 (3)
   
Total
 
   
(in thousands)
 
April 30, 2014:
                       
Available-for-sale securities
  $     $ 12,362     $     $ 12,362  
                                 
July 31, 2013:
                               
Available-for-sale securities
  $     $ 9,684     $     $ 9,684  
 
(1) – quoted prices in active markets for identical assets or liabilities
(2) – observable inputs other than quoted prices in active markets for identical assets and liabilities
(3) – no observable pricing inputs in the market
XML 53 R19.htm IDEA: XBRL DOCUMENT v2.4.0.8
520 Broad Street Building
9 Months Ended
Apr. 30, 2014
520 Broad Street Building [Abstract]  
520 Broad Street Building
Note 13—520 Broad Street Building
 
At April 30, 2014, the carrying value of the land, building and improvements that the Company owns at 520 Broad Street, Newark, New Jersey, after the impairment charge that was recorded in fiscal 2013, was $37.3 million. The Company is considering a range of options as to the future use or disposition of 520 Broad Street, some of which could result in an additional loss from a further reduction in the carrying value of the land, building and improvements and such loss could be material.
XML 54 R15.htm IDEA: XBRL DOCUMENT v2.4.0.8
Legal Proceedings
9 Months Ended
Apr. 30, 2014
Legal Proceedings and Commitments and Contingencies [Abstract]  
Legal Proceedings
Note 9—Legal Proceedings
 
On October 17, 2013, the Company and Alexsam, Inc. (“Alexsam”) entered into a confidential Settlement Agreement pursuant to which the parties agreed to fully compromise, settle and release any and all claims and counterclaims related to Alexsam’s action in the United States District Court, Eastern District of Texas alleging infringement of two patents related to the activation of phone and gift cards (incorporating bank identification numbers approved by the American Banking Association for use in a banking network) over a point-of-sale terminal. In a judgment issued in August 2011, Alexsam was awarded an aggregate of $10.1 million including damages and interest. The Settlement Agreement included a prospective royalty free license. On November 4, 2013, the Company paid Alexsam the settlement amount.
 
In connection with the Aerotel, Ltd. (“Aerotel”) arbitration that was held in June 2012, on March 15, 2013, the arbitration panel issued its Final Award, and determined that Aerotel sustained damages, inclusive of interest at 9% per annum through March 15, 2013, in the total amount of approximately $5.4 million. On April 8, 2013, Aerotel filed a Petition for Judgment Vacating the Arbitration Awards in the United States District Court, Southern District of New York along with a Motion supporting its Petition to Vacate the Arbitration Awards. After briefing, on July 18, 2013, the Court confirmed the award, and as a result, in July 2013, the Company paid Aerotel $5.4 million, including interest. On August 14, 2013, Aerotel filed a Notice of Appeal with the Court of Appeals, 2nd Circuit. After briefing, oral argument was held on May 21, 2014 and on June 3, 2014, the Court of Appeals affirmed the decision of the District Court.
 
The Company’s subsidiary Prepaid Cards BVBA was the exclusive licensee of a patent related to a method and process used in prepaid calling cards that was invented by Shmuel Fromer, which has now expired. The Company had been attempting to enforce this patent in Germany, and had succeeded, prevailing in infringement cases against certain calling card providers, including Lycatel (Ireland) Limited and Lycatel Services Limited, and Mox Telecom AG. On February 21, 2012, a nullity hearing (effectively judging the validity of the patent) with respect to the patent, took place before the German Federal Court of Justice in Karlsruhe, between Lycatel Services Limited as claimant, Mox Telecom AG as intervenor on the side of claimant, and Mr. Fromer, as defendant. During this hearing, the court nullified claims 1, 2, 3, 5 and 6 of the patent. The Court also ordered the defendant to pay costs and fees in respect of all of the nullity proceedings involving Lycatel and Mox. Except for the amount of fees and costs which may be claimed against the Company in connection with the infringement proceedings, which are based on applicable statutes (for which the Company has accrued $1.2 million at April 30, 2014), the outcome of this matter is uncertain, and, as such, the Company is not able to make an assessment of the final result and its impact on the Company. The Company paid the court fees in connection with the infringement proceedings, and in March 2014, paid Lycatel for its own fees and costs. Mox’s costs and fees in connection with the infringement proceedings have not been determined. Upon enforcement of the judgments in these cases, the Company was required to transfer security deposits to the Court. While the security deposit for the Lycatel case was subsequently released to the Company, at this time the relevant courts have declined to release the security deposit for the Mox case. The Company is examining its options with respect to the release of this deposit.
 
