0001213900-14-007233.txt : 20141016 0001213900-14-007233.hdr.sgml : 20141016 20141014155452 ACCESSION NUMBER: 0001213900-14-007233 CONFORMED SUBMISSION TYPE: 10-K PUBLIC DOCUMENT COUNT: 14 CONFORMED PERIOD OF REPORT: 20140731 FILED AS OF DATE: 20141014 DATE AS OF CHANGE: 20141014 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-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-16371 FILM NUMBER: 141155088 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-K 1 f10k2014_idtcorp.htm ANNUAL REPORT

 

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

FORM 10-K

 

☒ Annual report pursuant to section 13 or 15(d) of the securities exchange act of 1934 for the fiscal year ended July 31, 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 No.)

  

520 Broad Street, Newark, New Jersey 07102

(Address of principal executive offices, zip code)

 

(973) 438-1000

(Registrant’s telephone number, including area code)

 

Securities registered pursuant to Section 12(b) of the Act:

 

Title of each class   Name of each exchange on which registered
     

Class B common stock, par value $.01 per share

 

New York Stock Exchange

 

Securities registered pursuant to section 12(g) of the Act: None

 

Indicate by check mark if the registrant is a well-known seasoned issuer, as defined in Rule 405 of the Securities Act. Yes ☐     No ☒

 

Indicate by check mark if the registrant is not required to file reports pursuant to Section 13 or Section 15(d) of the Act. Yes ☐     No ☒

 

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 if disclosure of delinquent filers pursuant to Item 405 of Regulation S-K (§229.405 of this chapter) is not contained herein, and will not be contained, to the best of registrant’s knowledge, in definitive proxy or information statements incorporated by reference in Part III of this Form 10-K or any amendment to this Form 10-K. ☐ 

 

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 definitions of “large accelerated filer,” “accelerated filer” and “smaller reporting company” in Rule 12b-2 of the Exchange Act.

  

Large accelerated filer  ☐ Accelerated filer  ☒
Non-accelerated filer  ☐ Smaller reporting company  ☐

  

Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Act). Yes ☐     No ☒

  

The aggregate market value of the voting and non-voting stock held by non-affiliates of the registrant, based on the adjusted closing price on January 31, 2014 (the last business day of the registrant’s most recently completed second fiscal quarter) of the Class B common stock of $16.49 per share, as reported on the New York Stock Exchange, was approximately $304.0 million.

  

As of October 6, 2014, the registrant had outstanding 21,663,733 shares of Class B common stock and 1,574,326 shares of Class A common stock. Excluded from these numbers are 2,933,795 shares of Class B common stock and 1,698,000 shares of Class A common stock held in treasury by IDT Corporation.

  

DOCUMENTS INCORPORATED BY REFERENCE

 

The definitive proxy statement relating to the registrant’s Annual Meeting of Stockholders, to be held December 15, 2014, is incorporated by reference into Part III of this Form 10-K to the extent described therein.

 

 

  

 
 

 

Index

IDT Corporation

Annual Report on Form 10-K

 

Part I
   
  Item 1. Business. 1
  Item 1A. Risk Factors. 14
  Item 1B. Unresolved Staff Comments. 20
  Item 2. Properties. 20
  Item 3. Legal Proceedings. 20
  Item 4. Mine Safety Disclosures. 21
   
Part II  
     
  Item 5. Market for Registrant’s Common Equity, Related Stockholder Matters and Issuer Purchases of Equity Securities. 22
  Item 6. Selected Financial Data. 24
  Item 7. Management’s Discussion and Analysis of Financial Condition and Results of Operations. 24
  Item 7A. Quantitative and Qualitative Disclosures about Market Risks. 40
  Item 8. Financial Statements and Supplementary Data. 41
  Item 9. Changes in and Disagreements with Accountants on Accounting and Financial Disclosure. 41
  Item 9A. Controls and Procedures. 41
  Item 9B. Other Information. 41
   
Part III  
     
  Item 10. Directors, Executive Officers and Corporate Governance. 4
  Item 11. Executive Compensation. 42
  Item 12. Security Ownership of Certain Beneficial Owners and Management and Related Stockholder Matters. 42
  Item 13. Certain Relationships and Related Transactions, and Director Independence. 42
  Item 14. Principal Accounting Fees and Services. 42
   
Part IV  
     
  Item 15. Exhibits, Financial Statement Schedules. 43
     
Signatures 45

 

 
 

 

Part I

 

As used in this Annual Report, 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 its subsidiaries, collectively. Each reference to a fiscal year in this Annual Report refers to the fiscal year ending in the calendar year indicated (for example, fiscal 2014 refers to the fiscal year ended July 31, 2014).

 

Item 1. Business.

 

OVERVIEW 

 

IDT is a multinational holding company with operations primarily in the telecommunications and payments industries.

 

We have three reportable business segments, Telecom Platform Services, Consumer Phone Services, and Zedge Holdings, Inc., or Zedge. Telecom Platform Services provides retail telecommunications and payment offerings as well as wholesale international long distance traffic termination. Consumer Phone Services provides consumer local and long distance services in certain U.S. states. Telecom Platform Services and Consumer Phone Services comprise our IDT Telecom division. Zedge owns and operates a popular online platform for mobile phone consumers interested in obtaining free, high-quality games, apps, and mobile phone customization including ringtones, wallpapers, and notification sounds. Operating segments not reportable individually are included in All Other. All Other includes Fabrix Systems Ltd., or Fabrix, a software development company offering a cloud-based scale-out storage and computing platform optimized for big data, virtualization and media storage, processing and delivery. We sold Fabrix in October 2014. All Other also includes our real estate holdings and other, smaller businesses.

 

Financial information by segment is presented under the heading “Business Segment Information” in the Notes to our Consolidated Financial Statements in this Annual Report.

 

Our headquarters are located at 520 Broad Street, Newark, New Jersey 07102. We lease space at 550 Broad Street, Newark, New Jersey and most of the Company’s employees work from this location. The main telephone number at our headquarters is (973) 438-1000 and our web site is www.idt.net.

 

We make available free of charge our annual reports on Form 10-K, quarterly reports on Form 10-Q, current reports on Form 8-K and all amendments to these reports, and all beneficial ownership reports on Forms 3, 4 and 5 filed by directors, officers and beneficial owners of more than 10% of our equity through the investor relations page of our web site (www.idt.net/ir) as soon as reasonably practicable after such material is electronically filed with the Securities and Exchange Commission. Our web site also contains information not incorporated into this Annual Report on Form 10-K or our other filings with the Securities and Exchange Commission.

 

KEY EVENTS IN OUR HISTORY

 

1990 –Howard Jonas, our founder, launched International Discount Telephone to provide international call re-originations services.

 

1995 – We begin selling wholesale termination services to other long distance carriers by leveraging our access to favorable international telephone rates generated by our retail calling traffic.

 

1996 – We successfully complete an initial public offering of our common stock.

 

1997 – We began marketing prepaid calling cards to provide convenient and affordable international long distance calls primarily to immigrant communities.

 

2000 – We complete the sale of a stake in our Net2Phone subsidiary, a pioneer in the development and commercialization of voice over Internet protocol, or VoIP, technologies and services, to AT&T for approximately $1.1 billion in cash.

 

2001 – Our common stock is listed on the New York Stock Exchange, or NYSE.

 

2003 – We begin offering local and long distance calling services to residential customers.

 

2004 – We launch a retail energy business to provide electricity and natural gas to residential and small business customers in New York.

 

2006 – We sell our Russian telecom business, Corbina, for $129.9 million in cash.

 

2006 – We launch a regulated issuing bank based in Gibraltar.

  

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2007 – We complete the sale of IDT Entertainment to Liberty Media for (i) 14.9 million shares of our Class B common stock, (ii) Liberty Media’s approximate 4.8% interest in IDT Telecom, (iii) $220.0 million in cash, net of certain working capital adjustments, (iv) the repayment of $58.7 million of IDT Entertainment’s intercompany indebtedness payable to us and (v) the assumption of all of IDT Entertainment’s existing indebtedness.

 

2007 – We sell our United Kingdom-based consumer phone service for approximately $46.3 million of cash and stock.

 

2007 – We purchase majority interests in both Fabrix and Zedge.

 

2008 – We enter the oil and gas exploration business with acquisition of E.G.L. Oil Shale and are granted a license to explore for oil shale in Israel.

 

2009 – We spin-off our CTM Media Holdings subsidiary to stockholders. CTM Media Holdings is traded on the over-the-counter market with the ticker symbol “CTMMA”.

 

2009 – We launch Boss Revolution PIN-less, a pay-as-you-go international calling service. Boss Revolution has since become our flagship brand, and the Boss Revolution platform has been expanded to include payment offerings.

 

2011 – We spin-off our Genie Energy Ltd. subsidiary, which holds our retail energy and oil and gas exploration businesses, to stockholders. Genie Energy is listed on the NYSE with the ticker symbol “GNE”.

 

2013 – We spin-off our Straight Path Communications, Inc., subsidiary to stockholders. Straight Path Communications is listed on the NYSE MKT with the ticker symbol “STRP”.

 

2013 – We introduce the Boss Revolution mobile app for Android and iOS.

 

2013 – We launch an international money transfer service on the Boss Revolution platform in select states. The service offers Boss Revolution customers a convenient, affordable means to send cash from the United States to friends and family overseas.

 

2014- We sell our 78% stake in Fabrix to Telefonaktiebolget LM Ericsson (publ), or Ericsson, for $73 million as part of Ericsson’s purchase of Fabrix for $95 million.

 

DIVIDENDS

 

We have paid dividends to the holders of our Class A and Class B common stock since fiscal 2011. During fiscal 2014, we paid aggregate dividends of $0.59 per share, or $13.6 million, on our Class A common stock and Class B common stock as detailed below. In fiscal 2013, we paid aggregate dividends of $0.75 per share on our Class A common stock and Class B common stock, or $17.1 million in total.

 

On September 10, 2013, we paid a special cash dividend of $0.08 per share;

 

On January 7, 2014, we paid an ordinary cash dividend of $0.17 per share for the first quarter of fiscal 2014;

 

On March 28, 2014, we paid an ordinary cash dividend of $0.17 per share for the second quarter of fiscal 2014; and

 

On June 27, 2014, we paid an ordinary cash dividend of $0.17 per share for the third quarter of fiscal 2014.

  

On October 3, 2014, we paid a dividend of $0.17 per share for the fourth quarter of fiscal 2014 to holders of record of our Class A common stock and Class B common stock as of the close of business on September 29, 2014.

 

We expect to continue paying a regular quarterly dividend commensurate with our cash generation and financial resources, business outlook and growth strategy.

 

OUR STRATEGY

 

History and Background 

Since our founding, we have focused on value creation by leveraging potentially disruptive telecommunications technologies to challenge entrenched business models. Outside of our core business, we have sought to select and incubate promising early stage businesses for eventual sale or spin-off to our stockholders.

 

In 2007 and 2008, in response to a long-term, industry-wide decline in the sale of prepaid, disposable calling cards, which was our dominant offering at the time, we initiated a fundamental restructuring of our businesses.  We subsequently sold or spun-off most of our non-core businesses and assets, right-sized corporate overhead, reduced network costs at IDT Telecom, and streamlined our internal decision making processes. 

 

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Since the successful implementation of this restructuring program, we have been intensely focused on the growth and profitability of our core telecommunications businesses while retaining majority stakes in our two most promising non-core businesses, Fabrix and Zedge.

 

On October 8, 2014, we completed the sale of our interests in Fabrix to Ericsson. The final sale price for 100% of the shares in Fabrix was $95 million in cash, excluding transaction costs and working capital and other adjustments. We owned approximately 78% of Fabrix on a fully diluted basis. Our share of the sale price, net of transaction costs, is expected to be approximately $73 million in cash. We and the other shareholders have placed $13 million of our proceeds in escrow for the resolution of post-closing claims that may arise. Any unclaimed escrow balance will be released in two tranches over a period of 18 months.

 

Within IDT Telecom, we have focused on reducing the cost of our infrastructure and leveraging our VoIP expertise to develop new products and services. We also sharpened our retail focus to provide high-quality and cost-effective communications and payment services to foreign-born consumers.  This is a rapidly growing demographic and a historically underserved market that includes significant numbers of unbanked and under-banked consumers.

 

In 2009, we launched Boss Revolution PIN-less, a pay-as-you-go international long distance voice service. The service grew rapidly and eventually overtook sales of our traditional, disposable prepaid calling cards. We believe that Boss Revolution PIN-less has become the nation’s leading pay-as-you-go international calling service.  More recently, we have begun to develop and introduce complementary payment services over the Boss Revolution platform, including international and domestic airtime top-up, gift cards, domestic bill payment and, in 2013, an international money transfer service. These additions represent significant milestones toward our goal of offering a comprehensive suite of voice and payment products under a single, global brand and platform targeted to under-banked, foreign-born consumers.

 

To simplify the Boss Revolution PIN-less calling experience and expand its reach, we introduced our Boss Revolution app in 2013. The app is free to the consumer and is distributed through both the iTunes and Google Play stores.  In 2014, we deployed the Boss Revolution app for retailers. The app for retailers enables a qualified individual in the United States with an Android or iOS smartphone to become a potential Boss Revolution retailer and to manage their Boss Revolution account virtually anywhere, anytime.

 

Leveraging the high volumes of traffic to certain overseas destinations generated by our retail business, we have long been an important player in the global wholesale telecommunications market, carrying and terminating international calling traffic on behalf of other telecoms and call aggregators. More recently, we have maintained our leadership in the wholesale market by leveraging VoIP technology and broadening our offerings with different levels of service quality.

 

We believe that the restructuring of our business combined with a growth strategy at IDT Telecom that includes a tight focus on the needs of our target market and the successful introduction of innovative products has resulted in significant revenue growth and improving profitability in recent years.  

 

Current Strategy 

In our core telecom and payments business, we seek to maintain steady, positive cash flows to support our dividend policy and to fund growth initiatives. Outside of our core business, we sold Fabrix in October 2014, and Zedge is pursuing market opportunities funded primarily from its current operations. We will opportunistically seek to realize stockholder value from our interests in businesses through a sale, spin-off, or other strategic action as warranted by market conditions.  

 

IDT Telecom 

 

We are pursuing growth opportunities at IDT Telecom in both the retail and wholesale sides of our business. Our retail communications business continues to focus on the Boss Revolution platform - expanding its network of retailers and its brand equity nationwide to grow our customer base, while developing and deploying additional synergistic calling and payment services to meet the needs of our target market. Our wholesale termination services business is focused on expanding the scope of services we provide within customers’ value chains.

 

IDT Telecom is pursuing a multi-pronged growth strategy that includes:

 

utilizing our direct and indirect sales force to recruit additional retailers to deepen market penetration in foreign-born communities, especially outside of IDT’s traditional geographic strongholds in the Northeastern United States and Florida;

 

continuing to develop, deploy and promote new payment and value transfer services to broaden Boss Revolution’s portfolio of offerings for foreign-born and under-banked populations;

 

further expanding our platforms and leveraging mobile apps to enhance, deepen and improve the direct-to-consumer and retail channel experiences; and

 

leveraging carrier relationships and our portfolio of domestic retail offerings to drive white-label sales to carriers, resellers and other telecommunications providers overseas.

 

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Zedge

Zedge’s growth initiatives are focused on three “U”s - Users, Usage and Ubiquity.

 

Users - Driving organic user growth with the introduction of new features, localization / new market entry, app store optimization and brand awareness.

 

Usage - Increasing user engagement, which we believe to be a strong proxy for revenue expansion. To this end, in fiscal 2015, Zedge plans on releasing several important product enhancements including social features and new content channels as well as utilize marketing automation tools.

 

Ubiquity - Entering new app stores and developing apps for new operating systems to achieve critical mass and drive customer demand. Zedge’s app is currently available on Android, iOS and Windows Mobile.

 

IDT TELECOM

 

IDT Telecom is comprised of two reportable segments, Telecom Platform Services and Consumer Phone Service. Since our inception, we have derived the majority of our revenues and operating expenses from IDT Telecom’s businesses. In fiscal 2014, IDT Telecom had revenues of $1,626.6 million, representing 98.5% of our total consolidated revenues from continuing operations, and income from operations of $46.9 million, as compared with revenues of $1,602.6 million and income from operations of $50.5 million in fiscal 2013.

 

TELECOM PLATFORM SERVICES

 

Our Telecom Platform Services segment, which represented 99.3% and 99.1% of IDT Telecom’s total revenues in fiscal 2014 and fiscal 2013, respectively, markets and distributes multiple communications and payment services across four broad business verticals:

 

Retail Communications provides international long-distance calling products primarily to foreign-born communities worldwide, with its core markets in the United States;

 

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;

 

Payment Services provides payment offerings, including international airtime top-up and international money transfer sold over our Boss Revolution platform; and

 

Hosted Platform Solutions provides customized communications services that leverage our proprietary networks, platforms and/or technology to cable companies and other service providers.

  

During fiscal 2014, our Telecom Platform Services segment generated $1,615.6 million in revenues worldwide and income from operations of $45.1 million, as compared with revenues of $1,588.1 million and income from operations of $48.7 million in fiscal 2013.

 

Retail Communications 

Retail Communications’ revenue was $695.8 million in fiscal 2014 compared to $656.7 million in fiscal 2013 (43.1% and 41.3% of Telecom Platform Services’ revenue in fiscal 2014 and fiscal 2013, respectively).

 

The majority of Retail Communications’ sales are generated by the Boss Revolution PIN-less international calling service. Other smaller lines of business contribute to Retail Communications sales including (1) traditional, disposable prepaid calling cards sold under a variety of brand names, (2) private label and IDT branded prepaid calling cards sold to large retailers, medium sized retail chains (e.g. supermarkets, drug stores), and smaller grocery stores and bodegas, and (3) our PennyTalk international calling service. Revenues generated by sales of Boss Revolution payment offerings including airtime top-up and international money transfer are reflected in the Payment Services vertical discussed below.

 

Boss Revolution PIN-less allows users to call their families and friends overseas without the need to enter a personal identification number, or PIN. To place a call, a customer must first establish a Boss Revolution prepaid account. Boss Revolution customers can access our network by first dialing a local access or toll-free number. Our platform recognizes the user’s network-provided automatic number identification (ANI) and seamlessly links each call to the corresponding Boss Revolution account. Callers then enter their destination phone numbers. The dialing process is automated to provide one-touch dialing in the Boss Revolution mobile app. Boss Revolution debits customers’ account balances for completed calls at a fixed rate per minute. In contrast to many competitors, Boss Revolution does not charge connection fees, other usage or breakage fees, and consequently account balances never expire. Boss Revolution rates vary by the destination country that is being called. Rates are published on the Boss Revolution consumer website and within the Boss Revolution mobile app.

 

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Customers can add to, or top-up, their account balance at any Boss Revolution retailer using cash or a credit card. Customers with a credit or debit card can also add to their account balance directly by phone, online through the Boss Revolution consumer web site (www.bossrevolution.com), or through the Boss Revolution mobile app.

 

In the United States, we distribute many of our retail products through our network of distributors that, either directly or through sub-distributors, sells to retail locations. In addition, our internal sales force sells Boss Revolution platform products directly to retailers. We also sell Boss Revolution online directly to the consumer, while the Boss Revolution mobile app is available for download through both the iTunes and Google Play stores. Distributors, our internal sales people and retailers typically receive commissions based on the revenue generated by each transaction.

 

The Boss Revolution retailer portal enables retailers to sign up new customers and add funds to customer accounts. The Boss Revolution retailer portal also provides a direct, real-time interface with our retailers, resulting in a cost-effective and adaptable distribution model that we believe can rapidly respond to changes in the business environment.

 

The Boss Revolution platform allows us to target and promote services to both customers and retailers, and to introduce and cross-sell new offerings. For example, the successful launches of international and domestic airtime top-up over the Boss Revolution platform leveraged our existing capabilities and distribution network to expand the scope of services we provide to our customers.

 

In the United States, the Boss Revolution brand is supported by national, regional and local marketing programs that include television and radio advertising, online advertising, print media, and grass roots marketing at community and sporting events. In addition, we work closely with distributors and retailers on in-store promotional programs and events.

 

Retail Communications’ sales have traditionally been strongest in the Northeastern United States and in Florida because of our extensive local distribution network and the large immigrant population. In addition to these geographic areas, we continue to grow distributor relationships and sell directly to retailers in other areas of the United States, including the Southwest and West Coast, where we historically did not have a strong market presence.

 

Outside of the United States, we are incrementally expanding the geographic footprint of our Boss Revolution platform including retailer portals, mobile apps, and direct-to-consumer web sites. In fiscal 2012, we launched Boss Revolution in the United Kingdom and Spain. During fiscal 2013, we expanded Boss Revolution’s footprint to Germany and three markets in the Asia-Pacific region—Australia, Hong Kong and Singapore. In 2014, we launched Boss Revolution in Canada. Nevertheless, the vast majority of Boss Revolution and Retail Communications’ other sales are generated in the United States. We also sell other prepaid retail calling services in Europe, Latin America and Asia, as discussed in detail in the International Operations section below.

 

Wholesale Termination Services 

Wholesale Termination Services’ revenue was $672.3 million in fiscal 2014 compared to $687.9 million in fiscal 2013 (41.6% and 43.3% of Telecom Platform Services’ revenue in fiscal 2014 and fiscal 2013, respectively).

 

Wholesale Termination Services terminates international telecommunications traffic in more than 170 countries around the world. Our customers include IDT’s Retail Communications business, major and niche carriers around the globe, operators, and other service providers such as call aggregators. For many of these customers, particularly the major carriers, we engage in buy-sell relationships, terminating their customers’ traffic in exchange for terminating our wholesale and retail traffic with their customers.

 

We offer competitively priced international termination rates at several quality levels. We are able to offer competitively priced termination services in part because of the large volumes of originating minutes generated by our retail communications business, our global platform powered by proprietary software, our team of professional and experienced account managers, and an extensive network of interconnects around the globe.

 

During fiscal 2014, IDT Telecom terminated 29.6 billion minutes compared to 32.7 billion minutes in fiscal 2013, making us one of the largest carriers of long distance minutes worldwide. Wholesale Termination Services accounted for 19.2 billion minutes and 22.4 billion minutes of the total IDT Telecom minutes in fiscal 2014 and fiscal 2013, respectively.

 

IDT Telecom has a significant number of direct connections to Tier 1 providers outside the United States, particularly Tier 1 providers in Latin America, Asia, Africa, Europe and the Middle East. Tier 1 providers are the largest recognized licensed carriers in a country. Direct connections improve the quality of the telephone calls and reduce the cost, thereby enabling us to generate more traffic with higher margins to the associated foreign locales. We also have direct relationships with mobile network operators, reflecting their growing share of the voice traffic market.

 

Termination rates charged by Tier 1 and other providers on international long distance traffic have been declining for many years. Nevertheless, termination rates charged to us by individual Tier 1 carriers and mobile operators can be volatile. Termination price volatility on heavily trafficked routes can significantly impact our minutes of use and wholesale revenues. However, because of the small margins on these routes, the resulting change in the Wholesale Termination Services business’s underlying profitability is often not material.

 

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In addition to offering competitive rates to our carrier customers, we emphasize our ability to offer the high-quality connections that these providers often require. To that end, we offer higher-priced services in which we provide higher-quality connections, based upon a set of predetermined quality of service criteria. These services meet a growing need for higher-quality connections for some of our customers who provide services to high-value, quality-conscious retail customers. As of July 31, 2014, Wholesale Termination Services had more than 600 customers. IDT Telecom has over 550 carrier relationships globally.

 

Wholesale Termination Services’ revenue is generated by sales to both postpaid and prepaid customers. Postpaid customers typically include Tier 1 carriers and our most credit worthy customers. Prepaid customers are typically smaller telecommunication companies and mobile network operators, as well as independent call aggregators.

 

Payment Services 

Payment Services’ revenue was $202.5 million in fiscal 2014 compared to $193.5 million in fiscal 2013 (12.5% and 12.2% of Telecom Platform Services’ revenue in fiscal 2014 and fiscal 2013, respectively).

 

The majority of Payment Services’ revenue is generated by international airtime top-up. Other products and services in this vertical include domestic airtime top-up, gift cards sold in the United States and Europe, domestic bill pay service and our recently launched international money transfer service. Payment Services also includes reloadable prepaid debit cards marketed in Europe and Bank Identification Number (BIN) sponsorship services offered by our Gibraltar-based bank, IDT Financial Services Limited. Payment Services’ offerings leverage our platform capabilities, our distribution reach into foreign-born communities and our global reach to provide simple, convenient and affordable offerings, many over the Boss Revolution platform.

 

Our international airtime top-up products enable customers to purchase minutes for a prepaid mobile telephone in another country. They are sold both over our Boss Revolution payment platform and in hard card format. Our international airtime top-up offerings are focused on geographic corridors, such as the United States to Central America, that tend to generate high volumes of business, and are part of a comprehensive product offering that includes product, marketing and distribution focused on those corridors.

 

We believe that international remittances are a significant economic activity among our target market of foreign-born residents and other under-banked communities. To serve that market, we began to roll-out an international money transfer service over our Boss Revolution platform in 2014. Prior to launch, we obtained the requisite licenses including those required by nearly every state, formalized relationships with national and local banks in the United States, developed a compliance operation to comply with applicable anti-money laundering laws and regulations, and assembled a disbursement network of banks, retailers and other points of payment presence overseas where recipients can collect their transferred funds. Our international money transfer service is offered over the Boss Revolution platform, and like other payment services, utilizes our retail network and associated ability to serve unbanked customers. However, we expect that only a limited number of Boss Revolution retailers in the United States will eventually qualify to process international money transfer transactions.

 

Revenues from international money transfer are derived from a per-transaction fee charged to the customer and from foreign exchange differentials. Although we offer lower promotional rates from time to time, including as an incentive for customers to try the service, the standard industry rates are eight to ten dollars per transaction, which is what we generally charge. Transaction costs include commissions paid to the retailer or seller, payment to the disbursing agent, banking, compliance, and foreign currency exchange costs.

 

Hosted Platform Solutions 

Hosted Platform Solutions’ revenue was $45.0 million in fiscal 2014 compared to $50.0 million in fiscal 2013 (2.8% and 3.2% of Telecom Platform Services’ revenue in fiscal 2014 and fiscal 2013, respectively).

 

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, which is in harvest mode.

 

International Operations 

In Europe, we market our Retail Communications products in the United Kingdom, the Netherlands, Spain, Germany, Belgium, Italy, Luxembourg, Sweden, Switzerland, Denmark, Norway, and Austria, seeking to capitalize on the demographic opportunity presented by immigration from outside of Europe to these developed nations. Because the immigrant market is fragmented, and due to the large number of markets in which we compete, we offer over 600 different prepaid calling cards in Europe. We also market our Payment Services products in the United Kingdom.

 

We maintain our European corporate, Retail Communications and Wholesale Termination Services operations in London, England. We also operate satellite offices in Germany, Belgium, Spain and Greece.

 

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We also provide wholesale termination services to international telecom companies, including foreign state-owned or state-sanctioned telephone companies and Tier-1 carriers, new and emerging telephone companies, and value-added service providers.

 

Our European operations, including Wholesale Termination Services and Retail Communications, generated $360 million of revenues in fiscal 2014, a 43.9% increase from the $250.3 million of revenues generated during fiscal 2013. Our European operations’ revenues constituted 22.1% of IDT Telecom’s revenues from continuing operations in fiscal 2014, as compared to 15.6% in fiscal 2013.

 

In Asia, we sell Retail Communications products in Hong Kong, Singapore, Australia, Japan, Korea, Malaysia and Taiwan. Our operations in Asia also include Wholesale Termination Services. In Hong Kong, we are one of the top providers of prepaid calling services to the Filipino and Indonesian populations, the two largest overseas worker segments. In addition, in Singapore, our Retail Communications products are a market leader to the Indian populations, which is the largest ethnic segment in Singapore, as well as the large Indonesian population. In fiscal 2014, IDT Telecom generated $61.3 million in revenues from our operations in the Asia Pacific region compared to $93.7 million in fiscal 2013.

 

In Latin America, we market Retail Communications products in Argentina, Brazil, Peru, Chile, and Uruguay. In addition, we offer post-paid phone services in Brazil to consumers and small businesses. We maintain Latin American headquarters in Buenos Aires, Argentina. In fiscal 2014, IDT Telecom generated $22.6 million in revenues from the sale of Retail Communications products in Latin America compared to $29.8 million in fiscal 2013.

 

Sales, Marketing and Distribution 

In the United States, we distribute Retail Communications and Payment Services products, including Boss Revolution PIN-less, domestic and international airtime top-up offerings, and prepaid calling cards primarily to retail outlets through our network of distributors or through our internal sales force. In addition, our white label calling cards as well as our IDT-branded calling cards are also marketed to retail chains and outlets through our internal sales force, and from time to time we may utilize third-party agents or brokers to acquire accounts. We also market prepaid offerings, including Boss Revolution PIN-less and domestic and international airtime top-up, direct to the consumer via online channels including the Boss Revolution consumer website (bossrevolution.com) and mobile apps for Apple iOS and Android.

 

In Europe and Asia, we sell our prepaid calling cards including both white label and IDT-branded calling cards through independent distributors and our internal sales force. Additionally, we sell Boss Revolution PIN-less and domestic and international airtime top-up in select European and Asia Pacific markets both through retail distribution and directly to the consumer. In Asia, we sell postpaid services direct to consumers and small businesses. Wholesale Termination Services are marketed and sold through our internal wholesale sales team. 

 

Telecommunications Network Infrastructure 

IDT Telecom operates a global voice and data network to provide an array of telecommunications and payment services to our customers worldwide using a combination of proprietary and third-party applications. Proprietary applications include call routing and rating, customer provisioning, call management, product web pages, calling card features, and payment services features. Proprietary applications provide the flexibility to adapt to evolving marketplace demands without waiting for third-party software releases, and often provide advantages in capability or cost over commercially available alternatives.  

 

The IDT Telecom core voice network utilizes Internet Protocol, or IP, and is interconnected through gateways to time-division multiplexing, or TDM, networks worldwide. This hybrid IP/TDM capability allows IDT Telecom to interface with carriers using the lowest cost technology protocol available. To support its global reach, IDT Telecom operates voice switches and/or points of presence in the United States, Europe, South America, Asia and Australia. IDT Telecom receives and terminates voice traffic from every country in the world, including cellular, landline and satellite calls through direct interconnects. The network includes data centers located in the United States, United Kingdom and Hong Kong with smaller points of presence in other countries. It is monitored and operated on a continual basis by our Network Operations Centers in the United States.

 

CONSUMER PHONE SERVICES 

 

Our Consumer Phone Services segment generated revenues of $11.0 million and income from operations of $1.8 million in fiscal 2014, as compared to revenues of $14.5 million and income from operations of $1.8 million in fiscal 2013. Consumer Phone Services’ revenues declined 24.1% and 24.8% in fiscal 2014 and fiscal 2013, respectively, when compared to the prior fiscal years. We continued to operate the business in harvest mode—maximizing revenue from current customers while maintaining expenses at the minimum levels essential to operate the business. This strategy has been in effect since calendar 2005 when the Federal Communications Commission, or FCC, decided to terminate the UNE-P pricing regime, which resulted in significantly inferior economics in the operating model for this business. We expect the Consumer Phone Services’ customer base and revenues will continue to decline in fiscal 2015.

 

We currently provide our bundled local/long distance phone service in 11 states, marketed under the brand name IDT America. Our bundled local/long distance service, offered predominantly to residential customers, includes unlimited local, regional toll and domestic long distance calling and popular calling features. A second plan is available, providing unlimited local service with our long distance included for as low as 3.9 cents per minute. With either plan, competitive international rates and/or additional features can be added for additional monthly fees. We also offer stand-alone long distance service throughout the United States.

 

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As of July 31, 2014, we had approximately 6,200 active customers for our bundled local/long distance plans and approximately 28,500 customers for our long distance-only plans, compared to 7,800 and 35,700 customers, respectively, on July 31, 2013. Our highest customer concentrations are in large urban areas, with the greatest number of customers located in New York, New Jersey, Pennsylvania and Massachusetts.

 

ZEDGE 

 

Zedge owns and operates a popular online platform for mobile phone consumers interested in obtaining free, high-quality games, apps, and mobile phone customization including ringtones, wallpapers, and notification sounds. We believe that Zedge’s popularity stems from its ability to select and present content in a customized and personally relevant manner. To this end, we have invested heavily in developing a proprietary, machine-learning-based, behavioral recommendation engine, tasked with discovering and packaging the content in an easy, fast, attractive and self-intuitive fashion. As a result of Zedge’s large, active user base, it is able to offer advertisers, game developers, musicians and artists a scalable, non-incentivized, user acquisition platform with global reach.