On May 5, 2004, the Company filed a complaint in the Supreme Court of the State of New York, County of New York, seeking injunctive relief and damages against Tyco Group, S.A.R.L., Tyco Telecommunications (US) Inc. (f/k/a TyCom (US) Inc.), Tyco International, Ltd., Tyco International (US) Inc., and TyCom Ltd. (collectively “Tyco”). The Company alleged that Tyco breached a settlement agreement that it had entered into with the Company to resolve certain disputes and civil actions among the parties. The Company alleged that Tyco did not provide the Company, as required under the settlement agreement, free of charge and for the Company’s exclusive use, a 15-year indefeasible right to use four Wavelengths in Ring Configuration (as defined in the settlement agreement) (“Wavelengths”) on a global undersea fiber optic network that Tyco was deploying at that time. In June 2004, Tyco asserted several counterclaims against the Company, alleging that the Company breached the settlement agreement and is liable for damages for allegedly refusing to accept Tyco’s offer regarding the Wavelengths referenced in the settlement agreement and for making a public statement that Tyco failed to provide the Company with the use of its Wavelengths. On August 19, 2008, the Appellate Division of the State of New York, First Department, granted summary judgment in favor of Tyco dismissing the complaint and remanded the matter to the Supreme Court for further proceedings. On October 22, 2009, the New York Court of Appeals issued an Order denying the Company’s appeal and affirming the Appellate Division’s order. On or about November 17, 2009, the Company demanded that Tyco comply with its obligations under the settlement agreement. After further discussions and meetings between the parties regarding Tyco’s obligations under the settlement agreement, including its obligation to provide the use of the Wavelengths for fifteen years in a manner fully consistent with that described in the settlement agreement, the Company filed a complaint on November 24, 2010 in the Supreme Court of the State of New York, County of New York, against Tyco based upon the failure to comply with the obligations under the settlement agreement, to negotiate the terms of an indefeasible right to use the Wavelengths in good faith, and to provide the Company with the Wavelengths. The complaint alleges causes of action for breach of contract and breach of duty to negotiate in good faith. On January 6, 2011, Tyco filed a motion to dismiss the complaint, which was granted. On July 22, 2011, the Company filed a notice of appeal. After briefing was completed, oral argument was held on April 2, 2012. On December 27, 2012, the Appellate Division issued an opinion and order reversing the order of the Supreme Court which granted Tyco’s motion to dismiss the Company’s complaint. On April 30, 2013, Tyco filed a motion for reargument or, in the alternative, leave to appeal to the Court of Appeals, which the Company opposed. On February 8, 2013, Tyco filed an answer with a counterclaim. On May 21, 2013, the Appellate Division denied Tyco’s request for reargument but granted its request for leave to appeal to the Court of Appeals. On July 30, 2013, Tyco filed its opening brief, the Company filed its response brief on September 16, 2013, and Tyco filed its reply on October 11, 2013. Oral argument was held on April 29, 2014. On June 5, 2014, the Court issued its decision, and reversed the order of the Appellate Division, and ordered that the order of the Supreme Court should be reinstated. The Company is evaluating its options going forward.
 
In addition to the foregoing, the Company is subject to other legal proceedings that have arisen in the ordinary course of business and have not been finally adjudicated. Although there can be no assurance in this regard, none of the other legal proceedings to which the Company is a party will have a material adverse effect on the Company’s results of operations, cash flows or financial condition.
XML 55 R13.htm IDEA: XBRL DOCUMENT v2.4.0.8
Revolving Credit Loan Payable
9 Months Ended
Apr. 30, 2014
Revolving Credit Loan Payable [Abstract]  
Revolving Credit Loan Payable
Note 7—Revolving Credit Loan Payable
 
The Company’s subsidiary, IDT Telecom, Inc., entered into a credit agreement, dated July 12, 2012, with TD Bank, N.A. for a line of credit facility for up to a maximum principal amount of $25.0 million. IDT Telecom may use the proceeds to finance working capital requirements, acquisitions and for other general corporate purposes. The line of credit facility is secured by primarily all of IDT Telecom’s assets. The principal outstanding bears interest per annum, at the option of IDT Telecom, at either (a) the U.S. Prime Rate less 125 basis points, or (b) the LIBOR rate adjusted by the Regulation D maximum reserve requirement plus 150 basis points. Interest is payable monthly and all outstanding principal and any accrued and unpaid interest is due on the maturity date of January 31, 2015. At April 30, 2014 and July 31, 2013, there was $13.0 million and $21.1 million, respectively, outstanding under the facility. The principal outstanding at April 30, 2014 and July 31, 2013 incurred interest at a rate of 1.65% and 1.69%, respectively, per annum. On August 30, 2013, IDT Telecom repaid the entire $21.1 million loan payable. In October 2013, IDT Telecom borrowed an aggregate of $15.0 million, which was repaid on November 12, 2013. In January 2014, IDT Telecom borrowed an aggregate of $15.0 million, which was repaid on February 14, 2014. In April 2014, IDT Telecom borrowed an aggregate of $13.0 million, which was repaid on May 28, 2014. The Company intends to continue to borrow under the facility from time to time. IDT Telecom pays a quarterly unused commitment fee of 0.375% per annum on the average daily balance of the unused portion of the $25.0 million commitment. IDT Telecom is required to comply with various affirmative and negative covenants as well as maintain certain financial targets and ratios during the term of the line of credit, including IDT Telecom may not pay any dividend on its capital stock and IDT Telecom’s aggregate loans and advances to affiliates or subsidiaries may not exceed $90.0 million. At April 30, 2014, there were no amounts utilized for letters of credit under the line of credit, IDT Telecom was in compliance with all of the covenants, and IDT Telecom’s aggregate loans and advances to affiliates and subsidiaries was $29.7 million.
XML 56 R14.htm IDEA: XBRL DOCUMENT v2.4.0.8
Business Segment Information
9 Months Ended
Apr. 30, 2014
Business Segment Information [Abstract]  
Business Segment Information
Note 8—Business Segment Information
 
The Company has three reportable business segments, Telecom Platform Services and Consumer Phone Services, which comprise the IDT Telecom division, and Zedge Holdings, Inc. (“Zedge”). All other operating segments that are not reportable individually are included in All Other. The Company’s reportable segments are distinguished by types of service, customers and methods used to provide their services. The operating results of these business segments are regularly reviewed by the Company’s chief operating decision maker.
 
The Telecom Platform Services segment provides telecommunications services, including prepaid and rechargeable calling products and international long distance traffic termination, as well as various payment services. The Consumer Phone Services segment provides consumer local and long distance services in the United States. Zedge owns and operates an on-line platform for mobile phone consumers interested in obtaining free and relevant, high quality games, apps, and personalization content such as ringtones, wallpapers, and alerts. All Other includes Fabrix, a software development company specializing in highly efficient cloud-based video processing, storage and delivery, the Company’s real estate holdings, and other smaller businesses. Corporate costs include certain services, such as compensation, consulting fees, treasury and accounts payable, tax and accounting services, human resources and payroll, corporate purchasing, corporate governance including Board of Directors’ fees, internal and external audit, investor relations, corporate insurance, corporate legal, business development, and other corporate-related general and administrative expenses including, among others, facilities costs, charitable contributions and travel, as well as depreciation expense on corporate assets. Corporate does not generate any revenues, nor does it incur any direct cost of revenues.
 
The accounting policies of the segments are the same as the accounting policies of the Company as a whole. The Company evaluates the performance of its business segments based primarily on income (loss) from operations. IDT Telecom depreciation and amortization are allocated to Telecom Platform Services and Consumer Phone Services because the related assets are not tracked separately by segment. There are no other significant asymmetrical allocations to segments.
 