 

Users access Zedge through smartphone apps, which are available in all of the Google Play, iTunes and the Windows Phone stores, or through feature phones or Zedge’s website. Zedge has grown its user base without any material investment in marketing, user acquisition or advertising. We believe that consumer growth stems from the demand for, and popularity of, the content offerings, the quality of the recommendations and the commitment to providing an exceptional user experience. As of July 31, 2014, the Zedge smartphone app surpassed 110 million installations. The Android app has averaged among the top 20 most popular apps in the Google Play store for the last four years and we believe it has been installed on approximately 20% of all Android handsets in the United States.

 

Zedge’s app is primarily used by customers in North America and Europe, typically in the 18 to 34 age bracket and represent an almost equal gender breakout. The web users of Zedge are concentrated in the emerging markets are also young and skew male.

 

Zedge rolled out its Android app in late 2009 with content channels dedicated to ringtones, wallpapers and notification sounds. In April 2012, Zedge expanded its Android offering by introducing two new channels - mobile games and live-wallpapers. In late 2012, Zedge launched a limited version of its smartphone iOS app featuring wallpapers and in late 2013 Zedge expanded it iOS offering by including ringtones. Zedge also maintains a web presence primarily frequented by feature phone users. We expect that web traffic will continue to decline as smartphones’ market share increases and users access Zedge via smartphone apps.

 

The ringtone and wallpaper content library is comprised of millions of user-generated content submissions that are uploaded from our website while the mobile games catalogue is curated from the Google Play store.

 

Zedge developed a proprietary technology platform that is centered on content management and discovery, web and app development, data mining and analytics, machine learning, mobile content/device compatibility, advertising and reporting. From an end user’s perspective, the platform minimizes response latency and maximizes content relevancy. Zedge’s architecture contains a fully redundant production environment that can tolerate multiple server failures with minimal end-user disruption. In addition, it utilizes a variety of hosted services including cloud computing and outsourced datacenter management in order to scale efficiently and competitively. We believe that this technology mix optimizes functionality, scalability, flexibility performance, cost and ease of use.

 

Zedge’s revenues are generated from offering direct advertisers, advertising networks, game publishers and marketers exposure to the customer base via advertising inventory that is sold on the smartphone app and website. We believe that advertisers are attracted to Zedge due to its growing user base, demographics, non-incentivized, user acquisition platform focused on mobile games and personalization content discovery, ability in optimizing ad inventory performance and direct distribution relationships with many leading mobile game publishers. During fiscal 2014, Zedge generated revenues of $6.5 million compared to $5.8 million in fiscal year 2013. Approximately $6.0 million, or 92%, of fiscal 2014 revenues were generated from advertising inventory on mobile devices compared to $4.7 million, or 80%, in fiscal 2013. Zedge’s income from operations in both fiscal 2014 and fiscal 2013 was $0.3 million.

 

We currently own approximately 83% (69% on a fully diluted basis) of Zedge. We are considering strategic options for Zedge, including, amongst others, a spin-off as a separate company, a sponsored spin-off, adding a strategic partner or a sale.

 

ALL OTHER 

 

Operating segments that are not reportable individually are included in All Other. All Other included Fabrix, a software development company offering a cloud-based scale-out storage and computing platform optimized for big data, virtualization and media storage, processing and delivery. All Other also includes our real estate holdings, and other, smaller businesses.

 

During fiscal 2014, All Other generated $18.4 million in revenues and loss from operations of $2.0 million, as compared with revenues of $12.2 million and loss from operations of $7.4 million in fiscal 2013.

 

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Fabrix

Prior to its sale in October 2014, Fabrix was our majority-owned venture that developed and licensed a proprietary video software platform optimized for cost effective cloud-based video storage, high throughput streaming and intelligent content distribution. This software was 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. Fabrix’s grid-based solution runs on commercial off-the-shelf servers enabling service providers to deploy the latest computing technology innovations. Fabrix leverages strategic partnerships with leading equipment manufacturers and system integrators who resell the Fabrix platform to service providers worldwide.

 

Fabrix’s technology has been selected by over 15 leading North American and European multi-system operators to power their video service offerings. In 2010, Fabrix successfully deployed its software to empower a US tier-1 operator's cloud-based DVR. The operator has periodically purchased additional licenses as it continues to roll out its offering system-wide. In 2011, a North American tier-1 operator licensed Fabrix software for its deep video storage product. In the third quarter of fiscal 2013, Fabrix commenced software deliveries to a major European operator, and subsequently made additional sales to cable and telecom operators in Europe.

 

Fabrix typically generated cash from the initial licensing of its software, from maintenance during the life of the licensing agreement, and from any subsequent license renewals. Fabrix generally recognized 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.

 

During fiscal 2014, Fabrix generated $16.6 million in revenues and a loss from operations of $0.7 million, as compared with revenues of $10.6 million and a loss from operations of $1.4 million in fiscal 2013. In fiscal 2014 and fiscal 2013, Fabrix received cash from sales of $13.4 million and $16.0 million, respectively.

 

COMPETITION

 

IDT Telecom

 

Telecom Platform Services 

Retail Communications 

Within Retail Communications, the growth of Boss Revolution PIN-less sales since its launch in 2009 has substantially replaced revenues from sales of our traditional disposable calling cards.

 

Like all international calling services, our Boss Revolution PIN-less service is subject to fierce competition, and we do not expect to continue to grow revenues and margins without a successful strategy and sound execution. While virtually any company offering retail voice services is a competitor of ours, we face particularly strong competition from Tier 1 telecom operators who offer flat rate international calling plans, other PIN-less prepaid voice offerings, prepaid calling card providers, mobile virtual network operators (or MVNOs) with aggressive international rate plans, and VoIP and other “over the top” (or OTT) service providers. Outside the United States, we also compete with large foreign state-owned or state sanctioned telephone companies.

 

In our view, our ability to compete successfully against these operators depends on several factors. Our interconnect and termination agreements, network infrastructure and least-cost-routing system enable us to offer low-cost, high quality services. Our extensive distribution and retail networks provide us with a strong presence in communities of foreign born residents, a significant portion of which purchase our services with cash. Our Boss Revolution brand is often highly visible in these communities and has a reputation for quality service and competitive, transparent pricing. Finally, we also offer synergistic payment services over the Boss Revolution platform that customers can conveniently access from their accounts. In our view, these factors represent competitive advantages.

 

However, some of our competitors have significantly greater financial resources and name recognition, and are capable of providing comparable service levels and pricing through established brands. Consequently, our ability to maintain and/or to capture additional market share will remain dependent upon our ability to continue to provide competitively priced services, expand our distribution and retail networks, improve our ability to reach and sell to customers through mobile devices, develop successful new products and services to fit the evolving needs of our customers, and continue to build the brand equity of Boss Revolution.

 

Wholesale Termination Services 

The wholesale carrier industry has numerous entities competing for the same customers, primarily based on price, products and quality of service.

 

In our Wholesale Termination Services business, we participate in a global market place with:

 

interexchange carriers and other long distance resellers and providers, including large carriers such as AT&T and Verizon;

 

historically state-owned or state-sanctioned telephone companies such as Telefonica, France Telecom and KDDI;

 

on-line, spot-market trading exchanges for voice minutes;

 

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OTT internet telephony providers;

 

other VoIP providers;

 

other providers of international long distance services; and

 

alliances between large multinational carriers that provide wholesale carrier services.

  

Our Wholesale Termination Services business derives a competitive advantage from several inter-related factors: our Retail Communications business generates large volumes of originating minutes, which represents a desirable, tradable asset that helps us win return traffic and obtain beneficial pricing which we can offer in the wholesale arena; the proprietary technologies powering our wholesale platform and in particular, the software that drives voice over internet protocols enables us to scale up at a lower cost than many of our competitors; our professional and experienced account management; and our extensive network of interconnects around the globe, with the ability to connect in whatever format (IP or TDM) that is most feasible. In aggregate, these factors provide us with a competitive advantage over some participants on certain routes.

 

Payment Services 

The major competitors to Payment Services’ international airtime top-up offerings include:

 

international mobile operators, who seek to control more of their own distribution channel or create their own products that are directly competitive to international airtime top-up;

 

other distributors, who develop a more comprehensive product offering than our international airtime top-up offerings or aggressively discount their product offerings that are similar to our international airtime top-up offerings; and

 

international money transfer services that target foreign born communities in the United States.

  

Consumer Phone Services 

We offer long distance phone services to residential and business customers in the United States. We also offer local and long distance phone services bundled for a flat monthly rate in 11 states. The U.S. consumer phone services industry is characterized by intense competition, with numerous providers competing for a declining number of wireline customers, leading to a high churn rate because customers frequently change providers in response to offers of lower rates or promotional incentives.

 

The regional bell operating companies, or RBOCs, remain our primary competitors in the local exchange market. We are also competing with providers offering communications service over broadband connections using VoIP technology, such as cable companies and independent VoIP providers. Companies also provide voice telephony services over broadband Internet connections, allowing users of these Internet services, such as Vonage and Skype, to obtain communications services without subscribing to a conventional telephone line. Mobile wireless companies are deploying wireless technology as a substitute for traditional wireline local telephones. Electric utilities have existing assets (in the form of “last mile” connections to the customer’s premises), very large back-office support organizations and access to low-cost capital that could allow them to enter a telecommunications market rapidly and accelerate network development.

 

Due to changes in the U.S. regulatory environment that affected our cost of provisioning bundled local/long distance phone services and increased competition, we ceased marketing activities for this service, and as a result, our Consumer Phone Services business has declined significantly.

 

Zedge 

 

Zedge faces competition in various forms. Ringtones and wallpapers are a commodity and many smaller apps and websites offer both free and paid ringtones and wallpapers. Zedge faces competition from apps that offer mobile customization content, a wide variety of smaller personalization content providers and app discovery services. We believe that Zedge has a competitive advantage due to its large user base, modular approach to providing customization content, large catalogue of content, its proprietary recommendation engine, its market ranking and its longevity. Zedge is unaware of any service that maintains a content library as extensive as Zedge’s library, or curates the content in such a relevant and easy to use fashion.

 

REGULATION 

 

The following summary of regulatory developments and legislation is intended to describe what we believe to be the most important, but not all, current and proposed international, federal, state and local laws, regulations, orders and legislation that are likely to materially affect us.

 

Regulation of Telecom in the United States 

Telecommunications services are subject to extensive government regulation at both the federal and state levels in the United States. Any violations of the regulations may subject us to enforcement actions, including interest and penalties. The FCC has jurisdiction over all telecommunications common carriers to the extent they provide interstate or international communications services. Each state regulatory commission has jurisdiction over the same carriers with respect to their provision of local and intrastate communications services. Local governments often indirectly regulate aspects of our communications business by imposing zoning requirements, taxes, permit or right-of-way procedures or franchise fees. Significant changes to the applicable laws or regulations imposed by any of these regulators could have a material adverse effect on our business, operating results and financial condition.

 

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Regulation of Telecom by the Federal Communications Commission 

The FCC has jurisdiction over all U.S. telecommunications service providers to the extent they provide interstate or international communications services, including the use of local networks to originate or terminate such services.

 

Universal Service and Other Regulatory Fees and Charges 

In 1997, the FCC issued an order, referred to as the Universal Service Order that requires all telecommunications carriers providing interstate telecommunications services to contribute to universal service support programs administered by the FCC (known as the Universal Service Fund). In addition, beginning in October 2006, interconnected VoIP providers, such as our subsidiary Net2Phone, are required to contribute to the Universal Service Fund. These periodic contributions are currently assessed based on a percentage of each contributor’s interstate and international end user telecommunications revenues reported to the FCC. We also contribute to several other regulatory funds and programs, most notably Telecommunications Relay Service, FCC Regulatory Fees, and Local Number Portability (collectively, the Other Funds). We and most of our competitors pass through Universal Service Fund and Other Funds contributions as part of the price of our services, either as part of the base rate or, to the extent allowed, as a separate surcharge on customer bills. Due to the manner in which these contributions are calculated, we cannot be assured that we fully recover from our customers all of our contributions. In addition, based on the nature of our current business, we receive certain exemptions from federal Universal Service Fund contributions. Changes in our business could eliminate our ability to qualify for some or all of these exemptions. As a result, our ability to pursue certain new business opportunities in the future may be constrained in order to maintain these exemptions, the elimination of which could materially affect the rates we would need to charge for existing services. Changes in regulation may also have an impact on the availability of some or all of these exemptions. If even some of these exemptions become unavailable, they could materially increase our federal Universal Service Fund or Other Funds’ contributions and have a material adverse effect on the cost of our operations and, therefore, on our ability to continue to operate profitably, and to develop and grow our business. We cannot be certain of the stability of the contribution factors for the Other Funds. Significant increases in the contribution factor for the Other Funds in general and the Telecommunications Relay Service Fund in particular can impact our profitability. Whether these contribution factors will be stable in the future is unknown, but it is possible that we will be subject to significant increases.

 

Interconnection and Unbundled Network Elements 

FCC rule changes relating to unbundling have resulted in increased costs to purchase services and increased uncertainty regarding the financial viability of providing service using unbundled network elements. As a result, starting in 2006, we placed our Consumer Phone Services business in “harvest mode,” wherein we seek to retain existing customers but do not actively market to new customers.

 

We continue to negotiate interconnection arrangements with Incumbent Local Exchange Carriers, or ILECs, generally on a state-by-state basis, for our Consumer Phone Services business as well as other businesses. These agreements typically have terms of two or three years and need to be periodically renewed and renegotiated. While current FCC rules and regulations require the incumbent provider to provide certain network elements necessary for us to provision end-user services on an individual and combined basis, we cannot assure that the ILECs will provide these components in a manner and at a price that will support competitive operations.

 

Access Charges 

As a provider of long distance services, we remit access fees directly to local exchange carriers or indirectly to our underlying long distance carriers for the origination and termination of our long distance telecommunications traffic. Generally, intrastate access charges are higher than interstate access charges. Therefore, to the degree access charges increase or a greater percentage of our long distance traffic becomes intrastate, our costs of providing long distance services will increase. Similarly, as a local exchange provider, we bill access charges to long distance providers for the termination of those providers’ long distance calls. Accordingly, as opposed to our long distance business, our local exchange business benefits from the receipt of intrastate and interstate long distance traffic. Under FCC rules, our interstate access rates must be set at levels no higher than those of the ILEC in each area we serve, which limits our ability to seek increased revenue from these services. Some, but not all, states have similar restrictions on our intrastate access charges.

 

For nearly a decade, the FCC has had open regulatory proceedings in which it has considered reforming “intercarrier compensation,” which is a term that covers the payments that carriers bill and remit to each other—access charges and reciprocal compensation, generally—for the use of telecommunications networks to originate and terminate phone calls. On November 18, 2011, the FCC released a Report and Order and Further Notice of Proposed Rulemaking wherein it set forth a schedule which, over a period of several years, substantially reduces terminating access rates. Since we both make payments to and receive payments from other carriers for terminating long distance calls, the FCC’s action has the effect of reducing payments we receive from other carriers while also reducing our costs to terminate our long distance calls. The FCC has also raised the possibility – which it has yet to conclusively act upon – that it will reduce originating access charges in a similar manner. Due to the nature of IDT’s business, IDT pays, but does not bill originating access charges. At this time we cannot predict the effect future FCC actions may have upon our business.

 

Customer Proprietary Network Information 

In 2007, the FCC increased its regulatory oversight of Customer Proprietary Network Information, or CPNI. The FCC took this increased role in response to several high-profile cases of “pretexting,” which occurs when an individual secures, through deception, from a communications provider the private phone records of another person. We have a CPNI compliance policy in place and we believe we currently meet or exceed all FCC requirements for the protection of CPNI. However, we cannot be assured that we are in full compliance and if the FCC were to conclude that we were not in compliance, we could be subject to fines or other forms of sanction.

 

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Regulation of Telecom by State Public Utility Commissions 

Our telecommunications services that originate and terminate within the same state, including both local and in-state long distance services are subject to the jurisdiction of that state’s public utility commission. The Communications Act of 1934, as amended, generally preempts state statutes and regulations that prevent the provision of competitive services, but permits state public utility commissions to regulate the rates, terms and conditions of intrastate services, so long as such regulation is not inconsistent with the requirements of federal law. We are certified to provide facilities-based and/or resold long distance service in all 50 states and facilities-based and resold local exchange service in 45 states. In addition to requiring certification, state regulatory authorities may impose tariff and filing requirements, consumer protection measures, and obligations to contribute to universal service and other funds. Rates for intrastate switched access services, which we both pay to local exchange companies and collect from long-distance companies for terminating in-state toll calls, are subject to the jurisdiction of the state commissions. State commissions also have jurisdiction to approve negotiated rates, or establish rates through arbitration, for interconnection, including rates for unbundled network elements. Changes in those access charges or rates for unbundled network elements could have a substantial and material impact on our business.

 

Regulation of Telecom—International 

In connection with our international operations, we have obtained licenses or are otherwise authorized to provide telecommunications services in various foreign countries. We have obtained licenses or authorizations in Argentina, Australia, Austria, Belgium, Brazil, Canada, Chile, Denmark, France, Germany, Greece, Hong Kong, Ireland, Italy, Japan, Mexico, the Netherlands, Peru, Portugal, Singapore, South Africa, Spain, Sweden, Switzerland, the United Kingdom and Uruguay. In numerous countries where we operate or plan to operate, we are subject to many local laws and regulations that, among other things, may restrict or limit the ability of telecommunications companies to provide telecommunications services in competition with state-owned or state-sanctioned dominant carriers.

 

Regulation of Internet Telephony 

The use of the Internet and private IP networks to provide voice communications services is generally less regulated than traditional switch-based telephony within the United States and abroad and, in many markets, is not subject to the imposition of certain taxes and fees that increase our costs. As a result, IDT is able, in many markets, to offer VoIP communications services at rates that are more attractive than those applicable to traditional telephone services. However, in the U.S. and abroad, there have been efforts by legislatures and regulators to harmonize the regulatory structures between traditional switch-based telephony and VoIP. This could result in additional fees, charges, taxes and regulations on IP communications services that could materially increase our costs and may limit or eliminate our competitive pricing advantages. Additionally, several foreign governments have adopted laws and/or regulations that could restrict or prohibit the provision of voice communications services over the Internet or private IP networks. These efforts could likewise harm our ability to offer VoIP communications services.

 

Money Transmitter and Payment Instrument Laws and Regulations 

We have further developed our business in the area of consumer payment services. Our offerings now include money transfer, which launched in the first quarter of 2014, and various network branded or “open loop” prepaid card offerings. These industries are heavily regulated. Accordingly, we, and the products and services that we market in the area of consumer payment services, are subject to a variety of federal and state laws and regulations, including:

 

Banking laws and regulations;

 

Money transmitter and payment instrument laws and regulations;

 

Anti-money laundering laws;

 

Privacy and data security laws and regulations;

 

Consumer protection laws and regulations;

 

Unclaimed property laws; and

 

Card association and network organization rules.

 

In connection with the development of our money transmission services and the expansion of our network branded prepaid card offerings, we have actively pursued our own money transmitter licenses. As of July 31, 2014, we had money transmitter licenses in 45 of the 47 states where they are required as well as in Puerto Rico and Washington, D.C.

 

Regulation of Other Businesses 

We operate other smaller or early-stage initiatives and operations, which may be subject to federal, state, local or foreign law and regulation.

 

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Intellectual Property 

We rely on a combination of patents, copyrights, trademarks, domain name registrations and trade secret laws in the United States and other jurisdictions and contractual restrictions to protect our intellectual property rights and our brand names. All of our employees sign confidentiality agreements. These agreements provide that the employee may not use or disclose our confidential information except as expressly permitted in connection with the performance of his or her duties for us, or in other limited circumstances. These agreements also state that, to the extent rights in any invention conceived by the employee while employed by us do not vest in the Company automatically by operation of law, the employee is required to assign his or her rights to us.

 

We own at least 290 trademark and service mark registrations and pending applications in the United States and at least 390 pending applications and registrations abroad. We protect our brands in the marketplace including the IDT, Boss Revolution and Net2Phone brands. Where deemed appropriate, we have filed trademark applications throughout the world in an effort to protect our trademarks. Where deemed appropriate, we have also filed patent applications in an effort to protect our patentable intellectual property. IDT Corporation owns 11 issued patents and 8 patent applications in the United States and 10 patents issued abroad with 16 patent applications pending abroad.

 

We maintain a global telecommunications switching and transmission infrastructure that enables us to provide an array of telecommunications, Internet access and Internet telephony services to our customers worldwide. We have domestic and foreign patents and patent applications regarding our infrastructure and/or global telecommunication network for our international telecommunications traffic and the international traffic of other telecommunications companies.

 

Circumstances outside our control could pose a threat to our intellectual property rights. For example, effective intellectual property protection may not be available in every country in which our products and services are distributed. Also, the efforts we have taken to protect our proprietary rights may not be sufficient or effective. Any significant impairment of our intellectual property rights could harm our business or our ability to compete. Also, protecting our intellectual property rights is costly and time consuming. Any increase in the unauthorized use of our intellectual property could make it more expensive to do business and harm our operating results.

 

Companies in the telecommunications industry and other industries in which we compete own large numbers of patents, copyrights and trademarks and frequently enter into litigation based on allegations of infringement or other violations of intellectual property rights. As we face increasing competition, the possibility of intellectual property claims against us grows. Although we do not believe that we infringe upon the intellectual property rights of others, our technologies may not be able to withstand any third-party claims or rights against their use.

 

IDT Telecom 

In addition to IDT Corporation’s patents, our Net2Phone subsidiary currently owns 38 issued patents and has 4 pending patent applications in the United States. Net2Phone has 8 foreign issued patents, and no patent applications pending abroad.

 

Net2Phone owns at least 18 trademark and service mark registrations and at least 2 pending applications in the United States. Net2Phone owns at least 113 trademark and service mark registrations and at least 2 pending applications in various foreign countries. Net2Phone’s most important mark is “NET2PHONE.” Net2Phone has made a significant investment in protecting this mark, and Net2Phone believes it has achieved recognition in the United States and abroad. Net2Phone is currently engaged in an international filing program to file trademark applications for trademark registrations of the mark NET2PHONE in a number of foreign countries.

 

Zedge 

Zedge owns at least 7 trademark/service mark registrations and at least 3 pending applications in the United States and in various foreign countries. Zedge’s most important mark is “ZEDGE.” Zedge has made a significant investment in protecting this mark and the other marks it is seeking to protect. Zedge is currently pursuing additional domestic and foreign trademark applications to expand protection for its “ZEDGE” trademark and other trade names. While Zedge cannot insure that there will be no opposition to its current applications, no such opposition currently exists.

 

Other 

We also currently own three patents and three pending patent applications and three registrations in the United States that relate to business operations we oversee or businesses-in-development. We also own or license certain trademark and service mark registrations and pending applications in the United States and additional registrations abroad.

 

RESEARCH AND DEVELOPMENT 

 

We incurred $10.0 million, $7.2 million and $4.6 million on research and development during fiscal 2014, fiscal 2013 and fiscal 2012, respectively, all related to Fabrix.

 

EMPLOYEES 

 

As of October 1, 2014, we had a total of approximately 1,570 employees, of which approximately 1,560 are full-time employees. 

 

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Item 1A. Risk Factors.

 

RISK FACTORS 

 

Our business, operating results or financial condition could be materially adversely affected by any of the following risks as well as the other risks highlighted elsewhere in this document, particularly the discussions about regulation, competition and intellectual property. The trading price of our Class B common stock could decline due to any of these risks.

 

Risks Related to Our Businesses 

Each of our telecommunications lines of business is highly sensitive to declining prices, which may adversely affect our revenues and margins.

 

The worldwide telecommunications industry is characterized by intense price competition, which has resulted in declines in both our average per-minute price realizations and our average per-minute termination costs. Many of our competitors continue to aggressively price their services. The intense competition has led to continued erosion in our pricing power, in both our retail and wholesale markets, and we have generally had to pass along all or some of the savings we achieve on our per-minute costs to our customers in the form of lower prices. Any increase by us in pricing may result in our prices not being as attractive, which may result in a reduction of revenue. If these trends in pricing continue or increase, it could have a material adverse effect on the revenues generated by our telecommunications businesses and/or our gross margins.

 

Because our prepaid products, including Boss Revolution products, generate a significant portion of our revenue, our growth and our results of operations are substantially dependent upon growth in these products and these products continue to face significant competition, which has adversely affected our profitability in recent years and may continue to adversely affect our profitability.

 

Because of the significant percentage of our revenues generated by our retail products, our results of operations and future growth significantly depend on the performance of these products.

 

We compete in the prepaid calling market with many of the established facilities-based carriers, such as AT&T, Verizon and Sprint, and with providers of alternative telecommunications services such as Mobile Virtual Network Operators and other prepaid wireless providers. These companies are substantially larger and have greater financial, technical, engineering, personnel and marketing resources, longer operating histories, greater name recognition and larger customer bases than we do. The use by these competitors of their resources in or affecting the international prepaid calling market could significantly impact our ability to compete against them successfully. In addition to these larger competitors, we face significant competition from smaller prepaid calling providers, who from time-to-time offer rates that are substantially below our rates, and in some instances below what we believe to be the cost to provide the service, in order to gain market share. This type of pricing by one or more competitors can adversely affect our revenues, as they gain market share at our expense, and our gross margins, if we lower rates in order to better compete.

 

The continued growth of the use of Internet protocol-based services has adversely affected the sales of our traditional prepaid calling cards as customers migrate from using calling cards to using these alternative services. We expect pricing of IP-based services to continue to decrease, which may result in increased substitution and increased pricing pressure on our international prepaid calling sales and margins.

 

Certain wireless operators have been rolling out unlimited international long distance plans that include international destinations to which customers can place direct calls from their mobile phones without time limitation. Currently, applicable destinations are limited. As more international destinations are added to “international unlimited” plans, this can adversely affect our revenues, as these operators gain subscriber market share.

 

In addition, like all international calling services, our Boss Revolution products are subject to fierce competition. Whether it is direct competitors, who offer similar calling services, or indirect competitors such as wireless service providers and VoIP carriers, which offer alternative international calling services, competitors that offer alternatives to Boss Revolution try to attract their potential distributors and international callers with aggressive pricing and promotion. This competition can adversely affect the revenues and profitability of our Boss Revolution products.

 

We may not be able to obtain sufficient or cost-effective termination capacity to particular destinations.

 

Most of our telecommunications traffic is terminated through third-party providers. In order to support our minutes-of-use demands and geographic footprint, we may need to obtain additional termination capacity or destinations. We may not be able to obtain sufficient termination capacity from high-quality carriers to particular destinations or may have to pay significant amounts to obtain such capacity. This could result in our not being able to support our minutes-of-use demands or in higher cost-per-minute to particular destinations, which could adversely affect our revenues and margins.

 

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The termination of our carrier agreements with foreign partners or our inability to enter into carrier agreements in the future could materially and adversely affect our ability to compete, which could reduce our revenues and profits.

 

We rely upon our carrier agreements with foreign partners in order to provide our telecommunications services to our customers. These carrier agreements are for finite terms and, therefore, there can be no guarantee that these agreements will be renewed at all or on favorable terms to us. Our ability to compete would be adversely affected if our carrier agreements were terminated or we were unable to enter into carrier agreements in the future to provide our telecommunications services to our customers, which could result in a reduction of our revenues and profits.

 

As our international airtime top-up business grows and more competitors enter this space, our ability to secure competitive direct or indirect, exclusive or non-exclusive, agreements with international wireless operators to have access and to resell their in-country airtime top-ups could become more difficult or less attractive, thereby having an adverse effect on our revenues and operations.

 

Our customers, particularly our Wholesale Termination Services customers, could experience financial difficulties, which could adversely affect our revenues and profitability if we experience difficulties in collecting our receivables.

 

As a provider of international long distance services, we depend upon sales of transmission and termination of traffic to other long distance providers and the collection of receivables from these customers. The wholesale telecommunications market continues to feature many smaller, less financially stable companies. If weakness in the telecommunications industry or the global economy reduces our ability to collect our accounts receivable from our major customers, particularly our wholesale customers, our profitability may be substantially reduced. Moreover, the recent economic recession both in the United States and elsewhere may affect our customers’ access to liquidity and impair our ability to collect on receivables. While our most significant customers, from a revenue perspective, vary from quarter to quarter, our five largest Wholesale Termination Services customers collectively accounted for 5.1% of total consolidated revenues from continuing operations in both fiscal 2014 and fiscal 2013. Our Wholesale Termination Services customers with the five largest receivables balances collectively accounted for 17.7% and 11.3% of the consolidated gross trade accounts receivable at July 31, 2014 and 2013, respectively. This concentration of revenues and receivables increases our exposure to non-payment by our larger customers, and we may experience significant write-offs if any of our large customers fail to pay their outstanding balances, which could adversely affect our revenues and profitability.

 

Our revenues will suffer if our distributors and sales representatives fail to effectively market and distribute our Boss Revolution voice and payment services, as well as our traditional disposable calling cards.

 

We rely on our distributors and representatives to market and distribute our traditional disposable prepaid calling card products, our Boss Revolution products, and our international airtime top-up offerings and other payment services. We utilize a network of several hundred sub-distributors that sell our traditional disposable prepaid calling cards, Boss Revolution products, and international airtime top-up to retail outlets throughout most of the United States.

 

In foreign countries, we are dependent upon our distributors and independent sales representatives, many of which sell services or products for other companies. As a result, we cannot control whether these foreign distributors and sales representatives will devote sufficient efforts to selling our services. In addition, we may not succeed in finding capable distributors, retailers and sales representatives in new markets that we may enter. If our distributors or sales representatives fail to effectively market or distribute our prepaid calling card products, Boss Revolution products, international airtime top-up offerings and other services, our ability to generate revenues and grow our customer base could be substantially impaired.

 

Natural or man-made disasters could have an adverse effect on our technological infrastructure.

 

Natural disasters, terrorist acts, acts of war, cyber-attacks or other breaches of network or information technology security may cause equipment failures or disrupt our operations. Our inability to operate our telecommunications networks as a result of such events, even for a limited period of time, may result in significant expenses and/or loss of market share to other communications providers, which could have a material adverse effect on our results of operations and financial condition.

 

Certain functions related to our business, particularly the business of IDT Telecom, depend on a single supplier or small group of suppliers to carry out its business, and the inability to do business with some or all of these suppliers could have a materially adverse effect on our business and financial results.

 

Certain functions related to our business, particularly the business of IDT Telecom, depend on a single supplier or small group of suppliers to carry out its business. Were the services of any one of them to become unavailable or available only in decreased capacity or at less advantageous terms, this could result in interruptions to our ability to provide certain services, could cause reduction in service and/or quality as the function is transitioned to an alternate provider, if any alternate provider is available, or could increase our cost, which in the current competitive environment, we may not be able to pass along to customers. Accordingly, any of these events could materially and negatively impact our business, our revenues, our margins, and our relationships with customers.

 

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We could be harmed by network disruptions, security breaches, or other significant disruptions or failures of our IT infrastructure and related systems or of those we operate for certain of our customers.

 

To be successful, we need to continue to have available, for our and our customers’ use, a high capacity, reliable and secure network. We face the risk, as does any company, of a security breach, whether through cyber-attacks, malware, computer viruses, sabotage, or other significant disruption of our IT infrastructure and related systems. As such, there is a risk of a security breach or disruption of the systems we operate, including possible unauthorized access to our and our customers’ proprietary or classified information. We are also subject to breaches of our network resulting in unauthorized utilization of our services or products, which subject us to the costs of providing those products or services, which are likely not recoverable. The secure maintenance and transmission of our and our customer’s information is a critical element of our operations. Our information technology and other systems that maintain and transmit customer information, or those of service providers or business partners, may be compromised by a malicious third party penetration of our network security, or that of a third party service provider or business partner, or impacted by advertent or inadvertent actions or inactions by our employees, or those of a third party service provider or business partner. As a result, our or our customers’ information may be lost, disclosed, accessed or taken without the customers’ consent, or our products and services may be used without payment.

 

Although we make significant efforts to maintain the security and integrity of these types of information and systems, there can be no assurance that our security efforts and measures will be effective or that attempted security breaches or disruptions would not be successful or damaging, especially in light of the growing sophistication of cyber-attacks and intrusions. We may be unable to anticipate all potential types of attacks or intrusions or to implement adequate security barriers or other preventative measures. Certain of our business units have been the subject of attempted and successful cyber-attacks in the past.  We have researched the situations and do not believe any material information, internal or customer, has been compromised.

 

Network disruptions, security breaches and other significant failures of the above-described systems could (i) disrupt the proper functioning of our networks and systems and therefore our operations or those of certain of our customers; (ii) result in the unauthorized use of our services or products without payment, (iii) result in the unauthorized access to, and destruction, loss, theft, misappropriation or release of proprietary, confidential, sensitive or otherwise valuable information of ours or our customers, including trade secrets, which others could use to compete against us or for disruptive, destructive or otherwise harmful purposes and outcomes; (iv) require significant management attention or financial resources to remedy the damages that result or to change our systems and processes; (v) subject us to claims for contract breach, damages, credits, fines, penalties, termination or other remedies; or (vi) result in a loss of business, damage our reputation among our customers and the public generally, subject us to additional regulatory scrutiny or expose us to litigation. Any or all of which could have a negative impact on our results of operations, financial condition and cash flows.

 

Our business is subject to a wide range of laws and regulations intended to help detect and prevent illegal or illicit activity and our failure, or the failure of one of our disbursement partners or payment processors to comply with those laws and regulations could harm our business, financial condition and results of operations.

 

Our money transfer and network branded prepaid card services are subject to an increasingly strict set of legal and regulatory requirements intended to help detect and prevent money laundering, terrorist financing, fraud and other illicit activity. The interpretation of those requirements by judges, regulatory bodies and enforcement agencies is changing, often quickly and with little notice. Economic and trade sanctions programs that are administered by the U.S. Treasury Department’s Office of Foreign Assets Control, or OFAC, prohibit or restrict transactions to or from or dealings with specified countries, their governments, and in certain circumstances, with individuals and entities that are specially-designated nationals of those countries, narcotics traffickers and terrorists or terrorist organizations. As federal, state and foreign legislative regulatory scrutiny and enforcement action in these areas increase, we expect our costs to comply with these requirements will increase, perhaps substantially. Failure to comply with any of these requirements by us, our regulated retailers or our disbursement partners could result in the suspension or revocation of a money transmitter license, the limitation, suspension or termination of our services, the seizure and/or forfeiture of our assets and/or the imposition of civil and criminal penalties, including fines.

 

The foregoing laws and regulations are constantly evolving, unclear and inconsistent across various jurisdictions, making compliance challenging. If we fail to update our compliance system to reflect legislative or regulatory developments, we could incur penalties. New legislation, changes in laws or regulations, implementing rules and regulations, litigation, court rulings, changes in industry practices or standards, changes in systems rules or requirements or other similar events could expose us to increased compliance costs, liability, reputational damage, and could reduce the market value of our money transfer and network branded prepaid card services or render them less profitable or obsolete.

 

We provide communications services to consumers and are therefore subject to various Federal and state laws and regulations.

 

As a provider of communications services to consumers, such as our Boss Revolution international calling service or our prepaid calling card services, we are subject to various Federal and state laws and regulations relating to the manner in which we advertise our services, describe and present the terms of our services, and communicate with our consumers. Compliance with these laws requires us to be constantly vigilant as they often vary from state to state. Failure to comply with these laws, could result in action being taken by Federal and state agencies or offices responsible for consumer protection, like the Federal Trade Commission.

 

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We are subject to licensing and other requirements imposed by U.S. state regulators, and the U.S. federal government. If we were found to be subject to or in violation of any laws or regulations governing money transmitters, we could lose our licenses, be subject to liability or be forced to change our business practices.

 

A number of states have enacted legislation regulating money transmitters. As of July 31, 2014, we had obtained licenses to operate as a money transmitter in 45 U.S. states, Washington, D.C. and Puerto Rico, and have applications pending in one additional state. We are also registered as money services businesses with the Financial Crimes Enforcement Network of the U.S. Department of the Treasury, or FinCEN. As a licensed money transmitter, we are subject to bonding requirements, liquidity requirements, restrictions on our investment of customer funds, reporting requirements and inspection by state and foreign regulatory agencies. If we were found to be subject to and in violation of any banking or money services laws or regulations, we could be subject to liability or additional restrictions, such as increased liquidity requirements. In addition, our licenses could be revoked or we could be forced to cease doing business or change our practices in certain states or jurisdictions, or be required to obtain additional licenses or regulatory approvals that could impose a substantial cost on us. Regulators could also impose other regulatory orders and sanctions on us. Any change to our business practices that makes our service less attractive to customers or prohibits use of our services by residents of a particular jurisdiction could decrease our transaction volume and harm our business.

 

Our business is subject to strict regulation under federal law regarding anti-money laundering and anti-terrorist financing. Failure to comply with such laws, or abuse of our programs for purposes of money laundering or terrorist financing, could have a material adverse impact on our business.

 

Provisions of the USA PATRIOT Act, the Bank Secrecy Act and other federal laws impose substantial regulations on financial institutions that are designed to prevent money laundering and the financing of terrorist organizations. Increasing regulatory scrutiny of our industry with respect to money laundering and terrorist financing matters could result in more aggressive enforcement of these laws or the enactment of more onerous regulation, which could have a material adverse impact on our business. In addition, abuse of our money transfer services or prepaid card programs for purposes of money laundering or terrorist financing, notwithstanding our efforts to prevent such abuse through our regulatory compliance and risk management programs, could cause reputational or other harm that would have a material adverse impact on our business.

  

The Dodd-Frank Act, as well as the regulations required by the Dodd-Frank Act, and the creation of the Consumer Financial Protection Bureau could harm us and the scope of our activities, and could harm our operations, results of operations and financial condition.

 

The Dodd-Frank Act, which became law in the United States on July 21, 2010, calls for significant structural reforms and new substantive regulation across the financial services industry. In addition, the Dodd-Frank Act created the Consumer Financial Protection Bureau, or CFPB, whose purpose is to issue and enforce consumer protection initiatives governing financial products and services, including money transfer services.

 

We may be subject to examination by the CFPB, which has broad authority to enforce consumer financial laws. In July 2011, many consumer financial protection functions formerly assigned to the federal banking agency and other agencies were transferred to the CFPB. The CFPB has a large budget and staff and has broad authority with respect to our money transfer service and related business. It is authorized to collect fines and provide consumer restitution in the event of violations, engage in consumer financial education, track consumer complaints, request data and promote the availability of financial services to underserved consumers and communities. In addition, the CFPB may adopt other regulations governing consumer financial services, including regulations defining unfair, deceptive or abusive acts or practices, and new model disclosures. The CFPB’s authority to change regulations adopted in the past by other regulators, or to rescind or alter past regulatory guidance, could increase our compliance costs and litigation exposure.

 

The Dodd-Frank Act establishes a Financial Stability Oversight Counsel that is authorized to designate as “systemically important” non-bank financial companies and payment systems. Companies designated under either standard will become subject to new regulation and regulatory supervision. If we were designated under either standard, the additional regulatory and supervisory requirements could result in costly new compliance burdens or may require changes in the way we conduct business that could harm our business.

 

Our disbursement partners generally are regulated institutions in their home jurisdiction, and money transfers are regulated by governments in both the United States and in the jurisdiction of the recipient. If our disbursement partners fail to comply with applicable laws, it could harm our business.

 

Money transfers are regulated by state, federal and foreign governments. Many of our disbursement partners are banks and are heavily regulated by their home jurisdictions. Our non-bank disbursement partners are also subject to money transfer regulations. We require regulatory compliance as a condition to our continued relationship, perform due diligence on our disbursement partners and monitor them periodically with the goal of meeting regulatory expectations. However, there are limits to the extent to which we can monitor their regulatory compliance. Any determination that our disbursement partners or their sub-disbursement partners have violated laws and regulations could seriously damage our reputation, resulting in diminished revenue and profit and increased operating costs. While our services are not directly regulated by governments outside the United States, except with respect to our Gibraltar bank as discussed below, it is possible that in some cases we could be liable for the failure of our disbursement partners or their sub-disbursement partners to comply with laws, which also could harm our business, financial condition and results of operations.

 

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Our bank in Gibraltar is regulated by the Gibraltar Financial Services Commission (the FSC), and, as such, is subject to Gibraltarian and European Union laws relating to financial institutions. As an issuer of prepaid debit cards for programs operated by other entities, commonly known as program managers, the bank is responsible, inter alia, for anti-money laundering laws oversight and compliance. If we were to fail to implement the requisite controls or follow the rules and procedures mandated by the FSC and applicable law, we could be subject to regulatory fines, and even the loss of our banking license.

 

We receive, store, process and use personal information and other data, which subjects us to governmental regulation and other legal obligations related to privacy. Our actual or perceived failure to comply with such obligations could harm our business.

 

We receive, store and process personal information and other customer data, including bank account numbers, credit and debit card information, identification numbers and images of government identification cards. As a result, we are required to comply with the privacy provisions of the Gramm-Leach-Bliley Act of 1999, or the Gramm-Leach-Bliley Act, and the Payment Card Industry Data Security Standard. There are also numerous other federal, state and local laws around the world regarding privacy and the storing, sharing, use, processing, disclosure and protection of personal information and other customer data, the scope of which are changing, subject to differing interpretations, and may be inconsistent among different jurisdictions or conflict with other applicable rules. It is possible that these obligations may be interpreted and applied in a manner that is inconsistent from one jurisdiction to another and may conflict with other rules or our business practices.

 

Additionally, with advances in computer capabilities and data protection requirements to address ongoing threats, we may be required to expend significant capital and other resources to protect against potential security breaches or to alleviate problems caused by security breaches.

 

Any failure or perceived failure by us to comply with our privacy policies, our privacy-related obligations to customers or other third parties, or our privacy-related legal obligations, or any compromise of security that results in the unauthorized release or transfer of personally identifiable information or other customer data, may result in governmental enforcement actions, fines or litigation. If there is a breach of credit or debit card information that we store, we could also be liable to the issuing banks for their cost of issuing new cards and related expenses. In addition, a significant breach could result in our being prohibited from processing transactions for any of the relevant network organizations, such as Visa or MasterCard, which would harm our business. If any third parties with whom we work, such as marketing partners, vendors or developers, violate applicable laws or our policies, such violations may put our customers’ information at risk and could harm our business. Any negative publicity arising out of a data breach or failure to comply with applicable privacy requirements could damage our reputation and cause our customers to lose trust in us, which could harm our business, results of operations, financial position and potential for growth.

 

We could fail to comply with requirements imposed on us by certain third parties, including regulators.

 

An increasingly significant portion of our telecom transactions are processed using credit cards and similar payment methods. As we shift from sales through our traditional distribution channels to newer platforms, including Boss Revolution and platforms utilized by our payment services business, that portion is expected to increase and that growth is dependent on utilizing such payment methods. The banks, credit card companies and other relevant parties are imposing strict system and other requirements in order to participate in such parties’ payment systems. We are required to comply with the privacy provisions of various federal and state privacy statutes and regulations, and the Payment Card Industry Data Security Standard, each of which is subject to change at any time. Compliance with these requirements is often difficult and costly, and our failure, or our distributors’ failure, to comply may result in significant fines or civil penalties, regulatory enforcement action, liability under or termination of necessary agreements related to our payment services business, each of which could have a material adverse effect on our financial position and/or operations and that of our distributors who could be liable as well. Further, as we move into more payment services in addition to services and products that are solely telecommunications related, those operations may be subject to different and more stringent requirements by regulators and trade organizations in various jurisdictions. Our payment services unit is subject to federal and state banking regulations and we are also subject to further regulation by those states in which we are licensed as a money transmitter. We may not be able to comply with all such requirements in a timely manner or remain in compliance. If we are not in compliance, we could be subject to penalties or the termination of our rights to participate in such payment systems or provide such services, which could have a material negative impact on our ability to carry on and grow our Retail Communications and Payment Services operations.

 

Risks Related to Our Financial Condition 

We hold significant cash, cash equivalents, marketable securities and investments that are subject to various market risks.

 

As of July 31, 2014, we had cash, cash equivalents and marketable securities of $166.7 million and aggregate short-term and long-term restricted cash and cash equivalents of $68.5 million. As of July 31, 2014, we also had $9.5 million in investments in hedge funds, of which $0.1 million was included in “Other current assets” and $9.4 million was included in “Investments” in our consolidated balance sheet. 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, as there can be no assurance that we can redeem the hedge fund investments at any time and that our investment managers will be able to accurately predict the course of price movements of securities and other instruments and, in general, the securities markets have in recent years been characterized by great volatility and unpredictability. As a result of these different market risks, our holdings of cash, cash equivalents, marketable securities and investments could be materially and adversely affected.

 

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Intellectual Property, Tax, Regulatory and Litigation Risks 

We may be adversely affected if we fail to protect our proprietary technology.

 

We depend on proprietary technology and other intellectual property rights in conducting our various business operations. We rely on a combination of patents, copyrights, trademarks and trade secret protection and contractual rights to establish and protect our proprietary rights. Failure of our patents, copyrights, trademarks and trade secret protection, non-disclosure agreements and other measures to provide protection of our technology and our intellectual property rights could enable our competitors to more effectively compete with us and have an adverse effect on our business, financial condition and results of operations.

 

In addition, we may be required to litigate in the future to enforce our intellectual property rights, to protect our trade secrets, to determine the validity and scope of the proprietary rights of others, or to defend against claims of infringement or invalidity. Any such litigation could result in substantial costs and diversion of resources and could have a material adverse effect on our business, financial condition or results of operations, and there can be no assurances that we will be successful in any such litigation.

 

We may be subject to claims of infringement of intellectual property rights of others.

 

From time to time we may be subject to claims and legal proceedings from third parties regarding alleged infringement by us of trademarks, copyrights, patents and other intellectual property rights. Such suits can be expensive and time consuming and could distract us and our management from focusing on our businesses. Further, loss of such suits could result in financial burdens and the requirement to modify our modes of operation, which could materially adversely affect our business.

 

We are subject to tax and regulatory audits which could result in the imposition of liabilities that may or may not have been reserved.

 

We are subject to audits by taxing and regulatory authorities with respect to certain of our income and operations. These audits can cover periods for several years prior to the date the audit is undertaken and could result in the imposition of liabilities, interest and penalties if our positions are not accepted by the auditing entity.

 

Our FCC Form 499-A filings for calendar years 2000 through 2006 related to payments to the Universal Service Fund have been audited by the Internal Audit Division, or IAD, of the Universal Service Administrative Company, or USAC, which concluded that we incorrectly reported certain revenues on Forms 499-A. USAC’s revisions to our filing methodology resulted in additional regulatory payments for the years covered by the audits. While we believe in the accuracy of our filing methodology and our Request for Review remains pending, we have implemented some of the revisions set forth in the IAD’s filings beginning with our calendar year 2010 Form 499-A. We have accrued for all regulatory fees we believe may be incurred under IAD’s methodology from 2002 through the present, in the event our Request for Review is denied and/or our methodology is not upheld on appeal, and we have made certain payments on amounts that have been invoiced to us by USAC and/or other agencies. As of July 31, 2014, our accrued expenses included $42.7 million for these regulatory fees for the years covered by the audit and subsequent years through fiscal 2014. Until a final decision has been reached in our disputes, we will continue to accrue in accordance with IAD’s methodology. If we do not properly calculate, or have not properly calculated, the amount payable by us to the Universal Service Fund, we may be subject to interest and penalties.

 

We are subject to value added tax, or VAT, audits from time-to-time in various jurisdictions. In the conduct of such audits, we may be required to disclose information of a sensitive nature and, in general, to modify the way we have conducted business with our distributors until the present, which may affect our business in an adverse manner.

 

We are also subject to audits in various jurisdictions for various other taxes, including utility excise tax, sales and use tax, communications services tax, gross receipts tax and property tax.

 

Federal and state regulations may be passed that could harm our business.

 

Our ability to provide VoIP communications services at attractive rates arises in large part from the fact that VoIP services are not currently subject to the same level of regulation as traditional, switch-based telephony. The use of the Internet and private IP networks to provide voice communications services is largely unregulated within the United States, although several foreign governments have adopted laws and/or regulations that could restrict or prohibit the provision of voice communications services over the Internet or private IP networks. If interconnected VoIP services become subject to state regulation and/or additional regulation by the FCC, such regulation will likely lead to higher costs and reduce or eliminate the competitive advantage interconnected VoIP holds, by virtue of its lesser regulatory oversight, over traditional telecommunications services. More aggressive regulation of the Internet in general, and Internet telephony providers and services specifically, may materially and adversely affect our business, financial condition and results of operations.

 

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Our ability to offer services outside of the United States is subject to the local regulatory environment, which may be unfavorable, complicated and often uncertain.

 

Regulatory treatment outside the United States varies from country to country. We distribute our products and services through resellers that may be subject to telecommunications regulations in their home countries. The failure of these resellers to comply with these laws and regulations could reduce our revenue and profitability, or expose us to audits and other regulatory proceedings. Regulatory developments such as these could have a material adverse effect on our operating results.

 

In many countries in which we operate or our services are sold, the status of the laws that may relate to our services is unclear. We cannot be certain that our customers, resellers, or other affiliates are currently in compliance with regulatory or other legal requirements in their respective countries, that they or we will be able to comply with existing or future requirements, and/or that they or we will continue in compliance with any requirements. Our failure or the failure of those with whom we transact business to comply with these requirements could materially adversely affect our business, financial condition and results of operations.

 

While we expect additional regulation of our industry in some or all of these areas, and we expect continuing changes in the regulatory environment as new and proposed regulations are reviewed, revised and amended, we cannot predict with certainty what impact new laws in these areas will have on us, if any. For a complete discussion of what we believe are the most material regulations impacting our business, see Item 1 to Part I “Business—Regulation” included elsewhere in this Annual Report.

 

We are subject to legal proceedings in the ordinary course of business that may have a material adverse effect on our business, results of operations, cash flows or financial condition.

 

Various legal proceedings that have arisen or may arise in the ordinary course of business have not been finally adjudicated, which may have a material adverse effect on our results of operations, cash flows or financial condition.

 

Risks Related to Our Capital Structure 

Holders of our Class B common stock have significantly less voting power than holders of our Class A common stock.

 

Holders of our Class B common stock are entitled to one-tenth of a vote per share on all matters on which our stockholders are entitled to vote, while holders of our Class A common stock are entitled to three votes per share. As a result, the ability of holders of our Class B common stock to influence our management is limited.

 

We are controlled by our principal stockholder, which limits the ability of other stockholders to affect our management.

 

Howard S. Jonas, our Chairman of the Board and founder, has voting power over 4,377,888 shares of our common stock (which includes 1,574,326 shares of our Class A common stock, which are convertible into shares of our Class B common stock on a 1-for-1 basis, and 2,803,562 shares of our Class B common stock), representing approximately 72.6% of the combined voting power of our outstanding capital stock, as of October 6, 2014. Mr. Jonas is able to control matters requiring approval by our stockholders, including the election of all of the directors and the approval of significant corporate matters, including any merger, consolidation or sale of all or substantially all of our assets. As a result, the ability of any of our other stockholders to influence our management is limited.

 

Item 1B. Unresolved Staff Comments. 

 

None.

 

Item 2. Properties. 

 

Our headquarters are located in Newark, New Jersey. We own a building that contains approximately 500,000 square feet, along with an 800 car parking garage. We also lease a 75,000 square foot space in Newark, New Jersey, as well as a space in New York, New York. Collectively, these three buildings currently serve as the base for each of our operating segments.

 

We own a building in Piscataway, New Jersey, which is subject to a mortgage that is used by IDT Telecom for certain of its operations. We also lease space in a number of other locations in metropolitan areas primarily to house telecommunications equipment and for our retail communications operations.

 

We maintain our European headquarters in London, England and we own a 12,400 square foot condominium interest in a building in Jerusalem, Israel. We also maintain various international office locations and telecommunications facilities in portions of Europe, South America, Central America, the Middle East, Asia and Africa where we conduct operations.

 

Item 3. Legal Proceedings. 

 

On October 17, 2013, we and Alexsam, Inc., or 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, we paid Alexsam the settlement amount.

 

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In connection with an arbitration hearing with Aerotel, Ltd., or Aerotel, 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, we 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.

 

Our 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. We 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 us in connection with the infringement proceedings, which are based on applicable statutes (for which we have accrued $1.1 million at July 31, 2014), the outcome of this matter is uncertain, and, as such, we are not able to make an assessment of the final result and its impact on us. We 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, we were required to transfer security deposits to the Court. While the security deposit for the Lycatel case was subsequently released to us, at this time the relevant courts have declined to release the security deposit for the Mox case. Mox recently filed for bankruptcy. We are examining our options with respect to the release of this deposit.

 

On May 5, 2004, we 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. We alleged that Tyco breached a settlement agreement that it had entered into with us to resolve certain disputes and civil actions among the parties. We alleged that Tyco did not provide us, as required under the settlement agreement, free of charge and for our exclusive use, a 15-year indefeasible right to use four Wavelengths in Ring Configuration (as defined in the settlement agreement), or Wavelengths, on a global undersea fiber optic network that Tyco was deploying at that time. In June 2004, Tyco asserted several counterclaims against us, alleging that we breached the settlement agreement and are 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 us 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 our appeal and affirming the Appellate Division’s order. On or about November 17, 2009, we 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, we 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 us 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, we 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 that granted Tyco’s motion to dismiss our complaint. On April 30, 2013, Tyco filed a motion for reargument or, in the alternative, leave to appeal to the Court of Appeals, which we 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, we filed our 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. On July 7, 2014, we filed a motion for reargument with the Court of Appeals, which Tyco opposed. On September 11, 2014, the Court denied our motion. We are evaluating our options going forward.

 

In addition to the foregoing, we are 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 we are a party will have a material adverse effect on our results of operations, cash flows or financial condition.

 

Item 4. Mine Safety Disclosures.

 

Not applicable.

 

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Part II

 

Item 5. Market for Registrant’s Common Equity, Related Stockholder Matters and Issuer Purchases of Equity Securities.

 

PRICE RANGE OF COMMON STOCK 

 

Our Class B common stock trades on the New York Stock Exchange under the symbol “IDT”.

 

The table below sets forth the high and low sales prices for our Class B common stock as reported by the New York Stock Exchange for the fiscal periods indicated. On July 31, 2013, we completed the Straight Path Spin-Off, in which 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.

 

   High   Low 
Fiscal year ended July 31, 2013        
First Quarter  $11.00   $9.61 
Second Quarter  $10.57   $8.86 
Third Quarter  $14.94   $9.81 
Fourth Quarter  $21.24   $13.77 
Fiscal year ended July 31, 2014          
First Quarter  $22.73   $15.92 
Second Quarter  $22.92   $16.60 
Third Quarter  $19.32   $15.51 
Fourth Quarter  $18.14   $15.14 

 

On October 6, 2014, there were 510 holders of record of our Class B common stock and 2 holders of record of our Class A common stock. All shares of Class A common stock are beneficially owned by Howard Jonas. These numbers do not include the number of persons whose shares are in nominee or in “street name” accounts through brokers. On October 6, 2014, the last sales price reported on the New York Stock Exchange for the Class B common stock was $15.90 per share.

 

Additional information regarding dividends required by this item is incorporated by reference from the Management’s Discussion and Analysis section found in Item 7 and from Note 13 to the Consolidated Financial Statements.

 

The information required by Item 201(d) of Regulation S-K will be contained in our Proxy Statement for our Annual Stockholders Meeting, which we will file with the Securities and Exchange Commission within 120 days after July 31, 2014, and which is incorporated by reference herein.

 

Performance Graph of Stock 

The line graph below compares the cumulative total stockholder return on our Class B common stock with the cumulative total return of the New York Stock Exchange Composite Index and the Standard & Poor’s Telecommunication Services Index for the five years ended July 31, 2014. The graph and table assume that $100 was invested on July 31, 2009 (the last day of trading for the fiscal year ended July 31, 2009) in each of Class B common stock with the cumulative total return of the NYSE Composite Index and the S&P Telecommunication Services Index, and that all dividends were reinvested. Cumulative total return for our Class B common stock includes the value of spin-offs consummated by IDT (i.e., pro rata distributions of the common stock of a subsidiary to our stockholders). Cumulative total stockholder returns for our Class B common stock, NYSE Composite Index and the S&P Telecommunication Services Index are based on our fiscal year.

 

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Issuer Purchases of Equity Securities 

The following table provides information with respect to purchases by us of our shares during the fourth 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)
 
May 1 – 31, 2014      $        5,064,792 
June 1 – 30, 2014      $        5,064,792 
July 1 – 31, 2014(2)   3,024   $16.75        5,064,792 
Total   3,024   $16.75          

 

(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.
  
(2)Consists of shares of Class B common stock that were tendered by employees of ours to satisfy the employees’ 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.

 

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Item 6. Selected Financial Data.

 

The selected consolidated financial data presented below for each of the fiscal years in the five-year period ended July 31, 2014 has been derived from our Consolidated Financial Statements, which have been audited by Grant Thornton LLP, independent registered public accounting firm. The selected consolidated financial data should be read in conjunction with the Consolidated Financial Statements and the Notes thereto and other financial information appearing elsewhere in this Annual Report.

 

Year Ended July 31,
(in thousands, except per share data)
  2014   2013   2012   2011   2010 
STATEMENT OF OPERATIONS DATA:                    
Revenues  $1,651,541   $1,620,617   $1,506,283   $1,351,416   $1,193,131 
Income from continuing operations   21,010    18,078    30,934    20,987    6,988 
Income from continuing operations per common share—basic   0.85    0.77    1.45    0.98    0.31 
Income from continuing operations per common share—diluted   0.82    0.72    1.36    0.90    0.30 
Cash dividends declared per common share   0.51    0.83    0.66    0.67     
                          
As of July 31,
(in thousands)
   2014    2013    2012    2011    2010 
BALANCE SHEET DATA:                         
Total assets  $480,931   $435,407   $451,114   $568,166   $517,795 
Capital lease obligations—long-term portion                   407 
Notes payable—long term portion   6,353    6,624    29,716    29,564    33,640 

 

Item 7. Management’s Discussion and Analysis of Financial Condition and Results of Operations.

 

This Annual Report 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 this Annual Report. The forward-looking statements are made as of the date of this Annual 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 Securities and Exchange Commission pursuant to the Securities Act of 1933 and the Securities Exchange Act of 1934, including our reports on Forms 10-Q and 8-K.

 

The following discussion should be read in conjunction with the Consolidated Financial Statements and Notes thereto included in Item 8 of this Annual Report.

 

OVERVIEW

 

We are a multinational holding company with operations primarily in the telecommunications and payment industries. We have three reportable business segments, Telecom Platform Services, Consumer Phone Services and Zedge. Telecom Platform Services provides retail telecommunications and payment offerings as well as wholesale international long distance traffic termination. Consumer Phone Services provides consumer local and long distance services in certain U.S. states. Telecom Platform Services and Consumer Phone Services comprise our IDT Telecom division. Zedge owns and operates an online platform for mobile phone consumers interested in obtaining free, high-quality games, apps, and mobile phone customization including ringtones, wallpapers, and notification sounds. Operating segments not reportable individually are included in All Other. All Other includes Fabrix, a software development company offering a cloud-based scale-out storage and computing platform optimized for big data, virtualization and media storage, processing and delivery. We sold Fabrix in October 2014. All Other also includes our real estate holdings, and other, smaller, businesses.

 

Discontinued Operations 

 

Straight Path Communications, Inc. 

On July 31, 2013, we completed a pro rata distribution of the common stock of our subsidiary Straight Path Communications Inc. to our stockholders of record as of the close of business on July 25, 2013. 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.

 

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We believe 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, treasury, accounting, tax, external reporting, and legal. Straight Path transitioned accounting and external reporting services from us to a third party in the first quarter of fiscal 2015. 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.

 

Genie Energy Ltd. 

On October 28, 2011, we completed a pro rata distribution of the common stock of our subsidiary, Genie Energy Ltd., to our stockholders of record as of the close of business on October 21, 2011. At the time of the Genie Spin-Off, Genie owned 99.3% of Genie Energy International Corporation, which owned 100% of IDT Energy and 92% of Genie Oil and Gas, Inc. As of October 28, 2011, each of our stockholders received one share of Genie Class A common stock for every share of our Class A common stock and one share of Genie Class B common stock for every share of our Class B common stock held of record as of the close of business on October 21, 2011. Genie 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 received a ruling from the Internal Revenue Service, or IRS, substantially to the effect that, for U.S. federal income tax purposes, the distribution of shares of Genie common stock will qualify as tax-free for Genie, us and our stockholders under Section 355 of the Internal Revenue Code of 1986. In addition to obtaining the IRS ruling, we received an opinion from PricewaterhouseCoopers LLP on the three requirements for a tax-free distribution that are not addressed in the IRS ruling. Specifically, the opinion concludes 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 Genie Spin-Off, we funded Genie with a total of $106.0 million in aggregate cash and cash equivalents, including restricted cash.

 

We entered into various agreements with Genie prior to the Genie 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 Transition Services Agreement, which provides for certain services to be performed by us and Genie to facilitate Genie’s transition into a separate publicly-traded company. These agreements provide for, among other things, (1) the allocation between us and Genie of employee benefits, taxes and other liabilities and obligations attributable to periods prior to the spin-off, (2) transitional services to be provided by us relating to human resources and employee benefits administration, (3) the allocation of responsibilities relating to employee compensation and benefit plans and programs and other related matters, (4) finance, accounting, tax, internal audit, facilities, external reporting, investor relations and legal services to be provided by us to Genie following the spin-off and (5) specified administrative services to be provided by Genie to certain of our foreign subsidiaries. In addition, we entered into a Tax Separation Agreement with Genie, 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.

 

IDT Entertainment 

In connection with the sale of IDT Entertainment to Liberty Media Corporation in the first quarter of fiscal 2007, we were eligible to receive additional consideration from Liberty Media based upon any appreciation in the value of IDT Entertainment over the five-year period that ended in August 2011, however, we may have been required to pay Liberty Media up to $3.5 million if the value of IDT Entertainment did not exceed a certain amount by August 2011. In September 2011, we and Liberty Media executed an agreement to settle and resolve all claims related to the additional consideration and certain other disputes and claims. Liberty Media paid us $2.0 million in September 2011 in consideration for the settlement and related releases, which is included in “Income on sale of discontinued operations” in fiscal 2012 in the accompanying consolidated statement of income.

 

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Summary Financial Data of Discontinued Operations

Revenues, income before income taxes and net income (loss) of Straight Path and Genie, which are included in discontinued operations, were as follows:

 

Year ended July 31
(in millions)
  2014   2013   2012 
REVENUES            
Straight Path and subsidiaries  $   $1.1   $0.5 
Genie and subsidiaries           45.8 
TOTAL  $   $1.1   $46.3 
(LOSS) INCOME BEFORE INCOME TAXES               
Straight Path and subsidiaries  $   $(4.6)  $4.9 
Genie and subsidiaries           2.6 
TOTAL  $   $(4.6)  $7.5 
NET (LOSS) INCOME               
Straight Path and subsidiaries  $   $(4.6)  $4.9 
Genie and subsidiaries           1.0 
TOTAL  $   $(4.6)  $5.9 

 

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 98.5%, 98.9% and 99.3% of our total revenues from continuing operations in fiscal 2014, fiscal 2013 and fiscal 2012, respectively.

 

Telecom Platform Services, which represented 99.3%, 99.1% and 98.7% of IDT Telecom’s total revenues in fiscal 2014, fiscal 2013 and fiscal 2012, respectively, markets and distributes multiple communications and payment services across four broad business verticals:

 

Retail Communications provides international long-distance calling products primarily to foreign-born communities worldwide, with its core markets in the United States;

 

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;

 

Payment Services provides payment offerings, including international airtime top-up and international money transfer sold over our Boss Revolution payment platform; and

 

Hosted Platform Solutions provides customized communications services that leverage our proprietary networks, platforms and/or technology to cable companies and other service providers.

 

Our Consumer Phone Services segment provides consumer local and long distance services in the United States. Since calendar 2005, this business has been in harvest mode, wherein we seek to retain existing customers but do not actively market to new customers, and we attempt to maximize profits by optimally managing both the life-cycle of our customer base as well as the costs associated with operating this business.

 

Our international prepaid calling business worldwide sells the great majority of its products to distributors at a discount to their face value, and records the sales as deferred revenues. These deferred revenues are recognized as revenues when telecommunications services are provided and/or administrative fees are imposed. International prepaid calling revenues tend to be somewhat seasonal, with the second fiscal quarter (which contains Christmas and New Year’s Day) and the fourth fiscal quarter (which contains Mother’s Day and Father’s Day) typically showing higher minute volumes.

 

Direct costs related to our telecom businesses consist primarily of three major categories: termination and origination costs, toll-free costs and network costs.

 

Termination costs represent costs associated with the transmission and termination of international and domestic long distance services. We terminate our traffic via the arbitrage market or through direct interconnections with other carriers. This cost is primarily variable, with a price paid on a per-minute basis. Origination costs relating to our Consumer Phone Services segment consists primarily of leased lines from the RBOCs, which are billed to us as a monthly fee. Toll-free costs are variable costs paid to providers of toll-free services.

 

Network costs, which are also called connectivity costs, are fixed for a range of minutes of use, and include customer/carrier interconnect charges and leased fiber circuit charges. Local circuits are generally leased for a 12 to 24 month term, while long haul circuits generally are leased for longer terms. Although these are not purely variable costs, where the cost increases for each additional minute carried on our suppliers’ networks, increases in minutes will likely result in incrementally higher network costs.

 

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Direct costs related to our telecom business include an estimate of charges for which invoices have not yet been received, and estimated amounts for pending disputes with other carriers. Subsequent adjustments to these estimates may occur after the invoices are received for the actual costs incurred, but these adjustments generally are not material to our results of operations.