Operating results for the business segments of the Company are as follows:
 
(in thousands)
 
Telecom
Platform
Services
   
Consumer
Phone
Services
   
 
Zedge
   
All Other
   
Corporate
   
Total
 
Three Months Ended April 30, 2014
                                   
Revenues
  $ 394,568     $ 2,625     $ $1,630     $ 4,938     $     $ 403,761  
Income (loss) from operations
    12,378       517       (76 )     (367 )     (3,282 )     9,170  
                                                 
Three Months Ended April 30, 2013
                                               
Revenues
  $ 389,048     $ 3,427     $ $1,413     $ 3,047     $     $ 396,935  
Income (loss) from operations
    19,593       341       68       (941 )     (3,374 )     15,687  
                                                 
Nine Months Ended April 30, 2014
                                               
Revenues
  $ 1,205,490     $ 8,491     $ $4,795     $ 12,079     $     $ 1,230,855  
Income (loss) from operations
    36,676       1,358       238       (2,480 )     (11,765 )     24,027  
                                                 
Nine Months Ended April 30, 2013
                                               
Revenues
  $ 1,184,079     $ 11,156     $ $4,193     $ 9,081     $     $ 1,208,509  
Income (loss) from operations
    38,542       1,377       185       (1,498 )     (10,581 )     28,025  
XML 57 R16.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies
9 Months Ended
Apr. 30, 2014
Legal Proceedings and Commitments and Contingencies [Abstract]  
Commitments and Contingencies
Note 10—Commitments and Contingencies
 
Purchase Commitments
 
The Company had purchase commitments of $1.0 million as of April 30, 2014.
 
Letters of Credit
 
As of April 30, 2014, the Company had letters of credit outstanding totaling $3.8 million primarily for collateral to secure mortgage repayments and for IDT Telecom’s business. The letters of credit outstanding as of April 30, 2014 expire as follows: $1.0 million in the twelve month period ending April 30, 2015 and $2.8 million in August 2015.
 
Performance Bonds
 
IDT Payment Services and IDT Telecom have performance bonds issued through third parties for the benefit of various states in order to comply with the states’ financial requirements for money remittance licenses and telecommunications resellers, respectively. At April 30, 2014, the Company had aggregate performance bonds of $9.9 million outstanding.
 
Customer Deposits
 
As of April 30, 2014 and July 31, 2013, “Customer deposits” in the Company’s consolidated balance sheets included refundable customer deposits of $48.5 million and $28.7 million, respectively, related to IDT Financial Services, the Company’s Gibraltar-based bank.
 
Substantially Restricted Cash and Cash Equivalents
 
IDT Payment Services and IDT Financial Services set aside certain cash balances in accordance with banking regulations, credit card issuer requirements or license compliance. The balances are not legally restricted, however the Company treats these balances as substantially restricted and unavailable for other purposes. At April 30, 2014 and July 31, 2013, “Cash and cash equivalents” in the Company’s consolidated balance sheet included an aggregate of $9.6 million and $7.8 million, respectively, set aside by IDT Payment Services and IDT Financial Services that was unavailable for other purposes.
 
Restricted Cash and Cash Equivalents
 
Restricted cash and cash equivalents consist of the following:
 
   
April 30,
2014
   
July 31,
2013
 
   
(in thousands)
 
Restricted cash and cash equivalents-short-term
           
Letters of credit related
  $ 734     $ 3,189  
IDT Financial Services customer deposits
    50,452       31,076  
Other
    2,112       723  
Total short-term
    53,298       34,988  
Restricted cash and cash equivalents-long-term
               
Letters of credit related
    2,763       2,767  
Total restricted cash and cash equivalents
  $ 56,061     $ 37,755  
XML 58 R34.htm IDEA: XBRL DOCUMENT v2.4.0.8
Marketable Securities - Summary of Marketable Securities (Detail) (USD $)
In Thousands, unless otherwise specified
9 Months Ended 12 Months Ended
Apr. 30, 2014
Jul. 31, 2013
Schedule of Available-for-sale Securities [Line Items]    
Amortized Cost $ 12,362 $ 9,684
Gross Unrealized Gains      
Gross Unrealized Losses      
Fair Value 12,362 9,684
Certificates of Deposit [Member]
   