 

Selling expenses in IDT Telecom consist primarily of sales commissions paid to internal salespersons and independent agents, and advertising costs, which are the primary costs associated with the acquisition of customers. General and administrative expenses include employee compensation, benefits, professional fees, rent and other administrative costs. IDT Telecom’s Retail Communications offerings generally have higher selling, general and administrative expenses than the Wholesale Termination Services business.

 

Telecom Competition

Over the past few years, the telecommunications industry has experienced a continued shift in demand away from traditional calling cards and into wireless and 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 products and services, 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 PIN. 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.

 

Concentration of Customers

Our most significant customers typically include telecom carriers to whom IDT Telecom provides wholesale telecommunications services and distributors of IDT Telecom’s international prepaid calling products. While they may vary from quarter to quarter, our five largest customers collectively accounted for 12.0%, 10.0% and 8.1% of total consolidated revenues from continuing operations in fiscal 2014, fiscal 2013 and fiscal 2012, respectively. Our customers with the five largest receivables balances collectively accounted for 22.1% and 16.6% of the consolidated gross trade accounts receivable at July 31, 2014 and 2013, respectively. This concentration of customers increases our risk associated with nonpayment by those customers. In an effort to reduce our risk, we perform ongoing credit evaluations of our significant retail, wholesale and cable telephony customers, and in some cases, do not offer credit terms to customers, choosing instead to demand prepayment. Historically, when we have issued credit, we have not required collateral to support trade accounts receivables from our customers. However, when necessary, IDT Telecom has imposed stricter credit restrictions on its customers. In some cases, this has resulted in IDT Telecom sharply curtailing, or ceasing completely, sales to certain customers. IDT Telecom attempts to mitigate its credit risk related to specific wholesale termination customers by also buying services from the customer, in order to create an opportunity to offset its payables and receivables with the customer. In this way, IDT Telecom can continue to sell services to these customers while reducing its receivable exposure risk. When it is practical to do so, IDT Telecom will increase its purchases from wholesale termination customers with receivable balances that exceed IDT Telecom’s applicable payables in order to maximize the offset and reduce its credit risk.

 

CRITICAL ACCOUNTING POLICIES

 

Our financial statements and accompanying notes are prepared in accordance with accounting principles generally accepted in the United States of America, or U.S. GAAP. The preparation of financial statements requires management to make estimates and assumptions that affect the reported amounts of assets, liabilities, revenue 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 taxes and regulatory agency fees, and IDT Telecom direct cost of revenues—disputed amounts. 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. See Note 1 to the Consolidated Financial Statements in this Annual Report for a complete discussion of our significant accounting policies.

 

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Allowance for Doubtful Accounts

We maintain an allowance for doubtful accounts for estimated losses that result from the inability or unwillingness of our customers to make required payments. The allowance for doubtful accounts was $11.5 million and $13.1 million at July 31, 2014 and 2013, respectively. The allowance for doubtful accounts as a percentage of gross trade accounts receivable decreased to 14.2% at July 31, 2014 from 16.7% at July 31, 2013 as a result of a decline in the allowance for doubtful accounts at IDT Telecom and an increase in the gross trade accounts receivable balance at Fabrix. Our allowance is determined based on known troubled accounts, historical experience and other currently available evidence. Our estimates of recoverability of customer accounts may change due to new developments, changes in assumptions or changes in our strategy, which may impact our allowance for doubtful accounts balance. We continually assess the likelihood of potential amounts or ranges of recoverability and adjust our allowance accordingly; however, actual collections and write-offs of trade accounts receivables may materially differ from our estimates.

 

Goodwill

Our goodwill balance of $14.8 million at July 31, 2014 was attributable to our Retail Communications reporting unit in our Telecom Platform Services segment ($11.6 million) and Zedge ($3.2 million). Goodwill and other intangible assets deemed to have indefinite lives are not amortized. These assets are reviewed annually (or more frequently under various conditions) for impairment using a fair value approach. Intangible assets with finite useful lives are amortized over their estimated useful lives.

 

The goodwill impairment assessment involves estimating the fair value of the reporting unit and comparing it to its carrying amount, which is known as Step 1. If the carrying value of the reporting unit exceeds its estimated fair value, Step 2 is performed to determine if an impairment of goodwill is required. We estimate the fair value of our reporting units using discounted cash flow methodologies, as well as considering third party market value indicators. Goodwill impairment is measured by the excess of the carrying amount of the reporting unit’s goodwill over its implied fair value.

 

We have the option to perform a qualitative assessment to determine whether it is necessary to perform the two-step quantitative goodwill impairment test. However, we may elect to perform the two-step quantitative goodwill impairment test even if no indications of a potential impairment exist.

 

For our Retail Communications reporting unit with a negative carrying amount, we perform Step 2 of the goodwill impairment test if it is more likely than not that a goodwill impairment exists. In determining whether it is more likely than not that goodwill impairment exists, we consider whether there are any adverse qualitative factors indicating that impairment may exist.

 

For Retail Communications’ annual impairment tests, we qualitatively assessed whether it was more likely than not that a goodwill impairment existed and concluded that a goodwill impairment did not exist. For Zedge, its estimated fair value substantially exceeded its carrying value in Step 1 of our annual impairment tests, therefore it was not necessary to perform Step 2. In addition, we do not believe our reporting units are currently at risk of failing Step 1. Calculating the fair value of the reporting units, and allocating the estimated fair value to all of the tangible assets, intangible assets and liabilities, requires significant estimates and assumptions by management. Should our estimates or assumptions regarding the fair value of our reporting units prove to be incorrect, we may be required to record impairments of goodwill in future periods and such impairments could be material.

 

Valuation of Long-Lived Assets including Intangible Assets with Finite Useful Lives

We test the recoverability of our long-lived assets including identifiable intangible assets with finite useful lives whenever events or changes in circumstances indicate that the carrying value of any such asset may not be recoverable. Such events or changes in circumstances include:

 

significant actual underperformance relative to expected performance or projected future operating results;

 

significant changes in the manner or use of the asset or the strategy of our overall business;

 

significant adverse changes in the business climate in which we operate; and

 

loss of a significant contract.

 

If we determine that the carrying value of certain long-lived assets may not be recoverable, we test for impairment based on the projected undiscounted cash flows to be derived from such asset. If the projected undiscounted future cash flows are less than the carrying value of the asset, we will record an impairment loss based on the difference between the estimated fair value and the carrying value of the asset. We generally measure fair value by considering sale prices for similar assets or by discounting estimated future cash flows from the asset using an appropriate discount rate. Cash flow projections and fair value estimates require significant estimates and assumptions by management. Should our estimates and assumptions prove to be incorrect, we may be required to record impairments in future periods and such impairments could be material.

 

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In fiscal 2013, we recorded an impairment charge of $4.4 million for the building and improvements that we own at 520 Broad Street, Newark, New Jersey. At both July 31, 2014 and 2013, the carrying value of the land, building and improvements at 520 Broad Street after the impairment charge was $37.7 million.

 

Income Taxes and Regulatory Agency Fees

Our current and deferred income taxes and associated valuation allowance, as well as telecom regulatory agency fee accruals, are impacted by events and transactions arising in the normal course of business as well as in connection with special and non-routine items. Assessment of the appropriate amount and classification of income taxes and certain regulatory agency fees is dependent on several factors, including estimates of the timing and realization of deferred income tax assets, the results of regulatory fee-related audits, changes in tax laws or regulatory agency rules and regulations, as well as unanticipated future actions impacting related accruals of regulatory agency fees.

 

The valuation allowance on our deferred income tax assets was $152.0 million and $167.3 million at July 31, 2014 and 2013, respectively. In fiscal 2012, we determined that it was more likely than not that a portion of our deferred income tax assets would be realized, therefore we reversed $36.9 million of the valuation allowance related to those assets. We based our determination on a projection of future U.S. income and took into consideration the historical U.S. performance and decided a release of the U.S. valuation that relates to the core businesses was warranted in that period. Assumptions regarding future taxable income require significant analysis and judgment. This analysis included financial forecasts based on historical performance of the core business and continuance of doing business in a jurisdiction in which losses are incurred. Based on our projections, we expected that we would generate future taxable income over the next five years in the U.S. jurisdiction and will begin utilizing our net operating loss carryover through this period. Accordingly, we concluded that a portion of our U.S. jurisdiction core business assets did not require a full valuation allowance. In fiscal 2013 and fiscal 2014, we updated the analysis and concluded that the valuation allowance related to our core U.S. business should be maintained at the current level and will be reevaluated as warranted. In addition, in fiscal 2014, we determined that our valuation allowance on the losses of IDT Global, a U.K. subsidiary, were no longer required due to an internal reorganization that generated income and a projection that the income would continue. We recorded a benefit from income taxes of $4.1 million from the full recognition of the IDT Global deferred tax assets.

 

We did not release any of the valuation allowances that related to our former Straight Path Spectrum business since it was not part of the main tax consolidated group and the portion of the Net2Phone acquired net operating loss that is subject to Internal Revenue Code Section 382 limitations. We did not release any of the valuation allowances related to our foreign operations in fiscal 2013 or fiscal 2012 as it is not more likely than not that the assets will be utilized based upon the earnings history and the current profitability projections.

 

We have not recorded U.S. income tax expense for foreign earnings, as such earnings are permanently reinvested outside the United States. The cumulative undistributed foreign earnings are included in accumulated deficit in our consolidated balance sheets, and consisted of approximately $270 million at July 31, 2014. Upon distribution of these foreign earnings to our domestic entities, we may be subject to U.S. income taxes and withholding of foreign taxes, however, it is not practicable to determine the amount, if any, which would be paid.

 

Our FCC Form 499-A filings for calendar years 2000 through 2006 related to payments to the Universal Service Fund have been audited by the Internal Audit Division of USAC, which concluded that we incorrectly reported certain revenues on Forms 499-A. USAC’s revisions to our filing methodology resulted in additional regulatory payments for the years covered by the audits. While we believe in the accuracy of our filing methodology and our Request for Review remains pending, we have implemented some of the revisions set forth in the IAD’s filings beginning with our calendar year 2010 Form 499-A. We have accrued for all regulatory fees we believe may be incurred under IAD’s methodology from 2002 through the present, in the event our Request for Review is denied and/or our methodology is not upheld on appeal, and we have made certain payments on amounts that have been invoiced to us by USAC and/or other agencies. As of July 31, 2014, our accrued expenses included $42.7 million for these regulatory fees for the years covered by the audit and subsequent years through fiscal 2014. Until a final decision has been reached in our disputes, we will continue to accrue in accordance with IAD’s methodology. If we do not properly calculate, or have not properly calculated, the amount payable by us to the Universal Service Fund, we may be subject to interest and penalties.

 

IDT Telecom Direct Cost of Revenues—Disputed Amounts

IDT Telecom’s direct cost of revenues includes estimated amounts for pending disputes with other carriers. The billing disputes typically arise from differences in minutes of use and/or rates charged by carriers that provide service to us. At July 31, 2014 and 2013, there was $19.8 million and $18.0 million, respectively, in outstanding carrier payable disputes, for which we recorded direct cost of revenues of $7.9 million and $6.8 million, respectively. We consider various factors to determine the amount to accrue for pending disputes, including (1) our historical experience in dispute resolution, (2) the basis of disputes, (3) the financial status and our current relationship with vendors and (4) our aging of prior disputes. Subsequent adjustments to our estimates may occur when disputes are resolved or abandoned, but these adjustments are generally not material to our results of operations. However, there can be no assurance that revisions to our estimates will not be material to our results of operations in the future.

 

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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.

 

RECENTLY ADOPTED ACCOUNTING STANDARD

 

In April 2014, an accounting standard update was issued that changed the criteria for reporting discontinued operations and enhanced 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. 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 adopted this standard update as of August 1, 2014. In accordance with this standard update, we do not expect the sale of Fabrix in October 2014 to qualify as a discontinued operation. We are unable to determine at this time whether the adoption of this standard update will have further effect on our financial position, results of operations or cash flows in the future for other disposals.

 

RESULTS OF OPERATIONS

 

Year Ended July 31, 2014 compared to Years Ended July 31, 2013 and 2012

The following table sets forth certain items in our statements of income as a percentage of our total revenues from continuing operations:

 

Year ended July 31,  2014   2013   2012 
REVENUES:            
IDT Telecom   98.5%   98.9%   99.3%
Zedge   0.4    0.4    0.3 
All Other   1.1    0.7    0.4 
TOTAL REVENUES   100.0    100.0    100.0 
COSTS AND EXPENSES:               
Direct cost of revenues (exclusive of depreciation and amortization)   82.8    83.7    84.3 
Selling, general and administrative   13.9    13.5    13.7 
Depreciation and amortization   1.0    0.9    1.1 
Research and development   0.6    0.4    0.3 
Impairment of building and improvements       0.3     
TOTAL COSTS AND EXPENSES   98.3    98.8    99.4 
Other operating gains (losses), net   0.1    0.6    (1.1)
INCOME (LOSS) FROM OPERATIONS   1.8    1.8    (0.5)
Interest expense, net           (0.2)
Other (expense) income, net   (0.3)   0.3    (0.1)
INCOME (LOSS) FROM CONTINUING OPERATIONS BEFORE INCOME TAXES   1.5%   2.1%   (0.8)%

 

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

 

(in millions)              2014 change from 2013   2013 change from 2012 
Year ended July 31,  2014   2013   2012   $   %   $   % 
Revenues                            
Telecom Platform Services  $1,615.6   $1,588.1   $1,477.8   $27.5    1.7%  $110.3    7.5%
Consumer Phone Services   11.0    14.5    19.3    (3.5)   (24.1)   (4.8)   (24.8)
Total revenues  $1,626.6   $1,602.6   $1,497.1   $24.0    1.5%  $105.5    7.0%

 

Revenues. IDT Telecom revenues increased in fiscal 2014 and fiscal 2013 compared to the prior fiscal year due to an increase in Telecom Platform Services’ revenues, which more than offset a decline in Consumer Phone Services’ revenues. As a percentage of IDT Telecom’s total revenues, Telecom Platform Services’ revenues increased from 98.7% in fiscal 2012 to 99.1% in fiscal 2013 and 99.3% in fiscal 2014, and Consumer Phone Services’ revenues decreased from 1.3% in fiscal 2012 to 0.9% in fiscal 2013and 0.7% in fiscal 2014.

 

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Telecom Platform Services’ revenues, minutes of use and average revenue per minute for fiscal 2014, fiscal 2013 and fiscal 2012 consisted of the following:

 

(in millions, except revenue per minute)              2014 change from 2013   2013 change from 2012 
Year ended July 31,  2014   2013   2012   $/#   %   $/#   % 
Telecom Platform Services Revenues                            
Retail Communications  $695.8   $656.7   $549.9   $39.1    5.9%  $106.8    19.4%
Wholesale Telecommunications Services   672.3    687.9    716.4    (15.6)   (2.3)   (28.5)   (4.0)
Payment Services   202.5    193.5    154.7    9.0    4.6    38.8    25.2 
Hosted Platform Solutions   45.0    50.0    56.8    (5.0)   (10.0)   (6.8)   (11.9)
Total Telecom Platform Services revenues  $1,615.6   $1,588.1   $1,477.8   $27.5    1.7%  $110.3    7.5%
Minutes of use                                   
Retail Communications   9,596    9,418    8,385    178    1.9%   1,033    12.3%
Wholesale Telecommunications Services   19,190    22,365    21,370    (3,175)   (14.2)   995    4.7 
Hosted Platform Solutions   802    888    1,032    (86)   (9.7)   (144)   (13.9)
Total minutes of use   29,588    32,671    30,787    (3,083)   (9.4)%   1,884    6.1%
Average revenue per minute                                   
Retail Communications  $0.0725   $0.0697   $0.0656   $0.0028    4.0%  $0.0041    6.3%
Wholesale Telecommunications Services   0.0350    0.0307    0.0335    0.0043    13.9    (0.0028)   (8.2)

 

Retail Communications minutes of use increased 1.9% and 12.3% in fiscal 2014 and fiscal 2013, respectively, compared to the prior fiscal year. In fiscal 2014 and fiscal 2013, the increases were driven by the volume growth in the U.S., which more than offset the decrease in minutes of use in Europe and South America. Minutes of use in Asia also decreased in fiscal 2014 compared to fiscal 2013, and increased in fiscal 2013 compared to fiscal 2012. Retail Communications’ revenues grew 5.9% and 19.4% in fiscal 2014 and fiscal 2013, respectively, compared to the prior fiscal year. The revenue and minutes of use growth was led by penetration and acceptance of Boss Revolution within our U.S. retail distribution network as 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. We launched Boss Revolution in the United Kingdom and Spain during fiscal 2012 and in Germany, Hong Kong, Singapore and Australia in the first half of fiscal 2013. In fiscal 2014, we launched Boss Revolution in Canada. Boss Revolution continues to attract new customers, and we are working to sustain that momentum by increasing our sales and marketing efforts in fiscal 2015. In fiscal 2014, we acquired the assets of an over-the-top messaging provider, and we have begun integrating its messaging service into our Boss Revolution calling app. We expect to introduce messaging within the app in the first half of calendar 2015. Retail Communications revenue comprised 43.1%, 41.3% and 37.2% of Telecom Platform Services’ revenue in fiscal 2014, fiscal 2013 and fiscal 2012, respectively.

 

Wholesale Termination Services minutes of use decreased 14.2% and increased 4.7% in fiscal 2014 and fiscal 2013, respectively, compared to the prior fiscal year. The decrease in fiscal 2014 compared to fiscal 2013 was primarily due to a significant decrease in minutes of use from our web-based prepaid termination service. The increase in fiscal 2013 compared to fiscal 2012 was the result of significant increases in the first half of fiscal 2013 from our web-based prepaid termination service as well as from wholesale carriers. Wholesale Termination Services’ revenues declined 2.3% and 4.0% in fiscal 2014 and fiscal 2013, respectively, compared to the prior fiscal year as a result of an industry-wide increase in termination rates to certain key destinations in Southern Asia which resulted in a decline in revenues as well as direct cost of revenues. Wholesale Termination Services revenue comprised 41.6%, 43.3% and 48.5% of Telecom Platform Services’ revenue in fiscal 2014, fiscal 2013 and fiscal 2012, respectively.

 

Payment Services’ revenues grew 4.6% and 25.2% in fiscal 2014 and fiscal 2013, respectively, compared to the prior fiscal year. The increase was driven by growth in sales of our international airtime top-up offerings. 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 fiscal 2014, we initiated an international money transfer service on a limited basis over our Boss Revolution payment platform. As of July 31, 2014, we had money transmitter licenses in 45 of the 47 states where they are required as well as in Puerto Rico and Washington, D.C. Payment Services revenue comprised 12.5%, 12.2% and 10.5% of Telecom Platform Services’ revenue in fiscal 2014, fiscal 2013 and fiscal 2012, respectively.

 

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Hosted Platform Solutions’ revenues declined 10.0% and 11.9% in fiscal 2014 and fiscal 2013, respectively, compared to the prior fiscal year. The decline in fiscal 2014 compared to fiscal 2013 was mostly due to a decrease in revenue from managed services, as well as a decrease in revenues from our cable telephony business, which is in harvest mode. The decline in fiscal 2013 compared to fiscal 2012 was due to a decrease in revenue from our cable telephony business and from call shops outside the U.S., which decreased due to price competition and migration to alternative wireless and IP-based services. Hosted Platform Solutions revenue comprised 2.8%, 3.2% and 3.8% of Telecom Platform Services’ revenues in fiscal 2014, fiscal 2013 and fiscal 2012, respectively. Hosted Platform Solutions minutes of use decreased 9.7% and 13.9% in fiscal 2014 and fiscal 2013, respectively, compared to the prior fiscal year. In fiscal 2014 compared to fiscal 2013, the decrease was primarily a result of the decline in minutes of use from managed services, and in fiscal 2013 compared to fiscal 2012, the decrease was due to a decline in minutes of use from call shops, 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 24.1% and 24.8% in fiscal 2014 and fiscal 2013, respectively, compared to the prior fiscal year, 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 6,200 as of July 31, 2014 compared to 7,800 as of July 31, 2013 and 10,500 as of July 31, 2012. 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 28,500 as of July 31, 2014 compared to 35,700 as of July 31, 2013 and 45,200 as of July 31, 2012. 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.

 

(in millions)              2014 change from 2013   2013 change from 2012 
Year ended July 31,  2014   2013   2012   $   %   $   % 
Direct cost of revenues                            
Telecom Platform Services  $1,358.6   $1,347.0   $1,259.1   $11.6    0.9%  $87.9    7.0%
Consumer Phone Services   4.9    6.3    8.6    (1.4)   (21.7)   (2.3)   (27.0)
Total direct cost of revenues  $1,363.5   $1,353.3   $1,267.7   $10.2    0.8%  $85.6    6.8%

 

Year ended July 31,  2014   2013   2012   2014 change from 2013   2013 change from 2012 
Direct cost of revenues as a percentage of revenues                    
Telecom Platform Services   84.1%   84.8%   85.2%   (0.7)%   (0.4)%
Consumer Phone Services   44.6    43.3    44.6    1.3    (1.3)
Total   83.8%   84.4%   84.7%   (0.6)%   (0.3)%

 

Direct Cost of Revenues. Direct cost of revenues in Telecom Platform Services increased in fiscal 2014 compared to fiscal 2013 mainly due to the similar trends in Telecom Platform Services’ revenues. Direct cost of revenues in Telecom Platform Services increased in fiscal 2013 compared to fiscal 2012 primarily as a result of increases in the direct cost of revenues in Retail Communications and Payment Services, partially offset by a decrease in Wholesale Termination Services direct cost of revenues.

 

Direct cost of revenues as a percentage of revenues in Telecom Platform Services decreased 70 basis points and 40 basis points in fiscal 2014 and fiscal 2013, respectively, compared to the prior fiscal year, as a result of the increases in average revenue per minute in both Retail Communications and Wholesale Termination Services in fiscal 2014 compared to fiscal 2013, and in Retail Communications’ average revenue per minute in fiscal 2013 compared to fiscal 2012. In addition, the decreases reflect 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 in fiscal 2014 and fiscal 2013 compared to the prior fiscal year primarily as a result of the declining customer base.

 

(in millions)              2014 change from 2013  2013 change from 2012
Year ended July 31,  2014   2013   2012   $   %   $   % 
Selling, general and administrative expenses                            
Telecom Platform Services  $198.8   $189.3   $182.6   $9.5    5.0%  $6.7    3.7%
Consumer Phone Services   4.3    6.4    6.6    (2.1)   (32.8)   (0.2)   (3.3)
Total selling, general and administrative expenses  $203.1   $195.7   $189.2   $7.4    3.8%  $6.5    3.4%

 

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Selling, General and Administrative. The increase in selling, general and administrative expenses in our Telecom Platform Services segment in fiscal 2014 and fiscal 2013 compared to the prior fiscal year was partially due to increases in employee compensation. We expanded 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 increases in employee compensation were also due to annual payroll increases for a larger workforce. The increase in selling, general and administrative expenses in our Telecom Platform Services segment was also due to the increase in third-party transaction processing costs and internal sales commissions, which are variable costs that closely track revenue performance. Third-party transaction processing costs increased in direct proportion to the rapid growth of sales on the Boss Revolution payment platform since many of the retailers on the Boss Revolution payment platform use credit cards to pay us for their purchases. Internal sales commissions grew as a direct result of our effort to grow and strengthen our retail direct sales force in the U.S. External legal fees significantly decreased in fiscal 2014 compared to fiscal 2013 since certain legal matters were resolved. Telecom Platform Services’ marketing and advertising costs increased in fiscal 2014 compared to fiscal 2013, and decreased in fiscal 2013 compared to fiscal 2012, primarily due to changes in costs incurred in the U.S. for our Retail Communications offerings. As a percentage of Telecom Platform Services’ revenues, Telecom Platform Services’ selling, general and administrative expenses was 12.3%, 11.9% and 12.4% in fiscal 2014, fiscal 2013 and fiscal 2012, respectively.

 

Selling, general and administrative expenses in our Consumer Phone Services segment decreased in fiscal 2014 and fiscal 2013 compared to the prior fiscal year as the cost structure for this segment continued to be right-sized to the needs of its declining revenue base.

 

(in millions)              2014 change from 2013   2013 change from 2012 
Year ended July 31,  2014   2013   2012   $   %   $   % 
Depreciation and amortization                            
Telecom Platform Services  $13.8   $12.3   $14.2   $1.5    11.6%  $(1.9)   (13.2)%
Consumer Phone Services                            
Total depreciation and amortization  $13.8   $12.3   $14.2   $1.5    11.6%  $(1.9)   (13.2)%

 

Depreciation and Amortization. The increase in depreciation and amortization expense in fiscal 2014 compared to fiscal 2013 was due to increases in depreciation of capitalized costs of consultants and employees developing internal use software. The decrease in depreciation and amortization expense in fiscal 2013 compared to fiscal 2012 was due to lower levels of capital expenditures and more of our property, plant and equipment becoming fully depreciated. In addition, depreciation expense in fiscal 2013 was reduced by $0.7 million due to an adjustment in our estimate of capital expenditures subject to sales and use tax as a result of an audit.

 

(in millions)
Year ended July 31,
  2014   2013   2012 
Telecom Platform Services-Other operating gains (losses), net            
Gains (losses) related to legal matters, net  $0.7   $9.3   $(6.8)
Loss on settlement of litigation (a)           (11.0)
Gain on settlement of claim (b)           1.8 
Total other operating gains (losses), net  $0.7   $9.3   $(16.0)

 

Other Operating Gains (Losses), net. Our Telecom Platform Services segment’s income from operations in fiscal 2012 included other operating (losses) gains, net as follows:

 

(a)On October 12, 2011, we entered into a binding term sheet with T-Mobile USA, Inc. to settle litigation related to an alleged breach of a wholesale supply agreement. In consideration of the settlement of all disputes between the parties, on October 13, 2011, we paid T-Mobile $10 million. We incurred legal fees of $1.0 million in fiscal 2012 in connection with this matter.
  
(b)On January 17, 2012, we received $1.8 million from Broadstripe, LLC in settlement of our claim stemming from Broadstripe, LLC’s rejection of its telephony services agreements with us upon the confirmation of Broadstripe, LLC’s bankruptcy plan and closing of its bankruptcy sale.

 

(in millions)              2014 change from 2013   2013 change from 2012 
Year ended July 31,  2014   2013   2012   $   %   $   % 
Income from operations                            
Telecom Platform Services  $45.1   $48.7   $5.9   $(3.6)   (7.4)%  $42.8    723.3%
Consumer Phone Services   1.8    1.8    4.1        (1.5)   (2.3)   (55.1)
Total income from operations  $46.9   $50.5   $10.0   $(3.6)   (7.2)%  $40.5    406.3%

  

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Zedge

 

(in millions)              2014 change from 2013   2013 change from 2012 
Year ended July 31,  2014   2013   2012   $   %   $   % 
Revenues  $6.5   $5.8   $3.8   $0.7    12.5%  $2.0    53.2%
Direct cost of revenues   0.9    0.9    0.7        11.4    0.2    15.3 
Selling, general and administrative   4.3    3.8    2.6    0.5    12.7    1.2    44.2 
Depreciation   1.0    0.8    0.7    0.2    21.2    0.1    22.3 
Income (loss) from operations  $0.3   $0.3   $(0.2)  $    (7.7)%  $0.5    237.4%

 

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 fiscal 2014 compared to 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. In fiscal 2014, Zedge’s revenues were primarily from the Android and iOS apps, which totaled 84% of Zedge’s revenues in fiscal 2014 compared to 64% in fiscal 2013. Revenue from desktop and mobile websites, as expected, declined compared to prior fiscal years. Zedge’s revenues increased in fiscal 2013 compared to fiscal 2012 due to user base growth, its ability to optimize ad inventory performance and its direct distribution relationships with a number of premium game publishers. The growth in Total Installs and Active Installs for the Zedge Android and iOS apps are 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.

 

(in millions)
July 31,
  2014   2013   2012 
Total Installs (Android and iOS)   111    72    38 
Active Installs (Android and iOS)   49    31    19 

 

Direct Cost of Revenues. Direct cost of revenues increased in fiscal 2014 and fiscal 2013 compared to the prior fiscal year primarily as a result of the increases in users. The increase in direct cost of revenues in fiscal 2014 compared to fiscal 2013 was lessened by a reduction in the rate of increase of certain direct costs as a result of renegotiated hosting and ad serving contracts. Direct cost of revenues as a percentage of revenues was 14.5%, 14.7% and 19.5% in fiscal 2014, fiscal 2013 and fiscal 2012, respectively.

 

Selling, General and Administrative. The increase in selling, general and administrative expenses in fiscal 2014 compared to fiscal 2013 was due to increases in consulting expense related to business development, non-routine audit fees, and employee recruiting expense. The increase in selling, general and administrative expenses in fiscal 2013 compared to fiscal 2012 was primarily due to increases in developer headcount, which increased employee payroll. In addition, bonus expense increased in fiscal 2013 compared to fiscal 2012.

 

Depreciation. The increase in depreciation expense in fiscal 2014 and fiscal 2013 compared to the prior fiscal year was due to increases in depreciation of capitalized payroll costs of employees working on internal use software related to the iOS app and the Android app.

 

All Other

 

(in millions)              2014 change from 2013   2013 change from 2012 
Year ended July 31,  2014   2013   2012   $   %   $   % 
Revenues  $18.4   $12.2   $5.4   $6.2    50.7%  $6.8    125.5%
Direct cost of revenues   (2.8)   (1.4)   (0.9)   (1.4)   (97.8)   (0.5)   (52.4)
Selling, general and administrative   (6.7)   (5.0)   (2.1)   (1.7)   (33.8)   (2.9)   (142.1)
Depreciation   (1.5)   (1.6)   (1.5)   0.1    7.7    (0.1)   (10.7)
Research and development   (10.0)   (7.2)   (4.6)   (2.8)   (39.8)   (2.6)   (56.8)
Impairment of building and improvements       (4.4)       4.4    100.0    (4.4)    nm  
Other operating gain   0.6            0.6     nm          
Loss from operations  $(2.0)  $(7.4)  $(3.7)  $5.4    72.4%  $(3.7)   (102.6)%

 

nm—not meaningful

 

34
 

 

Impairment of Building and Improvements. In fiscal 2013, we recorded an impairment charge of $4.4 million for the building and improvements that we own at 520 Broad Street, Newark, New Jersey. The following facts and circumstances indicated that the fair value of the building and improvements may be less than their carrying value at that time: (1) the building was not occupied and, at the time, we did not expect to occupy it, (2) economic uncertainty and sluggish leasing activity stalled a recovery of the real estate market in Newark, (3) there were no potential tenants, (4) no sale of the building had been completed and there were no other likely buyers, (5) the building would be expensive to redevelop and (6) the building was expected to remain vacant for the foreseeable future. We determined the fair value of the building and improvements based on estimates of an owner/user’s market rental rate net of costs of improvements and tenant work as well as the estimated value to an investor/developer after deducting costs of improvements and costs to achieve full occupancy. At both July 31, 2014 and 2013, the carrying value of the land, building and improvements at 520 Broad Street after the impairment charge was $37.7 million.

 

Other Operating Gain. In fiscal 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 other than IDT Telecom and Zedge in All Other. Following is the results of operations in fiscal 2014, fiscal 2013 and fiscal 2012 of Fabrix, which was included in All Other until it was sold in October 2014:

 

Fabrix

 

(in millions)              2014 change from 2013   2013 change from 2012 
Year ended July 31,  2014   2013   2012   $   %   $   % 
Revenues  $16.6   $10.6   $3.6   $6.0    57.4%  $7.0    192.8%
Direct cost of revenues   2.8    1.4    0.9    1.4    97.8    0.5    52.4 
Selling, general and administrative   4.1    3.1    0.9    1.0    36.9    2.2    234.8 
Depreciation   0.4    0.3    0.2    0.1    18.3    0.1    102.5 
Research and development   10.0    7.2    4.6    2.8    39.8    2.6    56.8 
Loss from operations  $(0.7)  $(1.4)  $(3.0)  $0.7    46.8%  $1.6    53.1%

 

Revenue. Fabrix was our majority-owned venture that developed and licensed a proprietary video software platform optimized for cost effective cloud-based video storage, high throughput streaming and intelligent content distribution. This software was 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 fiscal 2014, fiscal 2013 and fiscal 2012, Fabrix received cash from these sales of $13.4 million, $16.0 million and $8.0 million, respectively. Fabrix generally recognized 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.

 

Corporate

 

(in millions)              2014 change from 2013   2013 change from 2012 
Year ended July 31,  2014   2013   2012   $   %   $   % 
General and administrative expenses  $14.8   $13.9   $13.0   $0.9    6.4%  $0.9    7.0%
Depreciation and amortization       0.1    0.3    (0.1)   (68.6)   (0.2)   (63.0)
Other operating loss (gain)   0.5        (0.1)   0.5    nm    0.1    100.0 
Loss from operations  $15.3   $14.0   $13.2   $1.3    9.2%  $0.8    6.4%

 

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 increase in Corporate general and administrative expenses in fiscal 2014 compared to fiscal 2013 was primarily due to increases in accrued charitable contributions and legal fees. In fiscal 2014 and fiscal 2013, we accrued $1.4 million and $0.9 million, respectively, for contributions to the IDT Charitable Foundation. The increase in Corporate general and administrative expenses in fiscal 2013 compared to fiscal 2012 was primarily due to an increase in charitable contributions, as well as increases in payroll and related expenses and stock-based compensation expense. Corporate general and administrative expenses in fiscal 2014, fiscal 2013 and fiscal 2012 are net of amounts billed pursuant to the Transition Services Agreement to our former subsidiary Genie, and Corporate general and administrative expenses in fiscal 2014 are net of 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 $2.9 million, $3.3 million and $2.0 million in fiscal 2014, fiscal 2013 and fiscal 2012, respectively. The fees charged to Straight Path were $0.8 million in fiscal 2014. As a percentage of our total consolidated revenues from continuing operations, Corporate general and administrative expenses was unchanged at 0.9% in each of fiscal 2014, fiscal 2013 and fiscal 2012.

 

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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 $5.4 million, $5.9 million and $3.3 million in fiscal 2014, fiscal 2013 and fiscal 2012, respectively.

 

At July 31, 2014, unrecognized compensation cost related to non-vested stock-based compensation, including stock options and restricted stock, was an aggregate of $5.0 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 fiscal 2015, $1.1 million is expected to be recognized in fiscal 2016, $0.4 million is expected to be recognized in fiscal 2017, $0.2 million is expected to be recognized in fiscal 2018, and $0.2 million is expected to be recognized in fiscal 2019.

 

(in millions)              2014 change from 2013   2013 change from 2012 
Year ended July 31,  2014   2013   2012   $   %   $   % 
Income (loss) from operations  $29.8   $29.4   $(7.1)  $0.4    1.5%  $36.5    514.2%
Interest expense, net   (0.2)   (0.8)   (3.0)   0.6    82.0    2.2    72.4 
Other (expense) income, net   (4.7)   5.4    (1.8)   (10.1)   (187.3)   7.2    404.6 
(Provision for) benefit from income taxes   (4.0)   (15.9)   42.8    11.9    74.9    (58.7)   (137.1)
Income from continuing operations   21.0    18.1    30.9    2.9    16.2    (12.8)   (41.6)
Discontinued operations, net of tax       (4.7)   7.8    4.7    100.0    (12.5)   (159.0)
Net income   21.0    13.4    38.7    7.6    56.3    (25.3)   (65.3)
Net income attributable to noncontrolling interests   (2.2)   (1.8)   (0.1)   (0.4)   (21.2)   (1.7)   nm 
Net income attributable to IDT Corporation  $18.8   $11.6   $38.6   $7.2    61.8%  $(27.0)   (70.0)%

 

nm—not meaningful

 

Interest Expense, net. The decrease in interest expense, net in fiscal 2014 compared to fiscal 2013 was due to a decrease in interest expense and an increase in interest income. The decrease in interest expense, net in fiscal 2013 compared to fiscal 2012 was due to a decrease in interest expense, partially offset by a decrease in interest income.

 

Other (Expense) Income, net. Other (expense) income, net consists of the following:

 

(in millions)
Year ended July 31,
  2014   2013   2012 
Foreign currency transaction (losses) gains  $(5.9)  $2.5   $(2.9)
Gain on investments   1.2    2.7    1.2 
Gain on modification and early termination of loan payable       0.2     
Other           (0.1)
TOTAL  $(4.7)  $5.4   $(1.8)

 

On April 30, 2013, the holder of the note payable secured by the mortgage on our building located at 520 Broad Street, Newark, New Jersey entered into an agreement with us to settle all of our disputes. In connection with this agreement, on May 1, 2013, we paid them $21.1 million and they released us from the note and discharged the mortgage. In the fourth quarter of fiscal 2013, we recognized a gain of $0.2 million on the modification and early termination of the note payable.

 

Income Taxes. The decline in income tax expense in fiscal 2014 compared to fiscal 2013 was primarily due to the decrease in income from continuing operations before income taxes in fiscal 2014 compared to fiscal 2013.

 

The benefit from income taxes in fiscal 2012 was primarily due to the $36.9 million reversal of a portion of our valuation allowance in the United States. In fiscal 2012, we determined that it was more likely than not that a portion of our deferred income tax assets would be realized, therefore the valuation allowance related to those assets was reversed. We based our determination on a projection of future U.S. income and took into consideration the historical U.S. performance and decided a partial release of the U.S. valuation that relates to the core businesses was warranted in that period. Assumptions regarding future taxable income require significant analysis and judgment. This analysis included financial forecasts based on historical performance of the core business and continuance of doing business in a jurisdiction in which losses are incurred. Based on our projections, we expected that we would generate future taxable income over the next five years in the U.S. jurisdiction and will begin utilizing our net operating loss carryover through this period. Accordingly, we concluded that a portion of our U.S. jurisdiction core business assets did not require a full valuation allowance. In fiscal 2013 and fiscal 2014, we updated the analysis and concluded that the valuation allowance related to our core U.S. business should be maintained at the current level and will be reevaluated as warranted. In addition, in fiscal 2014, we determined that our valuation allowance on the losses of IDT Global, a U.K. subsidiary, were no longer required due to an internal reorganization that generated income and a projection that the income would continue. We recorded a benefit from income taxes of $4.1 million from the full recognition of the IDT Global deferred tax assets.

 

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We did not release any of the valuation allowances that related to our former Straight Path Spectrum business since it was not part of the main tax consolidated group and the portion of the Net2Phone acquired net operating loss that is subject to Internal Revenue Code Section 382 limitations. We did not release any of the valuation allowances related to our foreign operations in fiscal 2013 or fiscal 2012 as it was not more likely than not that the assets will be utilized based upon the earnings history and the profitability projections.

 

In September 2013, the IRS and the Department of the Treasury issued final regulations regarding when costs incurred to acquire, produce or improve tangible property must be capitalized or may be deducted. The IRS and the Department of the Treasury have also separately proposed regulations about disposal of depreciable property. The changes will apply to taxable years beginning on or after January 1, 2014. A taxpayer may choose to apply the regulations to taxable years beginning on or after January 1, 2012. We are still analyzing the effect of these new regulations and no decision has been made as to an early adoption. We do not expect a material impact to our results of operations, financial position or cash flows if we adopt these regulations early.

 

Discontinued Operations, net of tax. The loss from discontinued operations, net of tax in fiscal 2013 was due to Straight Path’s net loss of $4.6 million.

 

Discontinued operations, net of tax in fiscal 2012 included Genie’s net income of $1.0 million for the period from August 1, 2011 through October 28, 2011, the date that we completed the Genie Spin-Off, plus Straight Path’s net income of $4.8 million in fiscal 2012. In addition, discontinued operations, net of tax in fiscal 2012 included a gain of $2.0 million related to the sale of IDT Entertainment to Liberty Media in the first quarter of fiscal 2007. In September 2011, we and Liberty Media executed an agreement to settle and resolve all claims related to the additional consideration that we were eligible to receive for IDT Entertainment based upon any appreciation in its value over the five-year period that ended in August 2011, as well as certain other disputes and claims. Liberty Media paid us $2.0 million in September 2011 in consideration for the settlement and related releases.

 

Net Income Attributable to Noncontrolling Interests. The increase in the net income attributable to noncontrolling interests in fiscal 2014 compared to fiscal 2013 was due to an increase in the net income attributable to noncontrolling interests in certain IDT Telecom subsidiaries, the Straight Path Spin-Off which reduced the net loss attributable to noncontrolling interests, and a decrease in the net loss attributable to noncontrolling interests in Fabrix. The increase in the net income attributable to noncontrolling interests in fiscal 2013 compared to fiscal 2012 was primarily due to the deconsolidation of Genie on October 28, 2011, as well as the increase in the net income attributable to noncontrolling interests in certain IDT Telecom subsidiaries and the decrease in the net loss attributable to noncontrolling interests in Fabrix, partially offset by the increase in the net loss attributable to noncontrolling interests in Straight Path IP Group.

 

LIQUIDITY AND CAPITAL RESOURCES

 

General 

We currently expect our cash from operations in fiscal 2015 and the balance of cash, cash equivalents and marketable securities that we held as of July 31, 2014 to be sufficient to meet our currently anticipated working capital and capital expenditure requirements during fiscal 2015.

 

As of July 31, 2014, we had cash, cash equivalents and marketable securities of $166.7 million and a deficit in working capital (current liabilities in excess of current assets) of $29.1 million. As of July 31, 2014, we also had $9.5 million in investments in hedge funds, of which $0.1 million was included in “Other current assets” and $9.4 million was included in “Investments” in our consolidated balance sheet.

 

On October 8, 2014, we completed the sale of our interests in Fabrix to Ericsson. The final sale price for 100% of the shares in Fabrix was $95 million in cash, excluding transaction costs and working capital and other adjustments. We owned approximately 78% of Fabrix on a fully diluted basis. Our share of the sale price, net of transaction costs, is expected to be approximately $73 million in cash. We and the other shareholders have placed $13 million of our proceeds in escrow for the resolution of post-closing claims that may arise. Any unclaimed escrow balance will be released in two tranches over a period of 18 months.

 

As of July 31, 2014, we had aggregate restricted cash and cash equivalents of $68.5 million, of which $65.7 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 fiscal 2015.

 

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 July 31, 2014, “Cash and cash equivalents” in our consolidated balance sheet included an aggregate of $12.9 million set aside by IDT Payment Services and IDT Financial Services that was unavailable for other purposes.

 

We have not recorded U.S. income tax expense for foreign earnings, as such earnings are permanently reinvested outside the United States. The cumulative undistributed foreign earnings are included in accumulated deficit in our consolidated balance sheets, and consisted of approximately $270 million at July 31, 2014. Upon distribution of these foreign earnings to our domestic entities, we may be subject to U.S. income taxes and withholding of foreign taxes, however, it is not practicable to determine the amount, if any, which would be paid.

 

(in millions)
Year ended July 31,
  2014   2013   2012 
Cash flows provided by (used in)            
Operating activities  $45.7   $57.2   $34.5 
Investing activities   (18.9)   (25.6)   (4.4)
Financing activities   (25.4)   (36.4)   (125.6)
Effect of exchange rate changes on cash and cash equivalents   0.8    1.2    (2.3)
Increase (decrease) in cash and cash equivalents from continuing operations   2.2    (3.6)   (97.8)
Discontinued operations       (3.0)   3.0 
Increase (decrease) in cash and cash equivalents  $2.2   $(6.6)  $(94.8)

 

37
 

 

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 fiscal 2014, fiscal 2013 and fiscal 2012, Fabrix received $13.4 million, $16.0 million and $8.0 million, respectively, in cash 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 fiscal 2014, we paid $1.0 million in connection with this obligation. At July 31, 2014, our estimated liability for this obligation was $1.9 million.

 

On October 12, 2011, we entered into a binding term sheet with T-Mobile to settle litigation related to an alleged breach of a wholesale supply agreement. In consideration of the settlement of all disputes between the parties, on October 13, 2011, we paid T-Mobile $10 million. We incurred legal fees of $1.0 million in fiscal 2012 in connection with this matter.

 

Investing Activities

Our capital expenditures were $17.0 million in fiscal 2014 compared to $14.5 million in fiscal 2013 and $10.8 million in fiscal 2012. We currently anticipate that total capital expenditures in fiscal 2015 will be approximately $26.5 million, which includes expenditures for the renovations of the first four floors of our building located at 520 Broad Street, Newark, New Jersey. 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 fiscal 2013, we made a deposit of $1.0 million for the purchase of a leasehold interest in an office building in New Jersey.

 

In fiscal 2014, fiscal 2013 and fiscal 2012, we used cash of $0.2 million, $1.2 million and nil, respectively, for an acquisition and additional investments. In fiscal 2014, we acquired the assets of an over-the-top messaging provider, and we have begun integrating its messaging service into our wholesale and retail offerings.

 

We received $1.0 million, $0.1 million and $3.2 million in fiscal 2014, fiscal 2013 and fiscal 2012, respectively, from the redemption of certain of our investments, including investments in hedge funds.

 

Proceeds from insurance of $0.6 million in fiscal 2014 related to water damage in our building located 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 fiscal 2014.

 

In fiscal 2014 and fiscal 2013, we used cash of $20.7 million and $11.4 million, respectively, to purchase marketable securities. We did not purchase any marketable securities in fiscal 2012.

 

Proceeds from maturities and sales of marketable securities were $17.3 million and $1.7 million in fiscal 2014 and fiscal 2013, respectively. There were no maturities or sales of marketable securities in fiscal 2012.

 

We received cash of $3.3 million in fiscal 2012 from the maturity of certificates of deposit.

 

Financing Activities

In July 2013, cash and cash equivalents held by Straight Path and its subsidiaries of $15.0 million were deconsolidated as a result of the Straight Path Spin-Off. In October 2011, cash and cash equivalents held by Genie and its subsidiaries of $92.4 million were deconsolidated as a result of the Genie Spin-Off. Subsequent to the Genie Spin-Off, in November and December 2011, we funded Genie with the remaining $11.9 million of our commitment.

 

In fiscal 2014, we paid aggregate cash dividends of $0.59 per share on our Class A common stock and Class B common stock, or $13.6 million in total. In fiscal 2013, we paid aggregate 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 fiscal 2012, we paid aggregate cash dividends of $0.66 per share on our Class A common stock and Class B common stock, or $15.0 million in total. On October 3, 2014, we paid a dividend of $0.17 per share for the fourth quarter of fiscal 2014 to holders of record of our Class A common stock and Class B common stock as of the close of business on September 29, 2014.

 

We distributed cash of $1.9 million, $2.2 million and $1.6 million in fiscal 2014, fiscal 2013 and fiscal 2012, respectively, to the noncontrolling interests in certain of our 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.

 

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%. On November 15, 2011, 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 11.1% from 11%. One of the limited partners in Shaman II, L.P. is a former employee of ours.

 

We received proceeds from the exercise of our stock options of $0.6 million in fiscal 2014 and $0.9 million in fiscal 2013. No options were exercised in fiscal 2012.

 

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We repaid capital lease obligations of $1.8 million in fiscal 2012. We had no capital lease obligations in fiscal 2014 or fiscal 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 July 31, 2014, there was $13.0 million outstanding under the facility at an interest rate of 1.65% per annum. In August 2014, we repaid the $13.0 million loan payable. In fiscal 2014 and fiscal 2013, we borrowed $56.0 million and $21.9 million, respectively, under the facility, and we repaid $64.1 million and $8.0 million, respectively. We intend 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 July 31, 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 $73.7 million.

 

Repayments of other borrowings were $0.3 million, $21.3 million and $0.3 million in fiscal 2014, fiscal 2013 and fiscal 2012, respectively. On April 30, 2013, the holder of the note payable secured by the mortgage on our building located at 520 Broad Street, Newark, New Jersey entered into an agreement with us to settle all of our disputes. In connection with this agreement, on May 1, 2013, we paid them $21.1 million and they released us from the note and discharged the mortgage.

 

In fiscal 2014, fiscal 2013 and fiscal 2012, we paid $1.0 million, $0.3 million and $0.2 million, respectively to repurchase shares of Class B common stock that were tendered by employees of ours to satisfy the employees’ tax withholding obligations in connection with the lapsing of restrictions on awards of restricted stock. Such shares are repurchased by us based on their fair market value on the trading day immediately prior to the vesting date.

 

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 in fiscal 2014. In fiscal 2013, we repurchased 77,843 shares of our Class B common stock for an aggregate purchase price of $0.8 million. In fiscal 2012, we repurchased 0.3 million shares of our Class B common stock for an aggregate purchase price of $2.6 million. As of July 31, 2014, 5.1 million shares remained available for repurchase under the stock repurchase program.

 

Changes in Trade Accounts Receivable, Allowance For Doubtful Accounts and Deferred Revenue

Gross trade accounts receivable increased to $80.8 million at July 31, 2014 from $78.2 million at July 31, 2013 primarily due to a $2.2 million increase in Fabrix’ gross trade accounts receivable balance from sales in June and July 2014.

 

The allowance for doubtful accounts as a percentage of gross trade accounts receivable was 14.2% at July 31, 2014 and 16.7% at July 31, 2013 as a result of the decline in the allowance for doubtful accounts at IDT Telecom and an increase in the gross trade accounts receivable balance at Fabrix.

 

Deferred revenue as a percentage of total revenues varies from period to period depending on the mix and the timing of revenues. Deferred revenue arises from IDT Telecom’s sales of calling cards and other prepaid products and from Fabrix’s sales of software licenses. Deferred revenue increased to $101.2 million at July 31, 2014 from $91.2 million at July 31, 2013 primarily as a result of a $8.4 million increase in IDT Telecom’s deferred revenues, primarily in the U.S., and a $1.5 million increase in deferred revenues from sales of Fabrix’s software licenses and support services.

 

CONTRACTUAL OBLIGATIONS AND OTHER COMMERCIAL COMMITMENTS

 

The following tables quantify our future contractual obligations and commercial commitments as of July 31, 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  $7.3   $2.8   $2.5   $1.8   $0.2 
Purchase commitments   2.3    2.3             
Revolving credit loan and notes payable (including interest)   20.1    13.7    6.4         
TOTAL CONTRACTUAL OBLIGATIONS  $29.7   $18.8   $8.9   $1.8   $0.2 

 

39
 

 

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)  $3.7   $0.9   $2.8   $   $ 

 

(1)The above table does not include an aggregate of $10.0 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 the Genie Spin-Off in October 2011, we and Genie entered into various agreements prior to the Genie Spin-Off including a Separation and Distribution Agreement to effect the separation and provide a framework for our relationship with Genie after the Genie 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 Genie 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.

 

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 July 31, 2014, we had aggregate performance bonds of $10.0 million outstanding.

 

Item 7A. Quantitative and Qualitative Disclosures about Market Risks.

 

FOREIGN CURRENCY RISK

 

Revenues from our international operations represented 30%, 23% and 29% of our consolidated revenues from continuing operations in fiscal 2014, fiscal 2013 and fiscal 2012, 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 revenues 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 July 31, 2014, the carrying value of our marketable securities and investments in hedge funds were $12.9 million and $9.5 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.

 

40
 

 

Item 8. Financial Statements and Supplementary Data. 

 

The Consolidated Financial Statements of the Company and the report of the independent registered public accounting firm thereon starting on page F-1 are included herein.

 

Item 9. Changes in and Disagreements with Accountants on Accounting and Financial Disclosure. 

 

None.

 

Item 9A. Controls and Procedures.

 

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 Annual Report on Form 10-K. Management based this assessment on criteria for effective internal control over financial reporting described in the 1992 Internal ControlIntegrated Framework issued by the Committee of Sponsoring Organizations of the Treadway Commission. Based on this evaluation, our Chief Executive Officer and Principal Financial Officer have concluded that our disclosure controls and procedures were effective as of July 31, 2014.

 

Changes in Internal Control over Financial Reporting 

There were no changes in our internal control over financial reporting during the fourth quarter of fiscal 2014 that have materially affected, or are reasonably likely to materially affect, our internal control over financial reporting.

 

Management’s report on internal control over financial reporting and the attestation report of our independent registered public accounting firm are included in this Annual Report on Form 10-K on pages 46 and 47.

 

Item 9B. Other Information. 

 

None.

 

41
 

 

Part III

 

Item 10. Directors, Executive Officers and Corporate Governance. 

 

The following is a list of our directors and executive officers along with the specific information required by Rule 14a-3 of the Securities Exchange Act of 1934:

 

Executive Officers 

Howard S. Jonas—Chairman of the Board 

 

Shmuel Jonas—Chief Executive Officer 

 

Marcelo Fischer—Senior Vice President—Finance 

 

Mitch Silberman—Chief Accounting Officer and Controller 

 

Joyce J. Mason—Executive Vice President, General Counsel and Corporate Secretary 

 

Menachem Ash—Executive Vice President of Strategy and Legal Affairs 

 

Bill Pereira—Chief Executive Officer, President and Co-Chairman of IDT Telecom 

  

Directors 

Howard S. Jonas—Chairman of the Board

 

Bill Pereira—Chief Executive Officer, President and Co-Chairman of IDT Telecom

 

Michael Chenkin - Certified Public Accountant; previously worked in the Audit Department of Coopers and Lybrand and as a consultant to the securities industry  

 

Eric F. Cosentino—Former Rector of the Episcopal Church of the Divine Love, Montrose, New York

 

Judah Schorr—Founder of Judah Schorr MD PC, an anesthesia provider to hospitals, ambulatory surgery centers and medical offices, and has been its President and owner since its inception

 

The remaining information required by this Item will be contained in our Proxy Statement for our Annual Stockholders Meeting, which will be filed with the Securities and Exchange Commission within 120 days after July 31, 2014, and which is incorporated by reference herein.

 

Corporate Governance 

We have included as exhibits to this Annual Report on Form 10-K certificates of our Chief Executive Officer and Principal Financial Officer certifying the quality of our public disclosure. In December 2013, our Chief Executive Officer submitted to the New York Stock Exchange a certificate certifying that he was not aware of any violations by us of the New York Stock Exchange corporate governance listing standards.

 

We make available free of charge through the investor relations page of our web site (www.idt.net/ir) our Annual Reports on Form 10-K, Quarterly Reports on Form 10-Q, Current Reports on Form 8-K and all amendments to those reports, and all beneficial ownership reports on Forms 3, 4 and 5 filed by directors, officers and beneficial owners of more than 10% of our equity, as soon as reasonably practicable after such reports are electronically filed with the Securities and Exchange Commission. We have adopted codes of business conduct and ethics for all of our employees, including our principal executive officer, principal financial officer and principal accounting officer. Copies of the codes of business conduct and ethics are available on our web site.

 

Our web site and the information contained therein or incorporated therein are not intended to be incorporated into this Annual Report on Form 10-K or our other filings with the Securities and Exchange Commission.

 

Item 11. Executive Compensation. 

 

The information required by this Item will be contained in our Proxy Statement for our Annual Stockholders Meeting, which will be filed with the Securities and Exchange Commission within 120 days after July 31, 2014, and which is incorporated by reference herein.

 

Item 12. Security Ownership of Certain Beneficial Owners and Management and Related Stockholder Matters. 

 

The information required by this Item will be contained in our Proxy Statement for our Annual Stockholders Meeting, which will be filed with the Securities and Exchange Commission within 120 days after July 31, 2014, and which is incorporated by reference herein.

 

Item 13. Certain Relationships and Related Transactions, and Director Independence. 

 

The information required by this Item will be contained in our Proxy Statement for our Annual Stockholders Meeting, which will be filed with the Securities and Exchange Commission within 120 days after July 31, 2014, and which is incorporated by reference herein.

 

Item 14. Principal Accounting Fees and Services. 

 

The information required by this Item will be contained in our Proxy Statement for our Annual Stockholders Meeting, which will be filed with the Securities and Exchange Commission within 120 days after July 31, 2014, and which is incorporated by reference herein.

 

42
 

 

Part IV

 

Item 15. Exhibits, Financial Statement Schedules.

 

(a) The following documents are filed as part of this Report:

 

1.Report of Management on Internal Control Over Financial Reporting

 

Report of Independent Registered Public Accounting Firm on Internal Control Over Financial Reporting

 

Report of Independent Registered Public Accounting Firm on Consolidated Financial Statements

 

Consolidated Financial Statements covered by Report of Independent Registered Public Accounting Firm

 

2.Financial Statement Schedule.

 

All schedules have been omitted since they are either included in the Notes to Consolidated Financial Statements or not required or not applicable.

 

3.The exhibits listed in paragraph (b) of this item. Exhibit Numbers 10.01 10.02, 10.03, 10.04, 10.05, 10.06 and 10.08 are management contracts or compensatory plans or arrangements.

 

(b) Exhibits.

 

Exhibit
Number
  Description of Exhibits
  3.01(1)   Third Restated Certificate of Incorporation of the Registrant.
     
  3.02(2)   Fourth Amended and Restated By-laws of the Registrant.
     
10.01(3)   Agreement, entered into as of October 21, 2009 between the Registrant and James A. Courter.
     
10.02(3)   Warrant to Purchase Common Stock, entered into as of October 21, 2009 between the Registrant and James A. Courter.
     
10.03(4)   Third Amended and Restated Employment Agreement, dated December 20, 2013, between the Registrant and Howard S. Jonas.
     
10.04(5)   1996 Stock Option and Incentive Plan, as amended and restated, of IDT Corporation.
     
10.05(6)   2005 Stock Option and Incentive Plan of IDT Corporation, as amended.
     
10.06(7)   Employment Agreement, dated November 22, 2011, between IDT Corporation and Bill Pereira.
     
10.7(8)   Credit Agreement, dated July 12, 2012, between IDT Telecom, Inc. and TD Bank, N.A.
     
10.8(9)   Stock Grant Agreement between the Registrant and Howard Jonas, dated December 27, 2012.
     
21.01*   Subsidiaries of the Registrant.
     
23.01*   Consent of Grant Thornton LLP.
     
31.01*   Certification of Chief Executive Officer pursuant to Section 302 of the Sarbanes-Oxley Act of 2002.
     
31.02*   Certification of Principal Financial Officer pursuant to Section 302 of the Sarbanes-Oxley Act of 2002.
     
32.01*   Certification of Chief Executive Officer pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.
     
32.02*   Certification of Principal Financial Officer pursuant to Section 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

 

43
 

 

*filed herewith.

 

(1)Incorporated by reference to Form 8-K, filed April 5, 2011.

 

(2)Incorporated by reference to Form 8-K, filed September 23, 2009.

 

(3)Incorporated by reference to Form 10-K for the fiscal year ended July 31, 2006, filed October 16, 2006.

 

(4)Incorporated by reference to Form 8-K/A, filed December 27, 2013.

 

(5)Incorporated by reference to Schedule 14A, filed November 3, 2004.

 

(6)Incorporated by reference to Schedule 14A, filed November 7, 2011.

 

(7)Incorporated by reference to Form 8-K, filed November 29, 2011.

 

(8)Incorporated by reference to Form 10-K for the fiscal year ended July 31, 2012, filed October 15, 2012

 

(9)Incorporated by reference to Form 8-K, filed December 31, 2012.

 

44
 

 

Signatures

 

Pursuant to the requirements of Section 13 or 15(d) of the Securities Exchange Act of 1934, the registrant has duly caused this Annual Report on Form 10-K to be signed on its behalf by the undersigned, thereunto duly authorized.

 

  IDT CORPORATION
   
  By:

/s/ Shmuel Jonas

   

Shmuel Jonas

Chief Executive Officer

 

Date:    October 14, 2014

 

Pursuant to the requirements of the Securities Exchange Act of 1934, this Annual Report on Form 10-K has been signed by the following persons on behalf of the Registrant and in the capacities and on the dates indicated.

 

Signature   Titles   Date
         
/s/ Shmuel Jonas   Chief Executive Officer (Principal Executive Officer)   October 14, 2014

Shmuel Jonas

       
         
/s/ Howard S. Jonas   Chairman of the Board   October 14, 2014
Howard S. Jonas        
         
/s/ Marcelo Fischer   Senior Vice President—Finance (Principal Financial Officer)   October 14, 2014

Marcelo Fischer

       
         
/s/ Mitch Silberman   Chief Accounting Officer and Controller   October 14, 2014

Mitch Silberman

  (Principal Accounting Officer)    
         
/s/ Bill Pereira   Director   October 14, 2014

Bill Pereira

       
         
/s/ Michael Chenkin   Director   October 14, 2014

Michael Chenkin

       
         
/s/ Eric F. Cosentino   Director   October 14, 2014

Eric F. Cosentino

       
         

/s/ Judah Schorr 

  Director   October 14, 2014
Judah Schorr        

 

45
 

 

REPORT OF MANAGEMENT ON INTERNAL CONTROL OVER FINANCIAL REPORTING

 

We, the management of IDT Corporation and subsidiaries (the “Company”), are responsible for establishing and maintaining adequate internal control over financial reporting of the Company.

 

The Company’s internal control over financial reporting is defined in Rule 13a-15(f) and 15d-15(f) promulgated under the Securities Exchange Act of 1934 as a process designed by, or under the supervision of, the Company’s principal executive and principal financial officers and effected by the Company’s board of directors, management and other personnel, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of the Company’s financial statements for external purposes in accordance with generally accepted accounting principles in the United States and includes those policies and procedures that:

 

1.Pertain to the maintenance of records that in reasonable detail accurately and fairly reflect the transactions and dispositions of assets of the Company;

 

2.Provide reasonable assurance that transactions are recorded as necessary to permit preparation of financial statements in accordance with generally accepted accounting principles, and that receipts and expenditures of the Company are being made only in accordance with authorizations of management and directors of the Company; and

 

3.Provide reasonable assurance regarding prevention or timely detection of unauthorized acquisition, use or disposition of the Company’s assets that could have a material effect on the financial statements.

 

Management has assessed the effectiveness of the Company’s internal control over financial reporting as of July 31, 2014. In making this assessment, the Company’s management used the criteria established in the 1992 Internal Control—Integrated Framework issued by the Committee of Sponsoring Organizations of the Treadway Commission.

 

Under the supervision and with the participation of our management, including our principal executive officer and principal financial officer, we conducted an evaluation of our internal control over financial reporting, as prescribed above, for the period covered by this report. Based on our evaluation, our principal executive officer and principal financial officer concluded that the Company’s internal control over financial reporting as of July 31, 2014 was effective in all material respects.

 

Because of its inherent limitations, internal control over financial reporting may not prevent or detect misstatements. Projections of any evaluation of effectiveness to future periods are subject to the risk that controls may become inadequate because of changes in conditions, or that the degree of compliance with the policies or procedures may deteriorate.

 

Grant Thornton LLP has provided an attestation report on the Company’s internal control over financial reporting as of July 31, 2014.

   
/s/ Shmuel Jonas  
Shmuel Jonas  
Chief Executive Officer  
   
/s/ Marcelo Fischer  
Marcelo Fischer  

Senior Vice President—Finance

(Principal Financial Officer)

 

 

46
 

 

REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

 

Board of Directors and Stockholders

IDT Corporation

 

We have audited the internal control over financial reporting of IDT Corporation (a Delaware corporation) and subsidiaries (the “Company”) as of July 31, 2014, based on criteria established in the 1992 Internal Control–Integrated Framework issued by the Committee of Sponsoring Organizations of the Treadway Commission (COSO). The Company’s management is responsible for maintaining effective internal control over financial reporting and for its assessment of the effectiveness of internal control over financial reporting, included in the accompanying Report of Management on Internal Control Over Financial Reporting. Our responsibility is to express an opinion on the Company’s internal control over financial reporting based on our audit.

 

We conducted our audit in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether effective internal control over financial reporting was maintained in all material respects. Our audit included obtaining an understanding of internal control over financial reporting, assessing the risk that a material weakness exists, testing and evaluating the design and operating effectiveness of internal control based on the assessed risk, and performing such other procedures as we considered necessary in the circumstances. We believe that our audit provides a reasonable basis for our opinion.

 

A company’s internal control over financial reporting is a process designed 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. A company’s internal control over financial reporting includes those policies and procedures that (1) pertain to the maintenance of records that, in reasonable detail, accurately and fairly reflect the transactions and dispositions of the assets of the company; (2) provide reasonable assurance that transactions are recorded as necessary to permit preparation of financial statements in accordance with generally accepted accounting principles, and that receipts and expenditures of the company are being made only in accordance with authorizations of management and directors of the company; and (3) provide reasonable assurance regarding prevention or timely detection of unauthorized acquisition, use, or disposition of the company’s assets that could have a material effect on the financial statements.

 

Because of its inherent limitations, internal control over financial reporting may not prevent or detect misstatements. Also, projections of any evaluation of effectiveness to future periods are subject to the risk that controls may become inadequate because of changes in conditions, or that the degree of compliance with the policies or procedures may deteriorate.

 

In our opinion, the Company maintained, in all material respects, effective internal control over financial reporting as of July 31, 2014, based on the criteria established in the 1992 Internal Control—Integrated Framework issued by COSO.

 

We also have audited, in accordance with the standards of the Public Company Accounting Oversight Board (United States), the consolidated financial statements of the Company as of and for the year ended July 31, 2014, and our report dated October 14, 2014 expressed an unqualified opinion on those financial statements.

 

/s/ GRANT THORNTON LLP

 

New York, New York

October 14, 2014

 

47
 

 

IDT Corporation

Index to Consolidated Financial Statements

 

Report of Independent Registered Public Accounting Firm F-2
   
Consolidated Balance Sheets as of July 31, 2014 and 2013 F-3
   
Consolidated Statements of Income for the years ended July 31, 2014, 2013 and 2012 F-4
   
Consolidated Statements of Comprehensive Income for the years ended July 31, 2014, 2013 and 2012 F-5
   
Consolidated Statements of Equity for the years ended July 31, 2014, 2013 and 2012 F-6
   
Consolidated Statements of Cash Flows for the years ended July 31, 2014, 2013 and 2012 F-9
   
Notes to Consolidated Financial Statements F-10

 

F-1
 

 

REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

 

Board of Directors and Stockholders

IDT Corporation

 

We have audited the accompanying consolidated balance sheets of IDT Corporation (a Delaware corporation) and subsidiaries (the “Company”) as of July 31, 2014 and 2013, and the related consolidated statements of income, comprehensive income, equity, and cash flows for each of the three years in the period ended July 31, 2014. These financial statements are the responsibility of the Company’s management. Our responsibility is to express an opinion on these financial statements based on our audits.