Schedule of Available-for-sale Securities [Line Items]    
Amortized Cost 8,400 [1] 8,786 [1]
Gross Unrealized Gains    [1]    [1]
Gross Unrealized Losses    [1]    [1]
Fair Value 8,400 [1] 8,786 [1]
Municipal Bonds [Member]
   
Schedule of Available-for-sale Securities [Line Items]    
Amortized Cost 3,962 898
Gross Unrealized Gains      
Gross Unrealized Losses      
Fair Value $ 3,962 $ 898
[1] Each of the Company's certificates of deposit has a CUSIP, was purchased in the secondary market through a broker and may be sold in the secondary market.
XML 59 R51.htm IDEA: XBRL DOCUMENT v2.4.0.8
Other Income (Expense), Net - Schedule of Other Income (Expense), Net (Detail) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Apr. 30, 2014
Apr. 30, 2013
Apr. 30, 2014
Apr. 30, 2013
Other Operating Gains (Loss) and Other (Expense) Income, Net [Abstract]        
Foreign currency transaction (losses) gains $ (478) $ 1,521 $ (4,840) $ 3,566
Gain on investments 581 960 1,434 1,565
Other 56 (48) (49) 2
Total other income (expense), net $ 159 $ 2,433 $ (3,455) $ 5,133
XML 60 R21.htm IDEA: XBRL DOCUMENT v2.4.0.8
Discontinued Operations (Tables)
9 Months Ended
Apr. 30, 2014
Discontinued Operations [Abstract]  
Schedule of Changes in Company's Estimated Liability
 
   
Nine Months Ended
April 30, 2014
 
   
(in thousands)
 
Balance, beginning of period
  $ 931  
Additional liability
    1,700  
Payments
    (842 )
Balance, end of period
  $ 1,789  
Shedule of Revenues, Loss before Income Taxes and Net Loss of Straight Path in Discontinued Operations

  
Three Months Ended
April 30,
  
Nine Months Ended
April 30,
 
  
2014
  
2013
  
2014
  
2013
 
  
(in thousands)
 
Revenues
 $  $285  $  $982 
                 
Loss before income taxes
 $  $(958) $  $(2,810)
                 
Net loss
 $  $(958 $  $(2,822
 
XML 61 R26.htm IDEA: XBRL DOCUMENT v2.4.0.8
Business Segment Information (Tables)
9 Months Ended
Apr. 30, 2014
Business Segment Information [Abstract]  
Summary of Operating Results of Business Segments
 
(in thousands)
 
Telecom
Platform
Services
   
Consumer
Phone
Services
   
 
Zedge
   
All Other
   
Corporate
   
Total
 
Three Months Ended April 30, 2014
                                   
Revenues
  $ 394,568     $ 2,625     $ $1,630     $ 4,938     $     $ 403,761  
Income (loss) from operations
    12,378       517       (76 )     (367 )     (3,282 )     9,170  
                                                 
Three Months Ended April 30, 2013
                                               
Revenues
  $ 389,048     $ 3,427     $ $1,413     $ 3,047     $     $ 396,935  
Income (loss) from operations
    19,593       341       68       (941 )     (3,374 )     15,687  
                                                 
Nine Months Ended April 30, 2014
                                               
Revenues
  $ 1,205,490     $ 8,491     $ $4,795     $ 12,079     $     $ 1,230,855  
Income (loss) from operations
    36,676       1,358       238       (2,480 )     (11,765 )     24,027  
                                                 