 

We conducted our audits in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements. An audit also includes assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.

 

In our opinion, the consolidated financial statements referred to above present fairly, in all material respects, the financial position of IDT Corporation and subsidiaries as of July 31, 2014 and 2013, and the results of their operations and their cash flows for each of the three years in the period ended July 31, 2014 in conformity with accounting principles generally accepted in the United States of America.

 

We also have audited, in accordance with the standards of the Public Company Accounting Oversight Board (United States), the Company’s internal control over financial reporting as of July 31, 2014, based on criteria established in the 1992 Internal Control–Integrated Framework issued by the Committee of Sponsoring Organizations of the Treadway Commission (COSO), and our report dated October 14, 2014 expressed an unqualified opinion.

 

/s/ GRANT THORNTON LLP

 

New York, New York

October 14, 2014

 

F-2
 

 

IDT CORPORATION

CONSOLIDATED BALANCE SHEETS

 

July 31
(in thousands)
  2014   2013 
ASSETS        
CURRENT ASSETS:        
Cash and cash equivalents  $153,823   $151,600 
Restricted cash and cash equivalents—short-term   65,706    34,988 
Marketable securities   12,873    9,684 
Trade accounts receivable, net of allowance for doubtful accounts of $11,507 and $13,079 at July 31, 2014 and 2013, respectively   69,330    65,078 
Prepaid expenses   21,799    19,175 
Deferred income tax assets, net—current portion   2,953    1,689 
Other current assets   12,381    12,730 
TOTAL CURRENT ASSETS   338,865    294,944 
Property, plant and equipment, net   81,760    80,742 
Goodwill   14,830    14,807 
Other intangibles, net   1,742    1,390 
Investments   10,008    9,605 
Restricted cash and cash equivalents—long-term   2,763    2,767 
Deferred income tax assets, net—long-term portion   16,248    20,000 
Other assets   14,715    11,152 
TOTAL ASSETS  $480,931   $435,407 
LIABILITIES AND EQUITY          
CURRENT LIABILITIES:          
Revolving credit loan payable  $13,000   $21,062 
Trade accounts payable   42,135    39,323 
Accrued expenses   142,528    145,432 
Deferred revenue   101,165    91,227 
Customer deposits   62,685    28,663 
Income taxes payable   732    761 
Dividends payable       1,837 
Notes payable—current portion   271    535 
Other current liabilities   5,468    4,829 
TOTAL CURRENT LIABILITIES   367,984    333,669 
Notes payable—long-term portion   6,353    6,624 
Other liabilities   5,430    5,978 
TOTAL LIABILITIES   379,767    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 July 31, 2014 and 2013   33    33 
Class B common stock, $.01 par value; authorized shares—200,000; 24,587 and 24,275 shares issued and 21,653 and 21,397 shares outstanding at July 31, 2014 and 2013, respectively   246    243 
Additional paid-in capital   392,858    388,533 
Treasury stock, at cost, consisting of 1,698 and 1,698 shares of Class A common stock and 2,934 and 2,878 shares of Class B common stock at July 31, 2014 and 2013, respectively   (99,841)   (98,836)
Accumulated other comprehensive income   3,668    2,341 
Accumulated deficit   (196,725)   (203,711)
Total IDT Corporation stockholders’ equity   100,239    88,603 
Noncontrolling interests   925    533 
TOTAL EQUITY   101,164    89,136 
TOTAL LIABILITIES AND EQUITY  $480,931   $435,407 

 

See accompanying notes to consolidated financial statements.

 

F-3
 

 

IDT CORPORATION

CONSOLIDATED STATEMENTS OF INCOME

 

Year ended July 31
(in thousands, except per share data)
  2014   2013   2012 
REVENUES  $1,651,541   $1,620,617   $1,506,283 
COSTS AND EXPENSES:               
Direct cost of revenues (exclusive of depreciation and amortization)   1,367,266    1,355,573    1,269,386 
Selling, general and administrative (i)   228,934    218,469    206,906 
Depreciation and amortization   16,318    14,910    16,648 
Research and development   10,018    7,166    4,569 
Impairment of building and improvements       4,359     
TOTAL COSTS AND EXPENSES   1,622,536    1,600,477    1,497,509 
Other operating gains (losses), net   835    9,251    (15,870)
Income (loss) from operations   29,840    29,391    (7,096)
Interest expense, net   (148)   (824)   (2,985)
Other (expense) income, net   (4,700)   5,383    (1,767)
Income (loss) from continuing operations before income taxes   24,992    33,950    (11,848)
(Provision for) benefit from income taxes   (3,982)   (15,872)   42,782 
Income from continuing operations   21,010    18,078    30,934 
Discontinued operations, net of tax:               
(Loss) income from discontinued operations       (4,634)   5,851 
Income on sale of discontinued operations           2,000 
Total discontinued operations       (4,634)   7,851 
NET INCOME   21,010    13,444    38,785 
Net income attributable to noncontrolling interests   (2,226)   (1,837)   (137)
NET INCOME ATTRIBUTABLE TO IDT CORPORATION  $18,784   $11,607   $38,648 
Amounts attributable to IDT Corporation common stockholders:               
Income from continuing operations  $18,784   $16,048   $29,901 
(Loss) income from discontinued operations       (4,441)   8,747 
Net income  $18,784   $11,607   $38,648 
Earnings per share attributable to IDT Corporation common stockholders:               
Basic:               
Income from continuing operations  $0.85   $0.77   $1.45 
(Loss) income from discontinued operations       (0.21)   0.42 
Net income  $0.85   $0.56   $1.87 
Weighted-average number of shares used in calculation of basic earnings per share   22,009    20,876    20,717 
Diluted:               
Income from continuing operations  $0.82   $0.72   $1.36 
(Loss) income from discontinued operations       (0.20)   0.39 
Net income  $0.82   $0.52   $1.75 
Weighted-average number of shares used in calculation of diluted earnings per share   22,937    22,315    22,060 
(i) Stock-based compensation included in selling, general and administrative expenses  $5,382   $5,875   $3,325 

 

See accompanying notes to consolidated financial statements.

 

F-4
 

 

IDT CORPORATION

CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME

 

Year ended July 31
(in thousands)
  2014   2013   2012 
NET INCOME  $21,010   $13,444   $38,785 
Other comprehensive income (loss):               
Change in unrealized (loss) gain on available-for-sale securities   (8)   (1)   4 
Foreign currency translation adjustments   1,335    2,092    (2,272)
Other comprehensive income (loss)   1,327    2,091    (2,268)
COMPREHENSIVE INCOME   22,337    15,535    36,517 
Comprehensive income attributable to noncontrolling interests   (2,226)   (1,789)   (256)
COMPREHENSIVE INCOME ATTRIBUTABLE TO IDT CORPORATION  $20,111   $13,746   $36,261 

 

See accompanying notes to consolidated financial statements.

 

F-5
 

 

IDT CORPORATION

CONSOLIDATED STATEMENTS OF EQUITY (in thousands)

 

    

IDT Corporation Stockholders

    

Noncontrolling Interests

      
                        Accumulated                     
    

Class A

    Class B     

Additional

         

Other

           

Receivable for

      
    

Common Stock

    

Common Stock

    

Paid-In

    

Treasury

    

Comprehensive

    

Accumulated

    

Noncontrolling

    

issuance of

    

Total

 
    

Shares

    

Amount

    

Shares

    

Amount

    

Capital

    

Stock

    Income    

Deficit

    

Interests

    

equity

    

Equity

 
BALANCE AT JULY 31, 2011   3,272   $33    23,586   $236   $520,732   $(94,941)  $3,027   $(219,992)  $(4,305)  $(1,000)  $203,790 
Dividends declared ($0.66 per share)                               (15,014)           (15,014)
Restricted Class B common stock purchased from employee                       (210)                   (210)
Repurchases of Class B common stock through repurchase program                       (2,606)                   (2,606)
Stock-based compensation                   3,605                        3,605 
Restricted stock issued to employees and directors           433    4    (4)                        
Stock issued for matching contributions to the 401(k) Plan           93    1    910                        911 
Sale of stock of subsidiary                   (78)               211        133 
Distributions to noncontrolling interests                                   (1,580)       (1,580)
Other                                   225        225 
Genie Spin-Off                   (129,296)       (438)       5,688    1,000    (123,046)
Other comprehensive (loss) income                           (2,387)       119        (2,268)
Net income for the year ended July 31, 2012                               38,648    137        38,785 
BALANCE AT JULY 31, 2012   3,272    33    24,112    241    395,869    (97,757)   202    (196,358)   495        102,725 

 

F-6
 

 

IDT CORPORATION

CONSOLIDATED STATEMENTS OF EQUITY (in thousands)—(Continued)

 

    

IDT Corporation Stockholders

    

Noncontrolling Interests

      
                        Accumulated                     
    

Class A

    Class B     

Additional

         

Other

           

Receivable for

      
    

Common Stock

    

Common Stock

    

Paid-In

    

Treasury

    

Comprehensive

    

Accumulated

    

Noncontrolling

    

issuance of

    

Total

 
    

Shares

    

Amount

    

Shares

    

Amount

    

Capital

    

Stock

    Income    

Deficit

    

Interests

    

equity

    

Equity

 
Dividends declared ($0.83 per share)                               (18,960)           (18,960)
Restricted Class B common stock purchased from employees                       (301)                   (301)
Repurchases of Class B common stock through repurchase program                       (778)                   (778)
Exercise of stock options           62    1    920                        921 
Stock-based compensation                   6,412                204        6,616 
Restricted stock issued to employees and directors           49    1    (1)                        
Stock issued for matching contributions to the 401(k) Plan           52        932                        932 
Purchases of stock of subsidiary                   (1,795)               (9)       (1,804)
Sale of stock of subsidiary                   (58)               203        145 
Distributions to noncontrolling interests                                   (2,245)       (2,245)
Exercise of stock options in subsidiary                   3                6        9 
Straight Path Spin-Off                   (13,749)               90        (13,659)
Other comprehensive income (loss)                           2,139        (48)       2,091 
Net income for the year ended July 31, 2013                               11,607    1,837        13,444 
BALANCE AT JULY 31, 2013   3,272    33    24,275    243    388,533    (98,836)   2,341    (203,711)   533        89,136 

 

F-7
 

 

IDT CORPORATION

CONSOLIDATED STATEMENTS OF EQUITY (in thousands)—(Continued)

 

    

IDT Corporation Stockholders

    

Noncontrolling Interests

      
                        Accumulated                     
    

Class A

    Class B     

Additional

         

Other

           

Receivable for

      
    

Common Stock

    

Common Stock

    

Paid-In

    

Treasury

    

Comprehensive

    

Accumulated

    

Noncontrolling

    

issuance of

    

Total

 
    

Shares

    

Amount

    

Shares

    

Amount

    

Capital

    

Stock

    Income    

Deficit

    

Interests

    

equity

    

Equity

 
Dividends declared ($0.51 per share)                               (11,798)           (11,798)
Restricted Class B common stock purchased from employees                       (1,005)                   (1,005)
Exercise of stock options           46        606                3        609 
Stock-based compensation                   5,332                30        5,362 
Restricted stock issued to employees and directors           194    2    (2)                        
Stock issued for matching contributions to the 401(k) Plan           72    1    1,167                        1,168 
Purchases of stock of subsidiary                   (1,154)               21        (1,133)
Distributions to noncontrolling interests                                   (1,888)       (1,888)
Adjustment to liabilities in connection with the Straight Path Spin-Off                   (1,624)                       (1,624)
Other comprehensive income                           1,327                1,327 
Net income for the year ended July 31, 2014                               18,784    2,226        21,010 
BALANCE AT JULY 31, 2014   3,272   $33    24,587   $246   $392,858   $(99,841)  $3,668   $(196,725)  $925   $   $101,164 

 

See accompanying notes to consolidated financial statements.

 

F-8
 

 

IDT CORPORATION

CONSOLIDATED STATEMENTS OF CASH FLOWS

 

Year ended July 31
(in thousands)
  2014   2013   2012 
OPERATING ACTIVITIES            
Net income  $21,010   $13,444   $38,785 
Adjustments to reconcile net income to net cash provided by operating activities:               
Net loss (income) from discontinued operations       4,634    (7,851)
Depreciation and amortization   16,318    14,910    16,648 
Impairment of building and improvements       4,359     
Deferred income taxes   2,487    15,198    (37,925)
Provision for doubtful accounts receivable   500    2,743    2,098 
Net realized gains from investments       (586)    
Gain on proceeds from insurance   (571)        
Interest in the equity of investments   (1,282)   (1,968)   (1,157)
Stock-based compensation   5,382    5,875    3,325 
Change in assets and liabilities:               
Restricted cash and cash equivalents   (25,292)   (23,006)   (7,733)
Trade accounts receivable   (1,363)   17,606    8,728 
Prepaid expenses, other current assets and other assets   (4,628)   2,890    (2,100)
Trade accounts payable, accrued expenses, other current liabilities and other liabilities   (5,914)   (22,578)   10,703 
Customer deposits   30,186    17,998    9,057 
Income taxes payable   (29)   (576)   (4,721)
Deferred revenue   8,917    6,253    6,666 
Net cash provided by operating activities   45,721    57,196    34,523 
INVESTING ACTIVITIES               
Capital expenditures   (17,021)   (14,537)   (10,830)
Deposit on purchase of leasehold interest in building       (950)    
Collection of notes receivable, net       750     
Cash used for acquisition and purchase of investments   (175)   (1,219)    
Proceeds from sales and redemptions of investments   1,038    114    3,169 
Purchases of other intangibles   (250)   (93)    
Proceeds from sale of building   250         
Proceeds from insurance   571         
Purchases of marketable securities   (20,658)   (11,414)    
Proceeds from maturities and sales of marketable securities   17,323    1,712     
Proceeds from maturities of certificates of deposit           3,300 
Net cash used in investing activities   (18,922)   (25,637)   (4,361)
FINANCING ACTIVITIES               
Cash of subsidiaries deconsolidated as a result of spin-offs       (15,000)   (104,243)
Dividends paid   (13,635)   (17,123)   (15,014)
Distributions to noncontrolling interests   (1,888)   (2,245)   (1,580)
Purchases of stock of subsidiary   (1,133)   (1,804)    
Proceeds from sales of stock and exercise of stock options of subsidiary       154    133 
Proceeds from exercise of stock options   609    921     
Repayments of capital lease obligations           (1,781)
Proceeds from revolving credit loan payable   56,000    21,062     
Repayments of revolving credit loan payable and other borrowings   (64,318)   (21,304)   (332)
Repurchases of Class B common stock   (1,005)   (1,079)   (2,816)
Net cash used in financing activities   (25,370)   (36,418)   (125,633)
DISCONTINUED OPERATIONS               
Net cash used in operating activities       (2,638)   (1,984)
Net cash (used in) provided by investing activities       (350)   4,992 
Net cash (used in) provided by discontinued operations       (2,988)   3,008 
Effect of exchange rate changes on cash and cash equivalents   794    1,241    (2,335)
Net increase (decrease) in cash and cash equivalents   2,223    (6,606)   (94,798)
Cash and cash equivalents (including discontinued operations) at beginning of year   151,600    158,206    253,004 
Cash and cash equivalents (including discontinued operations) at end of year   153,823    151,600    158,206 
Less cash and cash equivalents of discontinued operations at end of year           (2,598)
Cash and cash equivalents (excluding discontinued operations) at end of year  $153,823   $151,600   $155,608 
SUPPLEMENTAL DISCLOSURE OF CASH FLOW INFORMATION               
Cash payments made for interest  $743   $1,286   $3,621 
Cash payments made for income taxes  $1,115   $483   $1,049 
SUPPLEMENTAL SCHEDULE OF NON-CASH FINANCING AND INVESTING ACTIVITIES               
Adjustment to liabilities in connection with the Straight Path Spin-Off  $1,624       $ 
Escrow account balances included in other current assets used to reduce notes payable  $   $1,976   $ 
Net liabilities (assets) excluding cash and cash equivalents of subsidiaries deconsolidated as a result of spin-offs  $   $1,341   $(18,803)

 

See accompanying notes to consolidated financial statements.

 

F-9
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS

 

Note 1—Description of Business and Summary of Significant Accounting Policies

 

Description of Business 

IDT Corporation (“IDT” or the “Company”) is a multinational holding company with operations primarily in the telecommunications and payment industries. The Company has three reportable business segments, Telecom Platform Services, Consumer Phone Services and Zedge Holdings, Inc. (“Zedge”). Telecom Platform Services provides retail telecommunications and payment offerings as well as wholesale international long distance traffic termination. Consumer Phone Services provides consumer local and long distance services in certain U.S. states. Telecom Platform Services and Consumer Phone Services comprise the IDT Telecom division. Zedge owns and operates an online platform for mobile phone consumers interested in obtaining free, high-quality games, apps, and mobile phone customization including ringtones, wallpapers, and notification sounds. Operating segments not reportable individually are included in All Other. All Other includes Fabrix Systems Ltd. (“Fabrix”), a software development company offering a cloud-based scale-out storage and computing platform optimized for big data, virtualization and media storage, processing and delivery. The Company sold Fabrix in October 2014 (see Note 22). All Other also includes the Company’s real estate holdings and other, smaller, businesses.

 

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”) (see Note 2). On October 28, 2011, the Company completed a pro rata distribution of the common stock of the Company’s subsidiary, Genie Energy Ltd. (“Genie”), to the Company’s stockholders of record as of the close of business on October 21, 2011 (the “Genie Spin-Off”) (see Note 2). Straight Path and Genie 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.

 

Basis of Consolidation and Accounting for Investments

The method of accounting applied to long-term investments, whether consolidated, equity or cost, involves an evaluation of the significant terms of each investment that explicitly grant or suggest evidence of control or influence over the operations of the investee and also includes the identification of any variable interests in which the Company is the primary beneficiary. The consolidated financial statements include the Company’s controlled subsidiaries. In addition, the Company has not identified any variable interests in which the Company is the primary beneficiary. All significant intercompany accounts and transactions between the consolidated subsidiaries are eliminated.

 

Investments in businesses that the Company does not control, but in which the Company has the ability to exercise significant influence over operating and financial matters, are accounted for using the equity method. Investments in which the Company does not have the ability to exercise significant influence over operating and financial matters are accounted for using the cost method. Investments in hedge funds are accounted for using the equity method unless the Company’s interest is so minor that it has virtually no influence over operating and financial policies, in which case these investments are accounted for using the cost method. At July 31, 2014 and 2013, the Company had $9.4 million and $8.1 million, respectively, in investments accounted for using the equity method, and $1.8 million and $1.5 million, respectively, in investments accounted for using the cost method. Equity and cost method investments are included in “Other current assets” or “Investments” in the accompanying consolidated balance sheets. The Company periodically evaluates its equity and cost method investments for impairment due to declines considered to be other than temporary. If the Company determines that a decline in fair value is other than temporary, then a charge to earnings is recorded in “Other (expense) income, net” in the accompanying consolidated statements of income, and a new basis in the investment is established.

 

Reclassifications

Certain prior year amounts were reclassified to conform to the current year’s presentation:

 

  In the consolidated balance sheet, $4.6 million previously included in “Restricted cash and cash equivalents—long-term” at July 31, 2013 was reclassified to “Cash and cash equivalents”;
     
  In the consolidated statements of cash flows, cash used for “Restricted cash and cash equivalents” in the years ended July 31, 2013 and 2012 of $2.1 million and $2.0 million, respectively, was reclassified to “Cash and cash equivalents”; and
     
  In the consolidated statement of cash flows, $8.7 million previously included in “Restricted cash and cash equivalents” at July 31, 2011 was reclassified to “Cash and cash equivalents”.

 

F-10
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

Use of Estimates

The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America (“U.S. GAAP”) requires management to make estimates and assumptions that affect the amounts reported in the financial statements and accompanying notes. Actual results may differ from those estimates.

 

Revenue Recognition

Telephone service, which includes domestic and international long distance, local service, and wholesale carrier telephony services is recognized as revenue when services are provided, primarily based on usage and/or the assessment of fees. Revenue from Boss Revolution PIN-less international calling service and from sales of calling cards, net of customer discounts, is deferred until the service or the cards are used or, calling card administrative fees are imposed, thereby reducing the Company’s outstanding obligation to the customer, at which time revenue is recognized. Domestic and international airtime top-up revenue is recognized upon redemption. International airtime top-up enables customers to purchase airtime for a prepaid mobile telephone in another country.

 

IDT Telecom enters into reciprocal transactions pursuant to which IDT Telecom is committed to purchase a specific number of minutes to specific destinations at specified rates, and the counterparty is committed to purchase from IDT Telecom a specific number of minutes to specific destinations at specified rates. The number of minutes purchased and sold in a reciprocal transaction is not necessarily equal. The rates in these reciprocal transactions are generally greater than prevailing market rates. In addition, IDT Telecom enters into transactions in which it swaps minutes with another carrier. The Company recognizes revenue and the related direct cost of revenue for these reciprocal and swap transactions based on the fair value of the minutes.

 

Zedge revenues from traditional web/mobile web and Android/iOS applications are recognized based on blocks of impressions or ad views. Revenues from mobile games are recognized upon download by the end user.

 

Revenue from Fabrix for software licenses and maintenance support was deferred and recognized on a straight-line basis from the date on which delivered orders were accepted by the customer over the period that the support was expected to be provided since sufficient vendor-specific objective evidence of fair value to allocate revenues to the various deliverables did not exist in fiscal 2014, fiscal 2013 or fiscal 2012.

 

Direct Cost of Revenues

Direct cost of revenues for IDT Telecom consists primarily of termination and origination costs, toll-free costs, and network costs—including customer/carrier interconnect charges and leased fiber circuit charges. These costs include an estimate of charges for which invoices have not yet been received, and estimated amounts for pending disputes with other carriers. Subsequent adjustments to these estimates may occur after the invoices are received for the actual costs incurred, but these adjustments generally are not material to the Company’s results of operations. Direct cost of revenues for IDT Telecom also includes the cost of airtime top-up minutes.

 

Direct cost of revenues for Zedge consists of ad server costs, web hosting charges, and copyright/infringement prevention costs.

 

Direct cost of revenues for Fabrix consisted primarily of customer support expenses.

 

Direct cost of revenues excludes depreciation and amortization expense.

 

Cash and Cash Equivalents

The Company considers all highly liquid investments with an original maturity of three months or less when purchased to be cash equivalents.

 

Restricted Cash and Cash Equivalents

The Company classifies the change in its restricted cash and cash equivalents as an operating activity in the accompanying consolidated statements of cash flows because the restrictions are directly related to the operations of IDT Financial Services, the Company’s Gibraltar-based bank, and IDT Telecom.

 

Substantially Restricted Cash and Cash Equivalents

IDT Payment Services, which provides the Company’s international money transfer services in the United States, and IDT Financial Services set aside certain cash balances in accordance with banking regulations, credit card issuer requirements or license compliance. These balances are included in “Cash and cash equivalents” in the Company’s consolidated balance sheet. The balances are not legally restricted, however the Company treats these balances as substantially restricted and unavailable for other purposes.

 

F-11
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

Marketable Securities

The Company’s investments in marketable securities are classified as “available-for-sale.” Available-for-sale securities are required to be carried at their fair value, with unrealized gains and losses (net of income taxes) that are considered temporary in nature recorded in “Accumulated other comprehensive income” in the accompanying consolidated balance sheets. The Company uses the specific identification method in computing the gross realized gains and gross realized losses on the sales of marketable securities. The Company periodically evaluates its investments in marketable securities for impairment due to declines in market value considered to be other than temporary. Such impairment evaluations include, in addition to persistent, declining market prices, general economic and Company-specific evaluations. If the Company determines that a decline in market value is other than temporary, then a charge to operations is recorded in “Other (expense) income, net” in the accompanying consolidated statements of income and a new cost basis in the investment is established.

 

Long-Lived Assets

Equipment, buildings, computer software and furniture and fixtures are recorded at cost and are depreciated on a straight-line basis over their estimated useful lives, which range as follows: equipment—5, 7 or 20 years; buildings—40 years; computer software—2, 3 or 5 years and furniture and fixtures—5, 7 or 10 years. Leasehold improvements are recorded at cost and are depreciated on a straight-line basis over the term of their lease or their estimated useful lives, whichever is shorter.

 

Costs associated with obtaining the right to use trademark and patents owned by third parties are capitalized and amortized on a straight-line basis over the term of the relevant trademark and patent licenses. The fair value of technology and domain names, customer lists, and trademark acquired in a business combination accounted for under the purchase method are amortized over their estimated useful lives as follows: technology and domain names are amortized on a straight-line basis over the 3 year estimated useful lives; customer lists are amortized ratably over the approximately 15 year period of expected cash flows; and trademark is amortized on a straight-line basis over the 5 year period of expected cash flows.

 

The Company tests the recoverability of its long-lived assets with finite useful lives whenever events or changes in circumstances indicate that the carrying value of the asset may not be recoverable. The Company tests for recoverability based on the projected undiscounted cash flows to be derived from such asset. If the projected undiscounted future cash flows are less than the carrying value of the asset, the Company will record an impairment loss, if any, based on the difference between the estimated fair value and the carrying value of the asset. The Company generally measures fair value by considering sale prices for similar assets or by discounting estimated future cash flows from such asset using an appropriate discount rate. Cash flow projections and fair value estimates require significant estimates and assumptions by management. Should the estimates and assumptions prove to be incorrect, the Company may be required to record impairments in future periods and such impairments could be material.

 

Goodwill

Goodwill is the excess of the acquisition cost of businesses over the fair value of the identifiable net assets acquired. Goodwill and other indefinite lived intangible assets are not amortized. These assets are reviewed annually (or more frequently under various conditions) for impairment using a fair value approach. The goodwill impairment assessment involves estimating the fair value of the reporting unit and comparing it to its carrying amount, which is known as Step 1. If the carrying value of the reporting unit exceeds its estimated fair value, Step 2 is performed to determine if an impairment of goodwill is required. The fair value of the reporting units is estimated using discounted cash flow methodologies, as well as considering third party market value indicators. Goodwill impairment is measured by the excess of the carrying amount of the reporting unit’s goodwill over its implied fair value. Calculating the fair value of the reporting units, and allocating the estimated fair value to all of the tangible assets, intangible assets and liabilities, requires significant estimates and assumptions by management. Should the estimates and assumptions regarding the fair value of the reporting units prove to be incorrect, the Company may be required to record impairments to its goodwill in future periods and such impairments could be material.

 

The Company has the option to perform a qualitative assessment to determine whether it is necessary to perform the two-step quantitative goodwill impairment test. However, the Company may elect to perform the two-step quantitative goodwill impairment test even if no indications of a potential impairment exist.

 

For its reporting unit with zero or negative carrying amount, the Company performs Step 2 of the goodwill impairment test if it is more likely than not that a goodwill impairment exists. In determining whether it is more likely than not that goodwill impairment exists, the Company considers whether there are any adverse qualitative factors indicating that impairment may exist.

 

Advertising Expense

Cost of advertising is charged to selling, general and administrative expenses in the period in which it is incurred. In fiscal 2014, fiscal 2013 and fiscal 2012, advertising expense was $17.2 million, $13.1 million and $17.0 million, respectively.

 

F-12
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

Research and Development Costs

Costs for research and development are charged to expense as incurred. Research and development costs were primarily incurred by Fabrix.

 

Capitalized Internal Use Software Costs

The Company capitalizes the cost of internal-use software that has a useful life in excess of one year. These costs consist of payments made to third parties and the salaries of employees working on such software development. Subsequent additions, modifications or upgrades to internal-use software are capitalized only to the extent that they allow the software to perform a task it previously did not perform. Software maintenance and training costs are expensed in the period in which they are incurred. Capitalized internal use software costs are amortized on a straight-line basis over their estimated useful lives. Amortization expense related to such capitalized software in fiscal 2014, fiscal 2013 and fiscal 2012 was $7.6 million, $6.3 million and $5.8 million, respectively. Unamortized capitalized internal use software costs at July 31, 2014 and 2013 were $13.2 million and $10.2 million, respectively.

 

Repairs and Maintenance

The Company charges the cost of repairs and maintenance, including the cost of replacing minor items not constituting substantial betterment, to selling, general and administrative expenses as these costs are incurred.

 

Foreign Currency Translation

Assets and liabilities of foreign subsidiaries denominated in foreign currencies are translated to U.S. Dollars at end-of-period rates of exchange, and their monthly results of operations are translated to U.S. Dollars at the average rates of exchange for that month. Gains or losses resulting from such foreign currency translations are recorded in “Accumulated other comprehensive income” in the accompanying consolidated balance sheets. Foreign currency transaction gains and losses are reported in “Other (expense) income, net” in the accompanying consolidated statements of income.

 

Income Taxes

The Company recognizes deferred tax assets and liabilities for the future tax consequences attributable to temporary differences between the financial statements carrying amounts of existing assets and liabilities and their respective tax bases. A valuation allowance is provided when it is more likely than not that some portion or all of a deferred tax asset will not be realized. The ultimate realization of deferred tax assets depends on the generation of future taxable income during the period in which related temporary differences become deductible. The Company considers the scheduled reversal of deferred tax liabilities, projected future taxable income and tax planning strategies in its assessment of a valuation allowance. Deferred tax assets and liabilities are measured using the enacted tax rates expected to apply to taxable income in the years in which those temporary differences are expected to be recovered or settled. The effect on deferred tax assets and liabilities of a change in tax rates is recognized in income in the period that includes the enactment date of such change.

 

The Company uses a two-step approach for recognizing and measuring tax benefits taken or expected to be taken in a tax return. The Company determines whether it is more-likely-than-not that a tax position will be sustained upon examination, including resolution of any related appeals or litigation processes, based on the technical merits of the position. In evaluating whether a tax position has met the more-likely-than-not recognition threshold, the Company presumes that the position will be examined by the appropriate taxing authority that has full knowledge of all relevant information. Tax positions that meet the more-likely-than-not recognition threshold are measured to determine the amount of tax benefit to recognize in the financial statements. The tax position is measured at the largest amount of benefit that is greater than 50 percent likely of being realized upon ultimate settlement. Differences between tax positions taken in a tax return and amounts recognized in the financial statements will generally result in one or more of the following: an increase in a liability for income taxes payable, a reduction of an income tax refund receivable, a reduction in a deferred tax asset, or an increase in a deferred tax liability.

 

The Company classifies interest and penalties on income taxes as a component of income tax expense.

 

Contingencies

The Company accrues for loss contingencies when both (a) information available prior to issuance of the financial statements indicates that it is probable that a liability had been incurred at the date of the financial statements and (b) the amount of loss can reasonably be estimated. When the Company accrues for loss contingencies and the reasonable estimate of the loss is within a range, the Company records its best estimate within the range. When no amount within the range is a better estimate than any other amount, the Company accrues the minimum amount in the range. The Company discloses an estimated possible loss or a range of loss when it is at least reasonably possible that a loss may have been incurred.

 

F-13
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

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 determined 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:

 

Year ended July 31
(in thousands)
  2014   2013   2012 
Basic weighted-average number of shares   22,009    20,876    20,717 
Effect of dilutive securities:               
Stock options   92    9     
Non-vested restricted Class B common stock   836    1,430    1,343 
Diluted weighted-average number of shares   22,937    22,315    22,060 

 

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:

 

Year ended July 31
(in thousands)
  2014   2013   2012 
Shares excluded from the calculation of diluted earnings per share   70    611    619 

 

Stock-Based Compensation

The Company recognizes compensation expense for all of its grants of stock-based awards based on the estimated fair value on the grant date. Compensation cost for awards is recognized using the straight-line method over the vesting period. Stock-based compensation is included in selling, general and administrative expense.

 

Taxes Collected from Customers and Remitted to Governmental Authorities

The Company collects taxes from its customers that are remitted to governmental authorities in the normal course of its operations. These taxes, which are imposed on or are concurrent with specific revenue-producing transactions, include Universal Service Fund (“USF”) charges, sales, use, value added and certain excise taxes. The Company currently records USF charges that are billed to customers on a gross basis in its results of operations, and records other taxes on a net basis. USF charges in the amount of $0.6 million, $0.8 million and $1.1 million in fiscal 2014, fiscal 2013 and fiscal 2012, respectively, were recorded on a gross basis and included in “Revenues” and “Direct cost of revenues” in the accompanying consolidated statements of income.

 

Vulnerability Due to Certain Concentrations

Financial instruments that potentially subject the Company to concentration of credit risk consist principally of cash, cash equivalents, restricted cash and cash equivalents, marketable securities, investments in hedge funds and trade accounts receivable. The Company holds cash and cash equivalents at several major financial institutions, which often exceed FDIC insurance limits. Historically, the Company has not experienced any losses due to such concentration of credit risk. The Company’s temporary cash investments policy is to limit the dollar amount of investments with any one financial institution and monitor the credit ratings of those institutions. While the Company may be exposed to credit losses due to the nonperformance of the holders of its deposits, the Company does not expect the settlement of these transactions to have a material effect on its results of operations, cash flows or financial condition.

 

Concentration of credit risk with respect to trade accounts receivable is limited due to the large number of customers in various geographic regions and industry segments comprising the Company’s customer base. No single customer accounted for more than 10% of consolidated revenues in fiscal 2014, fiscal 2013 or fiscal 2012. However, the Company’s five largest customers collectively accounted for 12.0%, 10.0% and 8.1% of its consolidated revenues from continuing operations in fiscal 2014, fiscal 2013 and fiscal 2012, respectively. The Company’s customers with the five largest receivables balances collectively accounted for 22.1% and 16.6% of the consolidated gross trade accounts receivable at July 31, 2014 and 2013, respectively. This concentration of customers increases the Company’s risk associated with nonpayment by those customers. In an effort to reduce such risk, the Company performs ongoing credit evaluations of its significant retail, wholesale and cable telephony customers. In addition, the Company attempts to mitigate the credit risk related to specific wholesale termination customers by also buying services from the customer, in order to create an opportunity to offset its payables and receivables and reduce its net trade receivable exposure risk. When it is practical to do so, the Company will increase its purchases from wholesale termination customers with receivable balances that exceed the Company’s applicable payables in order to maximize the offset and reduce its credit risk.

 

F-14
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

Allowance for Doubtful Accounts

The allowance for doubtful accounts reflects the Company’s best estimate of probable losses inherent in the accounts receivable balance. The allowance is determined based on known troubled accounts, historical experience and other currently available evidence. Doubtful accounts are written-off upon final determination that the trade accounts will not be collected. The change in the allowance for doubtful accounts is as follows:

 

Year ended July 31
(in thousands)
  Balance at
beginning of
year
   Additions
charged to
costs and
expenses
   Deductions(1)   Balance at
end of year
 
2014                
Reserves deducted from accounts receivable:                
Allowance for doubtful accounts  $13,079   $500   $(2,072)  $11,507 
2013                    
Reserves deducted from accounts receivable:                    
Allowance for doubtful accounts  $13,044   $2,743   $(2,708)  $13,079 
2012                    
Reserves deducted from accounts receivable:                    
Allowance for doubtful accounts  $15,364   $2,098   $(4,418)  $13,044 

 

(1) Primarily uncollectible accounts written off, net of recoveries.

 

Fair Value Measurements

Fair value of financial and non-financial assets and liabilities is defined as an exit price, which is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date. The three-tier hierarchy for inputs used to measure fair value, which prioritizes the inputs to valuation techniques used to measure fair value, is as follows:

 

Level 1 –  quoted prices (unadjusted) in active markets for identical assets or liabilities.
Level 2 –  quoted prices for similar assets and liabilities in active markets or inputs that are observable for the asset or liability, either directly or indirectly through market corroboration, for substantially the full term of the financial instrument.
Level 3 –  unobservable inputs based on the Company’s assumptions used to measure assets and liabilities at fair value.

 

A financial asset or liability’s classification within the hierarchy is determined based on the lowest level input that is significant to the fair value measurement. The assessment of the significance of a particular input to the fair value measurement requires judgment, and may affect the valuation of the assets and liabilities being measured and their placement within the fair value hierarchy.

 

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.

 

Recently Adopted Accounting Standard

In April 2014, an accounting standard update was issued that changed the criteria for reporting discontinued operations and enhanced 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. 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 adopted this standard update as of August 1, 2014. In accordance with this standard update, the Company does not expect the sale of Fabrix in October 2014 to qualify as a discontinued operation. The Company is unable to determine at this time whether the adoption of this standard update will have further effect on its financial position, results of operations or cash flows in the future for other disposals.

 

F-15
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

Note 2—Discontinued Operations

 

Straight Path Communications, Inc.

On July 31, 2013, the Company completed a pro rata distribution of the common stock of the Company’s subsidiary, Straight Path Communications Inc., to the Company’s stockholders of record as of the close of business on July 25, 2013. 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.

 

Genie Energy Ltd.

On October 28, 2011, the Company completed a pro rata distribution of the common stock of the Company’s subsidiary, Genie Energy Ltd., to the Company’s stockholders of record as of the close of business on October 21, 2011. At the time of the Genie Spin-Off, Genie owned 99.3% of Genie Energy International Corporation, which owned 100% of IDT Energy and 92% of Genie Oil and Gas, Inc. As of October 28, 2011, each of the Company’s stockholders received one share of Genie Class A common stock for every share of the Company’s Class A common stock and one share of Genie Class B common stock for every share of the Company’s Class B common stock held of record as of the close of business on October 21, 2011. Genie and 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 received a ruling from the Internal Revenue Service (“IRS”) substantially to the effect that, for U.S. federal income tax purposes, the distribution of shares of Genie common stock will qualify as tax-free for Genie, the Company and the Company’s stockholders under Section 355 of the Code. In addition to obtaining the IRS ruling, the Company received an opinion from PricewaterhouseCoopers LLP on the three requirements for a tax-free distribution that are not addressed in the IRS ruling. Specifically, the opinion concludes 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 Genie Spin-Off, the Company funded Genie with a total of $106.0 million in aggregate cash and cash equivalents, including restricted cash.

 

IDT Entertainment

In connection with the sale of IDT Entertainment to Liberty Media Corporation in the first quarter of fiscal 2007, the Company was eligible to receive additional consideration from Liberty Media based upon any appreciation in the value of IDT Entertainment over the five-year period that ended in August 2011, however, the Company may have been required to pay Liberty Media up to $3.5 million if the value of IDT Entertainment did not exceed a certain amount by August 2011. In September 2011, the Company and Liberty Media executed an agreement to settle and resolve all claims related to the additional consideration and certain other disputes and claims. Liberty Media paid the Company $2.0 million in September 2011 in consideration for the settlement and related releases, which is included in “Income on sale of discontinued operations” in fiscal 2012 in the accompanying consolidated statement of income.

 

F-16
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

Summary Financial Data of Discontinued Operations

Revenues, income before income taxes and net income (loss) of Straight Path and Genie, which are included in discontinued operations, were as follows:

 

Year ended July 31
(in thousands)
  2014   2013   2012 
REVENUES            
Straight Path  $   $1,130   $553 
Genie           45,796 
TOTAL  $   $1,130   $46,349 
(LOSS) INCOME BEFORE INCOME TAXES               
Straight Path  $   $(4,621)  $4,862 
Genie           2,609 
TOTAL  $   $(4,621)  $7,471 
NET (LOSS) INCOME               
Straight Path  $   $(4,634)  $4,836 
Genie           1,015 
TOTAL  $   $(4,634)  $5,851 

 

Note 3—Marketable Securities

 

The following is a summary of marketable securities:

 

(in thousands)  Amortized
Cost
   Gross
Unrealized
Gains
   Gross
Unrealized
Losses
   Fair Value 
July 31, 2014                
Available-for-sale securities:                
Certificates of deposit*  $10,375   $   $   $10,375 
Equity securities   31        (9)   22 
Municipal bonds   2,475    1        2,476 
TOTAL  $12,881   $1   $(9)  $12,873 
July 31, 2013                    
Available-for-sale securities:                    
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 $17.3 million, $1.7 million and nil in fiscal 2014, fiscal 2013 and fiscal 2012, respectively. There were no realized gains or losses from sales of available-for-sale securities in fiscal 2014, fiscal 2013 and fiscal 2012. In fiscal 2014, the Company recorded a loss of $0.1 million for the other than temporary decline in market value of its equity securities.

 

The contractual maturities of the Company’s available-for-sale securities at July 31, 2014 were as follows:

 

(in thousands)  Fair Value 
Within one year  $12,851 
After one year through five years    
After five years through ten years    
After ten years    
TOTAL  $12,851 

 

F-17
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

Note 4—Fair Value Measurements

 

The following table presents the balance of assets measured at fair value on a recurring basis:

 

(in thousands)  Level 1   Level 2   Level 3   Total 
July 31, 2014                
Available-for-sale securities  $   $12,873   $   $12,873 
July 31, 2013                    
Available-for-sale securities  $   $9,684   $   $9,684 

 

At July 31, 2014 and 2013, the Company did not have any liabilities measured at fair value on a recurring basis. At July 31, 2014 and 2013, the Company had $9.5 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 $9.4 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, dividend payable, notes payable—current portion and other current liabilities. At July 31, 2014 and 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, dividend 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 July 31, 2014 and 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 July 31, 2014 and 2013, the carrying amount of these liabilities approximated fair value. The fair values were estimated based on the Company’s assumptions, which was classified as Level 3 of the fair value hierarchy.

 

The Company’s investments at July 31, 2014 and 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 $1.8 million and $1.5 million at July 31, 2014 and 2013, respectively, which the Company believes was not impaired.

  

Note 5—Property, Plant and Equipment

 

Property, plant and equipment consist of the following:

 

July 31
(in thousands)
  2014   2013 
Equipment  $438,899   $436,127 
Land and buildings   53,895    51,294 
Computer software   116,775    105,449 
Leasehold improvements   42,190    45,141 
Furniture and fixtures   6,249    6,187 
    658,008    644,198 
Less accumulated depreciation and amortization   (576,248)   (563,456)
Property, plant and equipment, net  $81,760   $80,742 

 

F-18
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

In fiscal 2013, the Company recorded an impairment charge of $4.4 million for the building and improvements that it owns at 520 Broad Street, Newark, New Jersey. The following facts and circumstances indicated that the fair value of the building and improvements may be less than their carrying value at that time: (1) the building was not occupied and, at the time, the Company did not expect to occupy it, (2) economic uncertainty and sluggish leasing activity stalled a recovery of the real estate market in Newark, (3) there were no potential tenants, (4) no sale of the building had been completed and there were no other likely buyers, (5) the building would be expensive to redevelop and (6) the building was expected to remain vacant for the foreseeable future. The Company determined the fair value of the building and improvements based on estimates of an owner/user’s market rental rate net of costs of improvements and tenant work as well as the estimated value to an investor/developer after deducting costs of improvements and costs to achieve full occupancy. This fair value measurement was classified as Level 2 of the fair value hierarchy.

 

In fiscal 2014, the Company began renovations of the first four floors of its 520 Broad Street building in order to move its personnel and offices currently located at 550 Broad Street, Newark, New Jersey to 520 Broad Street. The move is expected to occur during fiscal 2015. The Company also plans to lease or sell the office space on the other floors, although there are no potential tenants or buyers at this time. At both July 31, 2014 and 2013, the carrying value of the land, building and improvements at 520 Broad Street after the impairment charge was $37.7 million.

 

Depreciation and amortization expense of property, plant and equipment was $15.7 million, $14.3 million and $15.9 million in fiscal 2014, fiscal 2013 and fiscal 2012, respectively.

 

Note 6—Goodwill and Other Intangibles

 

The table below reconciles the change in the carrying amount of goodwill by operating segment for the period from July 31, 2012 to July 31, 2014:

 

(in thousands)  Telecom Platform
Services
   Zedge   Total 
Balance as of July 31, 2012  $11,407   $3,207   $14,614 
Foreign currency translation adjustments   193        193 
Balance as of July 31, 2013   11,600    3,207    14,807 
Foreign currency translation adjustments   23        23 
Balance as of July 31, 2014  $11,623   $3,207   $14,830 

 

The table below presents information on the Company’s other intangible assets:

 

(in thousands)  Weighted
Average
Amortization
Period
   Gross
Carrying
Amount
   Accumulated
Amortization
   Net
Balance
 
July 31, 2014                
Amortized intangible assets:                
Trademarks and patents   4.7 years   $670   $(335)  $335 
Technology and domain names   3.0 years    708    (68)   640 
Customer lists   6.5 years    3,154    (2,387)   767 
TOTAL   5.7 years   $4,532   $(2,790)  $1,742 
July 31, 2013                    
Amortized intangible assets:                    
Trademarks and patents   4.7 years   $2,119   $(1,715)  $404 
Customer lists   6.8 years    3,154    (2,168)   986 
TOTAL   6.0 years   $5,273   $(3,883)  $1,390 

 

Amortization expense of intangible assets was $0.6 million, $0.6 million and $0.7 million in fiscal 2014, fiscal 2013 and fiscal 2012, respectively. The Company estimates that amortization expense of intangible assets with finite lives will be $0.5 million, $0.4 million, $0.3 million, $0.1 million and $0.1 million in fiscal 2015, fiscal 2016, fiscal 2017, fiscal 2018 and fiscal 2019, respectively.

 

Note 7—Other Operating Gains (Losses), Net

 

The following table summarizes the other operating gains (losses), net by business segment:

 

Year ended July 31
(in thousands)
  2014   2013   2012 
Telecom Platform Services—gains (losses) related to legal matters, net  $650   $9,251   $(6,698)
Telecom Platform Services—loss on settlement of litigation (a)           (11,022)
Telecom Platform Services—gain on settlement of claim (b)           1,750 
Corporate—loss related to settlement (c)   (79)        
Corporate—other   (374)       100 
All Other—gain on insurance claim (d)   571         
All Other—other   67         
TOTAL  $835   $9,251   $(15,870)

 

F-19
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

Telecom Platform Services

(a) On October 12, 2011, the Company entered into a binding term sheet with T-Mobile USA, Inc. (“T-Mobile”) to settle litigation related to an alleged breach of a wholesale supply agreement. In consideration of the settlement of all disputes between the parties, on October 13, 2011, the Company paid T-Mobile $10 million. The Company incurred legal fees of $1.0 million in fiscal 2012 in connection with this matter.
   
(b) On January 17, 2012, the Company received $1.8 million from Broadstripe, LLC in settlement of the Company’s claim stemming from Broadstripe, LLC’s rejection of its telephony services agreements with the Company upon the confirmation of Broadstripe, LLC’s bankruptcy plan and closing of its bankruptcy sale.

 

Corporate

(c) In fiscal 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.

 

All Other

(d) In fiscal 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.

 

Note 8—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 July 31, 2014 and 2013, there was $13.0 million and $21.1 million, respectively, outstanding under the facility. The principal outstanding at July 31, 2014 and 2013 incurred interest at a rate of 1.65% and 1.69%, respectively, per annum. In August 2014, the Company repaid the $13.0 million loan payable. 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 July 31, 2014 and 2013, 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 $73.7 million and $46.4 million, respectively.

 

Note 9—Notes Payable

 

The Company’s notes payable consist of the following:

 

July 31
(in thousands)
  2014   2013 
$11.0 million secured term loan due September 2015 (a)  $6,624   $6,880 
$1.2 million note due June 2012 (b)       279 
Total notes payable   6,624    7,159 
Less current portion   (271)   (535)
Notes payable—long term portion  $6,353   $6,624 

 

F-20
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

The future principal payments for the note payable as of July 31, 2014 are as follows:

 

(in thousands)    
Year ending July 31:     
2015  $271 
2016   6353 
2017    
2018    
2019    
Thereafter    
Total notes payable  $6,624 

 

(a) The loan bears interest at the rate of 5.6% per annum and is payable in monthly installments of principal and interest of $0.1 million, with the last installment of $6.4 million payable on September 1, 2015. The loan is secured by a mortgage on a building in Piscataway, New Jersey.
   
(b) On June 24, 2009, the Company issued a promissory note in the principal amount of $1.2 million in connection with the acquisition of the 49% interest in Union Telecard Alliance, LLC that it did not own. The note incurred interest at 0.76% per annum. The principal and interest were payable in thirty six equal, monthly installments that began on July 24, 2009 with the last payment scheduled for June 24, 2012. The Company had not made any payments since November 2011 due to disputes with the seller. In fiscal 2014, in accordance with an arbitration award, the Company paid the remaining principal and accrued interest to the seller.

 

Note 10—Accrued Expenses

 

Accrued expenses consist of the following:

 

July 31
(in thousands)
  2014   2013 
Carrier minutes termination  $53,280   $50,687 
Carrier network connectivity, toll-free and 800 services   7,896    11,462 
Regulatory fees and taxes   43,293    38,602 
Legal settlements   1,615    11,784 
Compensation costs   15,612    12,836 
Legal and professional fees   4,708    6,026 
Other   16,124    14,035 
TOTAL  $142,528   $145,432 

 

Note 11—Other (Expense) Income, Net

 

Other (expense) income, net consists of the following:

 

Year ended July 31
(in thousands)
  2014   2013   2012 
Foreign currency transaction (losses) gains  $(5,883)  $2,538   $(2,859)
Gain on investments   1,218    2,664    1,172 
Gain on modification and early termination of note payable       238     
Gain on sales of buildings and other assets       11    197 
Other   (35)   (68)   (277)
TOTAL  $(4,700)  $5,383   $(1,767)

 

On April 30, 2013, the Company and the holder of the note payable secured by the mortgage on the building located at 520 Broad Street, Newark, New Jersey (the “Lender”) entered into an agreement to settle all disputes between the Company and Lender. In connection with this agreement, on May 1, 2013, the Company paid the Lender $21.1 million and the Lender released the Company from the note and discharged the mortgage. In fiscal 2013, the Company recognized a gain of $0.2 million on the modification and early termination of the note payable.

 

F-21
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

Note 12—Income Taxes

 

The components of income (loss) from continuing operations before income taxes are as follows:

 

Year ended July 31
(in thousands)
  2014   2013   2012 
Domestic  $21,624   $44,355   $9,573 
Foreign   3,368    (10,405)   (21,421)
INCOME (LOSS) FROM CONTINUING OPERATIONS BEFORE INCOME TAXES  $24,992   $33,950   $(11,848)

 

Significant components of the Company’s deferred income tax assets consist of the following:

 

July 31
(in thousands)
  2014   2013 
Deferred income tax assets:          
Bad debt reserve  $2,188   $2,812 
Accrued expenses   2,937    7,096 
Stock options and restricted stock   2,131    2,786 
Charitable contributions   1,230    2,415 
Impairment   25,745    25,566 
Depreciation   7,566    989 
Unrealized gain   163    507 
Net operating loss   126,093    144,001 
Credits   3,123    2,845 
Total deferred income tax assets   171,176    189,017 
Valuation allowance   (151,975)   (167,328)
DEFERRED INCOME TAX ASSETS, NET  $19,201   $21,689 

 

The (provision for) benefit from income taxes consists of the following:

 

Year ended July 31
(in thousands)
  2014   2013   2012 
Current:               
Federal  $(279)  $671   $1,652 
State and local       148    2,503 
Foreign   (1,177)   (1,431)   1,741 
    (1,456)   (612)   5,896 
Deferred:               
Federal   (6,461)   (14,181)   36,166 
State and local   (175)   (1,079)   764 
Foreign   4,110        (44)
    (2,526)   (15,260)   36,886 
(PROVISION FOR) BENEFIT FROM INCOME TAXES  $(3,982)  $(15,872)  $42,782 

 

The benefit from income taxes in fiscal 2012 was primarily due to the $36.9 million reversal of a portion of the Company’s valuation allowance in the United States. In fiscal 2012, the Company determined that it was more likely than not that a portion of its deferred income tax assets would be realized, therefore the valuation allowance related to those assets was reversed. The Company based its determination on a projection of future U.S. income and took into consideration the historical U.S. performance and decided a partial release of the U.S. valuation that relates to the core businesses was warranted in that period. Assumptions regarding future taxable income require significant analysis and judgment. This analysis included financial forecasts based on historical performance of the core business and continuance of doing business in a jurisdiction in which losses were incurred. Based on its projections, the Company expected that it would generate future taxable income over the next five years in the U.S. jurisdiction and will begin utilizing its net operating loss carryover through this period. Accordingly, the Company concluded that a portion of its U.S. jurisdiction core business assets did not require a full valuation allowance. In fiscal 2013 and fiscal 2014, the Company updated the analysis and concluded that the valuation allowance related to its core U.S. business should be maintained at the current level and will be reevaluated as warranted. In addition, in fiscal 2014, the Company determined that its valuation allowance on the losses of IDT Global, a U.K. subsidiary, were no longer required due to an internal reorganization that generated income and a projection that the income would continue. The Company recorded a benefit from income taxes of $4.1 million from the full recognition of the IDT Global deferred tax assets.

 

The Company did not release any of the valuation allowances that related to its former Straight Path Spectrum business since it was not part of the main tax consolidated group and the portion of the Net2Phone acquired net operating loss that is subject to Internal Revenue Code Section 382 limitations (see below). The Company did not release any of the valuation allowances related to its foreign operations in fiscal 2013 or fiscal 2012 as it was not more likely than not that the assets will be utilized based upon the earnings history and the profitability projections. Both the loss and valuation allowance that were part of the Straight Path Spin-Off are reflected as reductions in the total amounts in the deferred income tax assets, net table above.

 

F-22
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

The differences between income taxes expected at the U.S. federal statutory income tax rate and income taxes provided are as follows:

 

Year ended July 31
(in thousands)
  2014   2013   2012 
U.S. federal income tax at statutory rate  $(8,747)  $(11,883)  $4,147 
Valuation allowance   4,110        41,961 
Foreign tax rate differential   961    (5,073)   (5,800)
Nondeductible expenses   761    714    (26)
Other   7    50     
Prior year tax (expense) benefit   (960)   921    2,500 
State and local income tax, net of federal benefit   (114)   (601)    
(PROVISION FOR) BENEFIT FROM INCOME TAXES  $(3,982)  $(15,872)  $42,782 

 

At July 31, 2014, the Company had federal and state net operating loss carryforwards of approximately $168 million. This carry-forward loss is available to offset future U.S. federal and state taxable income. The net operating loss carryforwards will start to expire in fiscal 2014, with fiscal 2009’s loss expiring in fiscal 2030. The Company has foreign net operating losses of approximately $200 million, of which approximately $143 million does not expire and approximately $57 million expires in two to ten years. These foreign net operating losses are available to offset future taxable income in the countries in which the losses were incurred. The Company’s subsidiary, Net2Phone, which provides voice over Internet protocol communications services, has additional federal net operating losses of approximately $84 million, which will expire through fiscal 2027. With the reacquisition of Net2Phone by the Company in March 2006, its losses were limited under Internal Revenue Code Section 382 to approximately $7 million per year. The net operating losses do not include any excess benefits related to stock options or restricted stock.

 

The Company has not recorded U.S. income tax expense for foreign earnings, as such earnings are permanently reinvested outside the United States. The cumulative undistributed foreign earnings are included in accumulated deficit in the Company’s consolidated balance sheets, and consisted of approximately $270 million at July 31, 2014. Upon distribution of these foreign earnings to the Company’s domestic entities, the Company may be subject to U.S. income taxes and withholding of foreign taxes, however, it is not practicable to determine the amount, if any, which would be paid.

 

The change in the valuation allowance is as follows:

 

Year ended July 31
(in thousands)
  Balance at
beginning of
year
   Additions
charged to
costs and
expenses
   Deductions   Balance at
end of year
 
2014                
Reserves deducted from deferred income taxes, net:                    
Valuation allowance  $167,328   $   $(15,353)  $151,975 
2013                    
Reserves deducted from deferred income taxes, net:                    
Valuation allowance  $204,977   $462   $(38,111)  $167,328 
2012                    
Reserves deducted from deferred income taxes, net:                    
Valuation allowance  $206,669   $41,925   $(43,617)  $204,977 

 

The table below summarizes the change in the balance of unrecognized income tax benefits:

 

Year ended July 31
(in thousands)
  2014   2013   2012 
Balance at beginning of year  $356   $   $3,754 
Additions based on tax positions related to the current year            
Additions for tax positions of prior years       356     
Reductions for tax positions of prior years            
Settlements   (356)       (3,754)
Lapses of statutes of limitations            
Balance at end of year  $   $356   $ 

 

Settlements of $3.8 million in fiscal 2012 were primarily due to an agreement on certain state tax positions and the related payment of the taxes due, as well as the settlement of a foreign audit.

 

F-23
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

In fiscal 2014, fiscal 2013 and fiscal 2012, the Company did not record any interest and penalties on income taxes. As of July 31, 2014 and 2013, there was no accrued interest included in current income taxes payable.

 

The Company currently remains subject to examinations of its tax returns as follows: U.S. federal tax returns for fiscal 2011 to fiscal 2014, state and local tax returns generally for fiscal 2010 to fiscal 2014 and foreign tax returns generally for fiscal 2010 to fiscal 2014.

 

Note 13—Equity

 

Class A Common Stock and Class B Common Stock

The rights of holders of Class A common stock and Class B common stock are identical except for certain voting and conversion rights and restrictions on transferability. The holders of Class A common stock and Class B common stock receive identical dividends per share when and if declared by the Company’s Board of Directors. In addition, the holders of Class A common stock and Class B common stock have identical and equal priority rights per share in liquidation. The Class A common stock and Class B common stock do not have any other contractual participation rights. The holders of Class A common stock are entitled to three votes per share and the holders of Class B common stock are entitled to one-tenth of a vote per share. Each share of Class A common stock may be converted into one share of Class B common stock, at any time, at the option of the holder. Shares of Class A common stock are subject to certain limitations on transferability that do not apply to shares of Class B common stock.

 

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.

 

In fiscal 2014, the Company paid aggregate cash dividends of $0.59 per share on its Class A common stock and Class B common stock, or $13.6 million in total. In fiscal 2013, the Company paid aggregate cash dividends of $0.75 per share on its Class A common stock and Class B common stock, or $17.1 million in total. In fiscal 2012, the Company paid aggregate cash dividends of $0.66 per share on its Class A common stock and Class B common stock, or $15.0 million in total.

 

On October 3, 2014, the Company paid a dividend of $0.17 per share for the fourth quarter of fiscal 2014 to holders of record of the Company’s Class A common stock and Class B common stock as of the close of business on September 29, 2014.

 

Stock Repurchases

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 fiscal 2014. In fiscal 2013, the Company repurchased 77,843 shares of Class B common stock for an aggregate purchase price of $0.8 million. In fiscal 2012, the Company repurchased 0.3 million shares of Class B common stock for an aggregate purchase price of $2.6 million. As of July 31, 2014, 5.1 million shares remained available for repurchase under the stock repurchase program.

 

Purchases of Stock of Subsidiary

In August 2013, Fabrix 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%.

 

In December 2012, a wholly-owned subsidiary of the Company purchased Fabrix shares 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.

 

Sales of Stock of Subsidiaries

On November 21, 2012, the Company’s 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%. On November 15, 2011, 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 11.1% from 11%. One of the limited partners in Shaman II, L.P. is a former employee of the Company.

 

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 18). In fiscal 2014, the Company increased its estimated liability for this obligation by $1.9 million, of which $1.6 million was recorded as a reduction of additional paid-in capital.

 

F-24
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

Note 14—Stock-Based Compensation

 

Stock-Based Compensation Plans

The Company’s 2005 Stock Option and Incentive Plan, as amended and restated, is intended to provide incentives to executives, employees, directors and consultants of the Company. Incentives available under the 2005 Stock Option and Incentive Plan may include stock options, stock appreciation rights, limited rights, deferred stock units, and restricted stock. In December 2011, the Company’s stockholders approved an amendment to the 2005 Stock Option and Incentive Plan to increase the number of shares of the Company’s Class B common stock available for the grant of awards by an additional 1.1 million shares. At July 31, 2014, the Company had 5.3 million shares of Class B common stock reserved for award under its 2005 Stock Option and Incentive Plan and 0.3 million shares were available for future grants.

 

In September 2014, the Company’s Board of Directors adopted the 2014 Stock Option and Incentive Plan, which is subject to ratification by the Company’s stockholders. It is expected that the 2014 Stock Option and Incentive Plan will become effective on January 1, 2015. Shares available for future grants under the 2005 Stock Option and Incentive Plan will no longer be available once the 2014 Stock Option and Incentive Plan is effective. The 2014 Stock Option and Incentive Plan is intended to provide incentives to officers, employees, directors and consultants of the Company, including stock options, stock appreciation rights, limited rights, deferred stock units, and restricted stock. There will be 0.5 million shares of the Company’s Class B common stock authorized for award under the 2014 Stock Option and Incentive Plan.

 

No income tax benefits were recognized in the consolidated statements of income for stock-based compensation arrangements during fiscal 2014, fiscal 2013 or fiscal 2012. In fiscal 2014 and fiscal 2013, there was no tax benefit resulting from tax deductions in excess of the compensation cost recognized for the Company’s stock-based compensation. In fiscal 2012, the Company did not recognize the tax benefits because the deferred tax benefit was fully reserved for due to the uncertainty of future taxable income.

 

Stock Options

Option awards are generally granted with an exercise price equal to the market price of the Company’s stock on the date of grant. Option awards generally vest on a graded basis over three years of service and have ten-year contractual terms. The fair value of stock options was estimated on the date of the grant using a Black-Scholes valuation model and the assumptions in the following table. No option awards were granted in fiscal 2014 and fiscal 2013. Expected volatility is based on historical volatility of the Company’s Class B common stock and other factors. The Company uses historical data on exercise of stock options, post vesting forfeitures and other factors to estimate the expected term of the stock-based payments granted. The risk free rate is based on the U.S. Treasury yield curve in effect at the time of grant.

 

Year ended July 31  2012 
ASSUMPTIONS    
Average risk-free interest rate   1.46%
Expected dividend yield   4.6%
Expected volatility   66.8%
Expected term   6.6 years 

 

A summary of stock option activity for the Company is as follows:

 

   Number of
Options
(in thousands)
   Weighted-
Average
Exercise
Price
   Weighted-
Average
Remaining
Contractual
Term
(in years)
   Aggregate
Intrinsic Value
(in thousands)
 
Outstanding at July 31, 2013   642   $14.22           
Granted                  
Exercised   (29)   13.45           
Cancelled / Forfeited   (2)   21.38           
OUTSTANDING AT JULY 31, 2014   611   $14.24    6.6   $1,285 
EXERCISABLE AT JULY 31, 2014   438   $15.63    5.2   $444 

 

The weighted-average grant date fair value of options granted by the Company during fiscal 2012 was $4.97. The total intrinsic value of options exercised during fiscal 2014 and fiscal 2013 was $0.2 million and $0.2 million, respectively. As of July 31, 2014, there was $1.4 million of total unrecognized compensation cost related to non-vested stock options, which is expected to be recognized over a weighted-average period of 2.2 years.

 

F-25
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

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.

 

On March 26, 2012, the Compensation Committee of the Company’s Board of Directors approved an extension of the expiration dates of all outstanding stock options held by current employees and consultants of the Company. The expiration date of every stock option was extended for three years from the prior scheduled expiration date. The Compensation Committee also approved the issuance of new options in replacement of certain stock options that had recently expired, setting the expiration date of the newly issued stock options three years from the date of the new grant. All newly issued options were fully vested and the exercise prices were unchanged. This extension or replacement applied to options to purchase an aggregate of 0.6 million shares of the Company’s Class B common stock. The Company recorded stock-based compensation expense of $0.3 million in March 2012 for the modification or issuance of the options based on the estimated fair values on March 26, 2012.

 

On November 22, 2011, there were fully vested outstanding options to purchase 0.5 million shares of the Company’s Class B common stock, with various exercise prices and expiration dates. The exercise prices of all of such options were above the market price for the Company’s Class B common stock on such date. On November 22, 2011, in connection with the Genie Spin-Off, the exercise price of each outstanding option to purchase the Company’s Class B common stock was reduced by 43.8% of the exercise price based on the change in the trading price of the Company’s Class B common stock following the Genie Spin-Off. Further, each option holder shared ratably in a pool of options to purchase 50,000 shares of Genie Class B common stock. The Company accounted for the November 2011 reduction in the exercise price of the Company’s outstanding stock options and the grant of new options in Genie as a modification. The Company determined that there was no incremental value from the modification, therefore, the Company did not record a stock-based compensation charge.

 

Restricted Stock

The fair value of restricted shares of the Company’s Class B common stock is determined based on the closing price of the Company’s Class B common stock on the grant date. Share awards generally vest on a graded basis over three years of service.

 

A summary of the status of the Company’s grants of restricted shares of Class B common stock is presented below:

 

(in thousands)  Number of
Non-vested
Shares
   Weighted-
Average Grant-
Date Fair
Value
 
Non-vested shares at July 31, 2013   2,013   $6.11 
Granted   183    19.71 
Vested   (1,649)   5.29 
Forfeited   (7)   10.17 
NON-VESTED SHARES AT JULY 31, 2014   540   $13.00 

 

As of July 31, 2014, there was $3.5 million of total unrecognized compensation cost related to non-vested stock-based compensation arrangements, which is expected to be recognized over a weighted-average period of 0.9 years. The total grant date fair value of shares vested in fiscal 2014, fiscal 2013 and fiscal 2012 was $8.7 million, $3.5 million and $5.7 million, respectively.