Nine Months Ended April 30, 2013
                                               
Revenues
  $ 1,184,079     $ 11,156     $ $4,193     $ 9,081     $     $ 1,208,509  
Income (loss) from operations
    38,542       1,377       185       (1,498 )     (10,581 )     28,025  
XML 62 R49.htm IDEA: XBRL DOCUMENT v2.4.0.8
Other Operating Gains, Net - Schedule of Other Operating Gains Loss Net (Detail) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Apr. 30, 2014
Apr. 30, 2013
Apr. 30, 2014
Apr. 30, 2013
Other Operating Gains, Net [Abstract]        
Telecom Platform Services-gains related to legal matters, net    $ 9,601 $ 650 $ 9,251
All Other-gain on insurance claim    [1]    [1] 571 [1]    [1]
All Other-other       67   
Corporate-loss related to settlement    [2]    [2] (79) [2]    [2]
Total other operating gains, net    $ 9,601 $ 1,209 $ 9,251
[1] In the nine months ended April 30, 2014, the Company received proceeds from insurance of $0.6 million related to water damage to portions of the Company's building and improvements at 520 Broad Street, Newark, New Jersey. The damage occurred in a prior period. The Company recorded a gain of $0.6 million from this insurance claim.
[2] In the nine months ended April 30, 2014, the Company incurred a loss of $0.1 million in connection with the June 2013 settlement of outstanding claims and disputes with the former Chief Executive Officer of Straight Path Spectrum, Inc. and his related parties.
XML 63 R41.htm IDEA: XBRL DOCUMENT v2.4.0.8
Earnings Per Share - Summary of Weighted-Average Number of Shares used in Calculation of Basic and Diluted Earnings Per Share (Details)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Apr. 30, 2014
Apr. 30, 2013
Apr. 30, 2014
Apr. 30, 2013
Weighted-average number of shares used in the calculation of basic and diluted earnings per share        
Basic weighted-average number of shares 22,680 20,905 21,763 20,847
Effect of dilutive securities:        
Stock options 105    108   
Non-vested restricted Class B common stock 238 1,455 1,022 1,331
Diluted weighted-average number of shares 23,023 22,360 22,893 22,178
XML 64 R5.htm IDEA: XBRL DOCUMENT v2.4.0.8
Consolidated Statements of Comprehensive Income (Unaudited) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Apr. 30, 2014
Apr. 30, 2013
Apr. 30, 2014
Apr. 30, 2013
Consolidated Statements of Comprehensive Income [Abstract]        
Net income $ 5,599 $ 9,124 $ 12,622 $ 16,787
Other comprehensive income (loss):        
Foreign currency translation adjustments 531 (1,892) 1,713 1,381
Comprehensive income 6,130 7,232 14,335 18,168
Comprehensive income attributable to noncontrolling interests (582) (433) (1,548) (1,482)
Comprehensive income attributable to IDT Corporation $ 5,548 $ 6,799 $ 12,787 $ 16,686
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Fair Value Measurements
9 Months Ended
Apr. 30, 2014
Fair Value Measurements [Abstract]  
Fair Value Measurements
Note 4—Fair Value Measurements
 
The following tables present the balance of assets measured at fair value on a recurring basis:
 
   
Level 1 (1)
   
Level 2 (2)
   
Level 3 (3)
   
Total
 
   
(in thousands)
 
April 30, 2014:
                       
Available-for-sale securities
  $     $ 12,362     $     $ 12,362  
                                 
July 31, 2013:
                               
Available-for-sale securities
  $     $ 9,684     $     $ 9,684  
 
(1) – quoted prices in active markets for identical assets or liabilities
(2) – observable inputs other than quoted prices in active markets for identical assets and liabilities
(3) – no observable pricing inputs in the market
 
At April 30, 2014 and July 31, 2013, the Company did not have any liabilities measured at fair value on a recurring basis.
 
At April 30, 2014 and July 31, 2013, the Company had $9.7 million and $8.3 million, respectively, in investments in hedge funds, of which $0.1 million and $0.1 million, respectively, were included in “Other current assets” and $9.6 million and $8.2 million, respectively, were included in “Investments” in the accompanying consolidated balance sheets. The Company’s investments in hedge funds are accounted for using the equity method or the cost method; therefore investments in hedge funds are not measured at fair value.
 
Fair Value of Other Financial Instruments
 
The estimated fair value of the Company’s other financial instruments was determined using available market information or other appropriate valuation methodologies. However, considerable judgment is required in interpreting these data to develop estimates of fair value. Consequently, the estimates are not necessarily indicative of the amounts that could be realized or would be paid in a current market exchange.
 
Cash and cash equivalents, restricted cash and cash equivalents—short-term, other current assets, revolving credit loan payable, customer deposits, dividends payable, notes payable—current portion and other current liabilities. At April 30, 2014 and July 31, 2013, the carrying amount of these assets and liabilities approximated fair value because of the short period of time to maturity. The fair value estimates for cash, cash equivalents and restricted cash and cash equivalents—short-term were classified as Level 1 and other current assets, revolving credit loan payable, customer deposits, dividends payable, notes payable—current portion and other current liabilities were classified as Level 2 of the fair value hierarchy.
 
Restricted cash and cash equivalents—long-term. At April 30, 2014 and July 31, 2013, the carrying amount of restricted cash and cash equivalents—long-term approximated fair value. The fair value was estimated based on the anticipated cash flows once the restrictions are removed, which was classified as Level 2 of the fair value hierarchy.
 
Notes payable—long-term portion and other liabilities.  At April 30, 2014 and July 31, 2013, the carrying amount of these liabilities approximated fair value. The fair values were estimated based on the Company’s assumptions, which were classified as Level 3 of the fair value hierarchy.
 
The Company’s investments at April 30, 2014 and July 31, 2013 included investments in the equity of certain privately held entities and other investments that are accounted for at cost. It is not practicable to estimate the fair value of these investments because of the lack of a quoted market price for the shares of these entities, and the inability to estimate their fair value without incurring excessive cost. The carrying value of these investments was $0.7 million and $1.5 million at April 30, 2014 and July 31, 2013, which the Company believes was not impaired.
XML 66 R27.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies (Tables)
9 Months Ended
Apr. 30, 2014
Legal Proceedings and Commitments and Contingencies [Abstract]  
Restricted Cash and Cash Equivalents
 
   
April 30,
2014
   
July 31,
2013
 
   
(in thousands)
 
Restricted cash and cash equivalents-short-term
           
Letters of credit related
  $ 734     $ 3,189  
IDT Financial Services customer deposits
    50,452       31,076  
Other
    2,112       723  
Total short-term
    53,298       34,988  
Restricted cash and cash equivalents-long-term
               
Letters of credit related
    2,763       2,767  
Total restricted cash and cash equivalents
  $ 56,061     $ 37,755  
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Fair Value Measurements - Additional Information (Detail) (USD $)
In Millions, unless otherwise specified
Apr. 30, 2014
Jul. 31, 2013
Fair Value Disclosures Textual [Abstract]    
Fair value of investments in hedge funds $ 9.7 $ 8.3
Carrying value of investments 0.7 1.5
Long-term Investments [Member]
   
Fair Value Disclosures Textual [Abstract]    
Fair value of investments in hedge funds 9.6 8.2
Other Current Assets [Member]
   
Fair Value Disclosures Textual [Abstract]    
Fair value of investments in hedge funds $ 0.1 $ 0.1
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Recently Issued Accounting Standard Not Yet Adopted
9 Months Ended
Apr. 30, 2014
Accounting Changes and Error Corrections [Abstract]  
Description of New Accounting Pronouncements Not yet Adopted [Text Block]
Note 14—Recently Issued Accounting Standard Not Yet Adopted
 
In May 2014, the Financial Accounting Standards Board and the International Accounting Standards Board jointly issued a comprehensive new revenue recognition standard that will supersede most of the current revenue recognition guidance under U.S. GAAP and International Financial Reporting Standards (“IFRS”). The goals of the revenue recognition project were to clarify and converge the revenue recognition principles under U.S. GAAP and IFRS and to develop guidance that would streamline and enhance revenue recognition requirements. The Company will adopt this standard on August 1, 2017. Entities have the option of using either a full retrospective or modified retrospective approach for the adoption of the standard. The Company is evaluating the impact that the standard will have on its consolidated financial statements.
 
In April 2014, an accounting standard update was issued that changes the criteria for reporting discontinued operations and enhances convergence of U.S. GAAP and IFRS reporting requirements for discontinued operations. The amendments in the update raise the threshold for a disposal to qualify as a discontinued operation and require new disclosures of both discontinued operations and certain other disposals that do not meet the definition of a discontinued operation. The adoption of this standard update will be applied prospectively to (a) all disposals (or classifications as held for sale) of components of the Company, and (b) all businesses that, on acquisition, are classified as held for sale, that occur within a fiscal year beginning on or after August 1, 2015. Early adoption is permitted but only for disposals (or classifications as held for sale) that have not been reported in previously issued financial statements. The Company does not expect the adoption of this standard update to impact its financial position, results of operations or cash flows.