 

Straight Path IP Group Stock

On September 24, 2012, the Company’s Board of Directors approved a grant of 10% of the equity of the Company’s former subsidiary, Straight Path IP Group, to Mr. Howard S. Jonas, the Company’s Chairman of the Board and former Chief Executive Officer. These Straight Path IP Group shares vested immediately. The Company recorded stock-based compensation expense of $0.7 million in fiscal 2013 for the grant of these shares, based on the estimated fair value of the shares on the grant date.

 

Note 15—Accumulated Other Comprehensive Income

 

The accumulated balances for each classification of other comprehensive income (loss) were as follows:

 

(in thousands)  Unrealized
gain (loss) on
available-for-
sale securities
   Foreign
currency
translation
   Accumulated
other
comprehensive
income (loss)
 
Balance at July 31, 2011  $(4)  $3,031   $3,027 
Genie Spin-Off       (438)   (438)
Other comprehensive loss attributable to IDT Corporation   4    (2,391)   (2,387)
Balance at July 31, 2012       202    202 
Other comprehensive income attributable to IDT Corporation       2,139    2,139 
Balance at July 31, 2013       2,341    2,341 
Other comprehensive income attributable to IDT Corporation   (8)   1,335    1,327 
BALANCE AT JULY 31, 2014  $(8)  $3,676   $3,668 

 

F-26
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

Note 16—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 an arbitration hearing with Aerotel, Ltd. (“Aerotel”) 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 $1.1 million at July 31, 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. Mox recently filed for bankruptcy. 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 that 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. On July 7, 2014, the Company filed a motion for reargument with the Court of Appeals, which Tyco opposed. On September 11, 2014, the Court denied the Company’s motion. The Company is evaluating its options going forward.

 

F-27
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

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.

 

Note 17—Commitments and Contingencies

 

Purchase Commitments

The Company had purchase commitments of $2.3 million as of July 31, 2014.

 

Lease Commitments

The future minimum payments for operating leases as of July 31, 2014 are as follows:

 

(in thousands)    
Year ending July 31:    
2015  $2,801 
2016   1,383 
2017   1,146 
2018   934 
2019   812 
Thereafter   235 
Total payments  $7,311 

 

Rental expense under operating leases was $6.4 million, $5.9 million and $4.1 million in fiscal 2014, fiscal 2013 and fiscal 2012, respectively. In addition, connectivity charges under operating leases were $10.4 million, $11.8 million and $16.3 million in fiscal 2014, fiscal 2013 and fiscal 2012, respectively.

 

Letters of Credit

As of July 31, 2014, the Company had letters of credit outstanding totaling $3.7 million primarily for collateral to secure mortgage repayments and for IDT Telecom’s business. The letters of credit outstanding as of July 31, 2014 expire as follows: $0.9 million in the year ending July 31, 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 July 31, 2014, the Company had aggregate performance bonds of $10.0 million outstanding.

 

Customer Deposits

As of July 31, 2014 and 2013, “Customer deposits” in the Company’s consolidated balance sheets included refundable customer deposits of $62.7 million and $28.7 million, respectively, related to IDT Financial Services, the Company’s Gibraltar-based bank.

 

F-28
 

  

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

Substantially Restricted Cash and Cash Equivalents

At July 31, 2014 and 2013, “Cash and cash equivalents” in the Company’s consolidated balance sheet included an aggregate of $12.9 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:

 

July 31
(in thousands)
  2014   2013 
Restricted cash and cash equivalents—short-term        
Letters of credit related  $665   $3,189 
IDT Financial Services customer deposits   64,415    31,076 
Other   626    723 
Total short-term   65,706    34,988 
Restricted cash and cash equivalents—long-term          
Letters of credit related   2,763    2,767 
Total restricted cash and cash equivalents  $68,469   $37,755 

 

Note 18—Related Party Transactions

 

See Note 13 for a description of the Zedge transactions under “Sales of Stock of Subsidiaries.”

 

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 responsibilities of the Company and Straight Path 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, treasury, accounting, tax, external reporting, and legal. Straight Path transitioned accounting and external reporting services from the Company to a third party in the first quarter of fiscal 2015. In addition, the Company and Straight Path have entered into a license agreement whereby each of the Company, Straight Path and their 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:

 

Year ended July 31
(in thousands)
  2014 
Balance at beginning of year  $931 
Additional liability   1,930 
Payments   (1,001)
Balance at end of year  $1,860 

 

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.

 

The Company’s selling, general and administrative expenses were reduced by $0.8 million in fiscal 2014 as a result of the fees the Company charged to Straight Path for services provided pursuant to the Transition Services Agreement. At July 31, 2014, other current assets reported in the Company’s consolidated balance sheet included receivables from Straight Path of $29,000.

 

F-29
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

The Company entered into various agreements with Genie prior to the Genie Spin-Off including a Separation and Distribution Agreement to effect the separation and provide a framework for the Company’s relationship with Genie after the spin-off, and a Transition Services Agreement, which provides for certain services to be performed by the Company and Genie to facilitate Genie’s transition into a separate publicly-traded company. These agreements provide for, among other things, (1) the allocation between the Company and Genie of employee benefits, taxes and other liabilities and obligations attributable to periods prior to the spin-off, (2) transitional services to be provided by the Company relating to human resources and employee benefits administration, (3) the allocation of responsibilities relating to employee compensation and benefit plans and programs and other related matters, (4) finance, accounting, tax, internal audit, facilities, external reporting, investor relations and legal services to be provided by the Company to Genie following the spin-off and (5) specified administrative services to be provided by Genie to certain of the Company’s foreign subsidiaries. In addition, the Company entered into a Tax Separation Agreement with Genie, which sets forth the responsibilities of the Company 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, the Company indemnifies Genie and Genie 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 Genie from all liability for the Company’s taxes with respect to any taxable period, and Genie indemnifies the Company 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.

 

The Company’s Chairman of the Board and former Chief Executive Officer, Howard S. Jonas, is the controlling stockholder and Chairman of the Board of Genie. The Company’s selling, general and administrative expenses were reduced by $3.1 million, $3.8 million and $2.7 million in fiscal 2014, fiscal 2013 and fiscal 2012, respectively, as a result of the fees the Company charged to Genie for services provided pursuant to the Transition Services Agreement, net of the amounts charged by Genie to the Company. At July 31, 2014 and 2013, other current assets reported in the Company’s consolidated balance sheet included receivables from Genie of $0.5 million and $0.6 million, respectively.

 

IDT Energy, Inc., a subsidiary of Genie, supplied electricity to the Company’s facilities in Piscataway, New Jersey, and Newark, New Jersey through January 2013. IDT Energy also supplied natural gas to the Company’s Newark, New Jersey building until April 2013, and IDT Energy supplies natural gas to the Company’s facility in Piscataway, New Jersey. In fiscal 2014, fiscal 2013 and fiscal 2012, IDT Energy, Inc. billed the Company $16,000, $21,000 and $0.5 million, respectively.

 

The Company provides office space, certain connectivity and other services to Jonas Media Group, a publishing firm owned by Howard Jonas. Billings for such services were $18,000, $27,000 and $29,000 in fiscal 2014, fiscal 2013 and fiscal 2012, respectively. The balance owed to the Company by Jonas Media Group was $4,000 and $6,000 as of July 31, 2014 and 2013, respectively.

 

The Company obtains insurance policies from several insurance brokers, one of which is IGM Brokerage Corp. (“IGM”). IGM was, until his death in October 2009, owned by Irwin Jonas, father of Howard Jonas, and the Company’s General Counsel, Joyce J. Mason. IGM is currently owned by Irwin Jonas’ widow—the mother of Howard Jonas and Joyce Mason. Jonathan Mason, husband of Joyce Mason and brother-in-law of Howard Jonas, provides insurance brokerage services via IGM. Based on information the Company received from IGM, the Company believes that (1) IGM received commissions and fees from payments made by the Company (including payments from third party brokers) in the aggregate amounts of $20,000 in fiscal 2014, $15,000 in fiscal 2013 and $19,000 in fiscal 2012, which fees and commissions inured to the benefit of Mr. Mason, and (2) the total payments made by the Company to IGM for various insurance policies were nil in fiscal 2014 and fiscal 2013, and $0.2 million in fiscal 2012. Neither Howard Jonas nor Joyce Mason has any ownership or other interest in IGM or the commissions paid to IGM other than via the familial relationships with their mother and Jonathan Mason.

 

Mason and Company Consulting, LLC (“Mason and Co.”), a company owned solely by Jonathan Mason, receives an annual fee for the insurance brokerage referral and placement of the Company’s health benefit plan with Brown & Brown Metro, Inc. Based on information the Company received from Jonathan Mason, the Company believes that Mason and Co. received from Brown & Brown Metro, Inc. commissions and fees from payments made by the Company in the amount of $18,000 in fiscal 2014, $24,000 in fiscal 2013 and $20,000 in fiscal 2012. Neither Howard Jonas nor Joyce Mason has any ownership or other interest in Mason and Co. or the commissions paid to Mason and Co., other than via the familial relationships with Jonathan Mason.

 

Since August 2009, IDT Domestic Telecom, Inc., a subsidiary of the Company, has leased space in a building in the Bronx, New York. Howard Jonas and Shmuel Jonas, the Company’s Chief Executive Officer, and the son of Howard Jonas, are members of the limited liability company that owns the building. IDT Domestic Telecom rented office, storage and parking space for two years for $0.1 million per year and incurred costs of $0.1 million to build-out the space. In August 2009, the limited liability company was paid an aggregate of $0.3 million for the lease and the build-out costs. The initial lease expired at the end of April 2012. For the six month period from May 1, 2012 to October 31, 2012, IDT Domestic Telecom was charged aggregate rent of $34,512. The parties entered into a new lease, which became effective November 1, 2012 and has a one-year term, with a one-year renewal option for IDT Domestic Telecom with the same terms. Aggregate annual rent under the new lease is $69,025.

 

F-30
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

The Company had net loans receivable outstanding from employees aggregating $0.2 million as of July 31, 2014 and 2013, which are included in “Other current assets” in the accompanying consolidated balance sheets.

 

Note 19—Defined Contribution Plans

 

The Company maintains a 401(k) Plan available to all employees meeting certain eligibility criteria. The Plan permits participants to contribute up to 20% of their salary, not to exceed the limits established by the Internal Revenue Code. The Plan provides for discretionary matching contributions of 50%, up to the first 6% of compensation. The discretionary matching contributions vest over the first five years of employment. The Plan permits the discretionary matching contributions to be granted as of December 31 of each year. All contributions made by participants vest immediately into the participant’s account. In fiscal 2014, fiscal 2013 and fiscal 2012, the Company’s cost for contributions to the Plan was $1.1 million, $1.1 million and $0.9 million, respectively. In fiscal 2014, fiscal 2013 and fiscal 2012, the Company contributed 72,281 shares, 51,861 shares and 92,843 shares, respectively, of the Company’s Class B common stock to the Plan for matching contributions. The Company’s Class A common stock and Class B common stock are not investment options for the Plan’s participants.

 

Note 20—Business Segment Information

 

The Company has three reportable business segments, Telecom Platform Services, Consumer Phone Services and Zedge. Telecom Platform Services and Consumer Phone Services comprise the IDT Telecom division. Operating segments 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 retail telecommunications and payment offerings as well as wholesale international long distance traffic termination. The Consumer Phone Services segment provides consumer local and long distance services in certain U.S. states. Zedge owns and operates an online platform for mobile phone consumers interested in obtaining free, high-quality games, apps, and mobile phone customization including ringtones, wallpapers, and notification sounds. All Other includes Fabrix, a software development company offering a cloud-based scale-out storage and computing platform optimized for big data, virtualization and media storage, processing and delivery. The Company sold Fabrix in October 2014 (see Note 22). All Other also includes 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 
Year ended July 31, 2014                        
Revenues  $1,615,570   $11,023   $6,535   $18,413   $   $1,651,541 
Income (loss) from operations   45,062    1,797    314    (2,049)   (15,284)   29,840 
Depreciation and amortization   13,776        967    1,545    30    16,318 
Year ended July 31, 2013                              
Revenues  $1,588,071   $14,514   $5,811   $12,221   $   $1,620,617 
Income (loss) from operations   48,661    1,824    340    (7,433)   (14,001)   29,391 
Depreciation and amortization   12,342    1    798    1,673    96    14,910 
Impairment of building and improvements               4,359        4,359 
Year ended July 31, 2012                              
Revenues  $1,477,762   $19,307   $3,793   $5,421   $   $1,506,283 
Income (loss) from operations   5,910    4,062    (248)   (3,668)   (13,152)   (7,096)
Depreciation and amortization   14,215    9    652    1,512    260    16,648 

 

F-31
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

Telecom Platform Services’ income from operations in fiscal 2013 included net gains of $9.3 million related to legal matters.

 

Telecom Platform Services’ income from operations in fiscal 2012 included other operating losses, net of $15.9 million comprised of $6.5 million for estimated losses from pending litigation, a loss of $11.0 million from the settlement of litigation with T-Mobile (see Note 7) and a $0.2 million loss on the settlement of an unrelated claim, net of a gain of $1.8 million for cash received from Broadstripe, LLC in settlement of the Company’s claim stemming from Broadstripe, LLC’s rejection of its telephony services agreements with the Company (see Note 7).

 

Total assets for the reportable segments are not provided because a significant portion of the Company’s assets are servicing multiple segments and the Company does not track such assets separately by segment.

 

Geographic Information

Revenue from customers located outside of the United States as a percentage of total revenues from continuing operations and revenue from customers located in the United Kingdom as a percentage of total revenues from continuing operations were as follows. Revenues by country are determined based on selling location.

 

Year ended July 31  2014   2013   2012 
Revenue from customers located outside of the United States   30%   23%   29%
Revenue from customers located in the United Kingdom   19%   13%   14%

 

Net long-lived assets and total assets held outside of the United States, which are located primarily in Western Europe, were as follows:

 

(in thousands)  United
States
   Foreign
Countries
   Total 
July 31, 2014            
Long-lived assets, net  $79,281   $2,479   $81,760 
Total assets   284,249    196,682    480,931 
July 31, 2013               
Long-lived assets, net  $77,580   $3,162   $80,742 
Total assets   294,337    141,070    435,407 
July 31, 2012               
Long-lived assets, net  $81,668   $3,899   $85,567 
Total assets   310,209    140,905    451,114 

 

Note 21—Selected Quarterly Financial Data (Unaudited)

 

The table below presents selected quarterly financial data of the Company for its fiscal quarters in fiscal 2013 and fiscal 2012:

  

Quarter Ended              Income
(loss)
   Net income
(loss)
   Income (loss) per share
—basic
   Income (loss) per share
—diluted
 
(in thousands, except per share data)  Revenues   Direct cost
of revenues
   Income
from
operations
   from
continuing
operations
   attributable
to IDT
Corporation
   From
continuing
operations
   Net
income
(loss)
   From
continuing
operations
   Net
income
(loss)
 
2014:                                    
October 31  $420,670   $350,319   $7,283   $4,050   $3,523   $0.17   $0.17   $0.15   $0.15 
January 31   406,423    335,258    7,574    2,973    2,535    0.12    0.12    0.11    0.11 
April 30   403,761    332,376    9,170    5,599    5,017    0.22    0.22    0.22    0.22 
July 31   420,687    349,313    5,813    8,388    7,709    0.34    0.34    0.33    0.33 
TOTAL  $1,651,541   $1,367,266   $29,840   $21,010   $18,784   $0.85   $0.85   $0.82   $0.82 
2013:                                             
October 31  $400,117   $335,251   $6,684   $5,620   $3,614   $0.24   $0.17   $0.23   $0.16 
January 31   411,456    344,486    5,655    3,908    2,953    0.16    0.14    0.15    0.13 
April 30(a)   396,935    331,163    15,687    10,082    8,691    0.46    0.42    0.43    0.39 
July 31(b)   412,109    344,673    1,365    (1,532)   (3,651)   (0.09)   (0.17)   (0.09)   (0.17)
TOTAL  $1,620,617   $1,355,573   $29,391   $18,078   $11,607   $0.77   $0.56   $0.72   $0.52 

 

(a) Included in income from operations was other operating gains of $9.6 million related to legal matters.
   
(b) Included in income from operations was a charge for impairment of building and improvements of $4.4 million.

 

F-32
 

 

IDT CORPORATION

 

NOTES TO CONSOLIDATED FINANCIAL STATEMENTS—(Continued)

 

Note 22—Subsequent Event

 

On October 8, 2014, the Company completed the sale of its interests in Fabrix to Telefonaktiebolget LM Ericsson (publ) (“Ericsson”). The final sale price for 100% of the shares in Fabrix was $95 million in cash, excluding transaction costs and working capital and other adjustments. The Company owned approximately 78% of Fabrix on a fully diluted basis. The Company’s share of the sale price, net of transaction costs, is expected to be approximately $73 million in cash. The Company and the other shareholders have placed $13 million of their proceeds in escrow for the resolution of post-closing claims that may arise. Any unclaimed escrow balance will be released in two tranches over a period of 18 months.

 

 

F-33

 

EX-21.01 2 f10k2014ex21i_idtcorp.htm SUBSIDIARIES OF THE REGISTRANT.

Exhibit 21.01

DOMESTIC SUBSIDIARIES

 

IDT America, Corp. (NJ) IDT Payment Services, Inc. (DE)
IDT Domestic Telecom, Inc. (DE) IDT Telecom, Inc. (DE)
IDT Domestic-Union, LLC (DE) Net2Phone, Inc. (DE)
IDT Financial Services, LLC (DE) Net2Phone Global Services, LLC (DE)
IDT Payment Services of New York, LLC (DE)  

 

FOREIGN SUBSIDIARIES

 

Name

 

 

Country of Formation

 

IDT Corporation de Argentina S.A.   Argentina
IDT Telecom Asia Pacific (Australia) PTY. LTD.   Australia
Expercom S.A.   Belgium
IDT Europe B.V.B.A.   Belgium
IDT Brasil Telecomunicações Ltda   Brazil
IDT Brazil Limitada   Brazil
IDT Telecom Canada Corp.   Canada
IDT Germany GmbH   Germany
IDT Financial Services Limited   Gibraltar
IDT Telecom Asia Pacific Limited   Hong Kong
IDT Italia S.R.L.   Italy
DirectTel Dutch Holdings B.V.   Netherlands
DYP C.V.   Netherlands
IDT Dutch Holdings B.V.   Netherlands
IDT Netherlands B.V.   Netherlands
MJP C.V.   Netherlands
Pryd Dutch Holdings B.V.   Netherlands
STA Dutch Holdings B.V.   Netherlands
Strategic Dutch Holdings B.V.   Netherlands
Zedge Europe AS   Norway
IDT Spain S.L.   Spain
IDT Global Limited   United Kingdom
IDT Retail Europe Limited   United Kingdom

EX-23.01 3 f10k2014ex23i_idtcorp.htm CONSENT OF GRANT THORNTON LLP.

Exhibit 23.01

CONSENT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

We have issued our reports dated October 14, 2014, with respect to the consolidated financial statements and internal control over financial reporting included in the Annual Report of IDT Corporation on Form 10-K for the year ended July 31, 2014. We hereby consent to the incorporation by reference of said reports in the Registration Statements of IDT Corporation on Forms S-3 (File No. 333-53719, File No. 333-61565, File No. 333-71991, File No. 333-77395, File No. 333-80133, File No. 333-86261, File No. 333-104286, File No. 333-115403, and File No. 333-119190) and Forms S-8 (File No. 333-73167, File No. 333-100424, File No. 333-105865, File No. 333-116266, File No. 333-130287, File No. 333-130288, File No. 333-130562, File No. 333-146718, File No. 333-154257, and File No. 333-177247).

 

/s/ GRANT THORNTON LLP  
New York, New York  
October 14, 2014  

EX-31.01 4 f10k2014ex31i_idtcorp.htm CERTIFICATION

Exhibit 31.01

 

Certification of Chief Executive Officer

pursuant to Section 302 of the Sarbanes-Oxley Act of 2002

 

I, Shmuel Jonas, certify that:

 

1.I have reviewed this Annual Report on Form 10-K 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: October 14, 2014

 

/s/ Shmuel Jonas  
Shmuel Jonas  
Chief Executive Officer  

 

 

EX-31.02 5 f10k2014ex31ii_idtcorp.htm CERTIFICATION

Exhibit 31.02

 

Certification of Principal Financial Officer

pursuant to Section 302 of the Sarbanes-Oxley Act of 2002

 

I, Marcelo Fischer, certify that:

 

1.I have reviewed this Annual Report on Form 10-K 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: October 14, 2014

 

/s/ Marcelo Fischer  
Marcelo Fischer  
Senior Vice President—Finance  
(Principal Financial Officer)  

EX-32.01 6 f10k2014ex32i_idtcorp.htm CERTIFICATION

Exhibit 32.01

 

IDT CORPORATION

 

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 Annual Report of IDT Corporation (the “Company”) on Form 10-K for fiscal 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: October 14, 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-32.02 7 f10k2014ex32ii_idtcorp.htm CERTIFICATION

Exhibit 32.02

 

IDT CORPORATION

 

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 Annual Report of IDT Corporation (the “Company”) on Form 10-K for fiscal 2014 as filed with the Securities and Exchange Commission (the “Report”), I, Marcelo Fischer, Principal Financial 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: October 14, 2014

 

/s/ Marcelo Fischer  
Marcelo Fischer  
Senior Vice President—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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Genie and 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.</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;">&#160;</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;">The Company received a ruling from the Internal Revenue Service (&#8220;IRS&#8221;) substantially to the effect that, for U.S. federal income tax purposes, the distribution of shares of Genie common stock will qualify as tax-free for Genie, the Company and the Company&#8217;s stockholders under Section 355 of the Code. In addition to obtaining the IRS ruling, the Company received an opinion from PricewaterhouseCoopers LLP on the three requirements for a tax-free distribution that are not addressed in the IRS ruling. Specifically, the opinion concludes 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.</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;">&#160;</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;">In connection with the Genie Spin-Off, the Company funded Genie with a total of $106.0 million in aggregate cash and cash equivalents, including restricted cash.</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;">&#160;</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;"><i>IDT Entertainment</i></p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;">In connection with the sale of IDT Entertainment to Liberty Media Corporation in the first quarter of fiscal 2007, the Company was eligible to receive additional consideration from Liberty Media based upon any appreciation in the value of IDT Entertainment over the five-year period that ended in August 2011, however, the Company may have been required to pay Liberty Media up to $3.5 million if the value of IDT Entertainment did not exceed a certain amount by August 2011. In September 2011, the Company and Liberty Media executed an agreement to settle and resolve all claims related to the additional consideration and certain other disputes and claims. Liberty Media paid the Company $2.0 million in September 2011 in consideration for the settlement and related releases, which is included in &#8220;Income on sale of discontinued operations&#8221; in fiscal 2012 in the accompanying consolidated statement of income.</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-align: center; text-indent: 0.5in;"><b>&#160;</b></p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;"><i>Summary Financial Data of Discontinued Operations</i></p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;">Revenues, income before income taxes and net income (loss) of Straight Path and Genie, which are included in discontinued operations, were as follows:</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;">&#160;</p><table style="width: 1567px; 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border-bottom-width: 1.5pt; border-bottom-style: solid;" colspan="2">2014</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;" colspan="2">2013</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; 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text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">(4,621</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">)</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; 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border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">2,609</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; 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line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">(4,621</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">)</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; 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text-align: left;">&#160;</td><td style="font-size: 10pt; text-align: right;">&#160;</td><td style="font-size: 10pt; text-align: left;">&#160;</td><td style="font-size: 10pt;">&#160;</td><td style="font-size: 10pt; text-align: left;">&#160;</td><td style="font-size: 10pt; text-align: right;">&#160;</td><td style="font-size: 10pt; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: #cceeff;"><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left; text-indent: -12pt; padding-left: 24pt;">Straight Path</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">(4,634</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">)</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">4,836</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: white;"><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; text-indent: -12pt; padding-left: 24pt;">Genie</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">1,015</td><td style="border-bottom-color: black; 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font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">(4,634</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">)</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">5,851</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr></table> <p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; 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line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: white;"><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; padding-left: 10pt;">TOTAL</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; 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line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">898</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: #cceeff;"><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; padding-left: 10pt;">TOTAL</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; 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text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;">&#160;</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px 0px 0px 4.5pt; text-indent: -4.5pt;">*Each of the Company&#8217;s certificates of deposit has a CUSIP, was purchased in the secondary market through a broker and may be sold in the secondary market.</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px 0px 0px 4.5pt; text-indent: -4.5pt;">&#160;</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;">Proceeds from maturities and sales of available-for-sale securities were $17.3 million, $1.7 million and nil in fiscal 2014, fiscal 2013 and fiscal 2012, respectively. There were no realized gains or losses from sales of available-for-sale securities in fiscal 2014, fiscal 2013 and fiscal 2012. 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font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;">&#160;</p><table style="width: 1567px; text-transform: none; text-indent: 0px; letter-spacing: normal; font-family: 'times new roman', times, serif; word-spacing: 0px; border-collapse: collapse; -webkit-text-stroke-width: 0px;" cellspacing="0" cellpadding="0"><tr style="vertical-align: bottom;"><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">(in thousands)</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;" colspan="2">Fair Value</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: #cceeff;"><td style="width: 1363px; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left; text-indent: -12pt; padding-left: 12pt;">Within one year</td><td style="width: 16px; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="width: 16px; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="width: 141px; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">12,851</td><td style="width: 15px; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: white;"><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left; 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border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: #cceeff;"><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; text-indent: -12pt; padding-left: 12pt;">TOTAL</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">12,851</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr></table> <p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;"><b>Note 4&#8212;Fair Value Measurements</b></p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;"><b>&#160;</b></p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;">The following table presents the balance of assets measured at fair value on a recurring basis:</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;">&#160;</p><table style="width: 1567px; text-transform: none; text-indent: 0px; letter-spacing: normal; font-family: 'times new roman', times, serif; word-spacing: 0px; border-collapse: collapse; -webkit-text-stroke-width: 0px;" cellspacing="0" cellpadding="0"><tr style="vertical-align: bottom;"><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">(in thousands)</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;" colspan="2">Level 1</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;" colspan="2">Level 2</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;" colspan="2">Level 3</td><td style="border-bottom-color: black; 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font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">July 31, 2014</td><td style="font-size: 10pt;">&#160;</td><td style="font-size: 10pt;" colspan="2">&#160;</td><td style="font-size: 10pt;">&#160;</td><td style="font-size: 10pt;">&#160;</td><td style="font-size: 10pt;" colspan="2">&#160;</td><td style="font-size: 10pt;">&#160;</td><td style="font-size: 10pt;">&#160;</td><td style="font-size: 10pt;" colspan="2">&#160;</td><td style="font-size: 10pt;">&#160;</td><td style="font-size: 10pt;">&#160;</td><td style="font-size: 10pt;" colspan="2">&#160;</td><td style="font-size: 10pt;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: #cceeff;"><td style="width: 799px; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; text-indent: 1.05pt; padding-left: 12pt;">Available-for-sale securities</td><td style="width: 16px; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="width: 16px; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="width: 142px; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="width: 16px; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="width: 16px; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="width: 16px; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="width: 142px; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">12,873</td><td style="width: 16px; 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border-bottom-width: 1.5pt; border-bottom-style: solid; font-size: 10pt; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-size: 10pt; text-align: right;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-size: 10pt; text-align: left;">&#160;</td><td style="font-size: 10pt; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-size: 10pt; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-size: 10pt; text-align: right;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-size: 10pt; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: #cceeff;"><td style="font-style: normal; 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font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">9,684</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">9,684</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr></table><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;">&#160;</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;">At July 31, 2014 and 2013, the Company did not have any liabilities measured at fair value on a recurring basis. At July 31, 2014 and 2013, the Company had $9.5 million and $8.3 million, respectively, in investments in hedge funds, of which $0.1 million and $0.1 million, respectively, were included in &#8220;Other current assets&#8221; and $9.4 million and $8.2 million, respectively, were included in &#8220;Investments&#8221; in the accompanying consolidated balance sheets. The Company&#8217;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.</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;">&#160;</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;"><i>Fair Value of Other Financial Instruments</i></p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;">The estimated fair value of the Company&#8217;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.</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;">&#160;</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;"><i>Cash and cash equivalents, restricted cash and cash equivalents&#8212;short-term, other current assets, revolving credit loan payable, customer deposits, dividend payable, notes payable&#8212;current portion and other current liabilities.&#160;</i>At July 31, 2014 and 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&#8212;short-term were classified as Level 1 and other current assets, revolving credit loan payable, customer deposits, dividend payable, notes payable&#8212;current portion and other current liabilities were classified as Level 2 of the fair value hierarchy.</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;">&#160;</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;"><i>Restricted cash and cash equivalents&#8212;long-term.</i>&#160;At July 31, 2014 and 2013, the carrying amount of restricted cash and cash equivalents&#8212;long-term approximated fair value. 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font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">July 31&#160;<br />(in thousands)</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;" colspan="2">2014</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="font-style: normal; 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white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;"><b>&#160;</b></p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;">In fiscal 2013, the Company recorded an impairment charge of $4.4 million for the building and improvements that it owns at 520 Broad Street, Newark, New Jersey. The following facts and circumstances indicated that the fair value of the building and improvements may be less than their carrying value at that time: (1) the building was not occupied and, at the time, the Company did not expect to occupy it, (2) economic uncertainty and sluggish leasing activity stalled a recovery of the real estate market in Newark, (3) there were no potential tenants, (4) no sale of the building had been completed and there were no other likely buyers, (5) the building would be expensive to redevelop and (6) the building was expected to remain vacant for the foreseeable future. The Company determined the fair value of the building and improvements based on estimates of an owner/user&#8217;s market rental rate net of costs of improvements and tenant work as well as the estimated value to an investor/developer after deducting costs of improvements and costs to achieve full occupancy. This fair value measurement was classified as Level 2 of the fair value hierarchy.</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;">&#160;</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;">In fiscal 2014, the Company began renovations of the first four floors of its 520 Broad Street building in order to move its personnel and offices currently located at 550 Broad Street, Newark, New Jersey to 520 Broad Street. The move is expected to occur during fiscal 2015. The Company also plans to lease or sell the office space on the other floors, although there are no potential tenants or buyers at this time. 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font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;"><b>Note 6&#8212;Goodwill and Other Intangibles</b></p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;"><b>&#160;</b></p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;">The table below reconciles the change in the carrying amount of goodwill by operating segment for the period from July 31, 2012 to July 31, 2014:</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;">&#160;</p><table style="width: 1567px; text-transform: none; text-indent: 0px; letter-spacing: normal; font-family: 'times new roman', times, serif; word-spacing: 0px; border-collapse: collapse; -webkit-text-stroke-width: 0px;" cellspacing="0" cellpadding="0"><tr style="vertical-align: bottom;"><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">(in thousands)</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;" colspan="2">Telecom Platform<br />Services</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;" colspan="2">Zedge</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;" colspan="2">Total</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: #cceeff;"><td style="width: 987px; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-indent: -12pt; padding-left: 12pt;">Balance as of July 31, 2012</td><td style="width: 16px; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="width: 16px; 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font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">3,207</td><td style="width: 15px; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="width: 15px; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="width: 15px; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="width: 141px; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">14,614</td><td style="width: 15px; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: white;"><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; text-indent: -12pt; padding-left: 12pt;">Foreign currency translation adjustments</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">193</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">193</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: #cceeff;"><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-indent: -12pt; padding-left: 12pt;">Balance as of July 31, 2013</td><td style="font-weight: bold; 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text-align: left;">&#160;</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">3,207</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">14,807</td><td style="font-weight: bold; font-style: normal; font-variant: normal; 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text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">23</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">23</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: #cceeff;"><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; 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margin: 0px; text-indent: 0.5in;"><b>&#160;</b></p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;">The following table summarizes the other operating gains (losses), net by business segment:</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;">&#160;</p><table style="width: 1567px; text-transform: none; text-indent: 0px; letter-spacing: normal; font-family: 'times new roman', times, serif; 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font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;" colspan="2">2012</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: #cceeff;"><td style="width: 987px; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; 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text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: #cceeff;"><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; 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font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="border-bottom-color: black; 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border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: white;"><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; text-indent: -12pt; padding-left: 12pt;">TOTAL</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; 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(&#8220;Alexsam&#8221;) 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&#8217;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.</p> <p style="font: 10pt/normal 'times new roman', times, serif; margin: 0px; color: #000000; text-transform: none; text-indent: 0.5in; letter-spacing: normal; word-spacing: 0px; white-space: normal; font-stretch: normal; -webkit-text-stroke-width: 0px;">&#160;</p> <p style="font: 10pt/normal 'times new roman', times, serif; margin: 0px; color: #000000; text-transform: none; text-indent: 0px; letter-spacing: normal; word-spacing: 0px; white-space: normal; font-stretch: normal; -webkit-text-stroke-width: 0px;">In connection with an arbitration hearing with Aerotel, Ltd. (&#8220;Aerotel&#8221;) 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.</p> <p style="font: 10pt/normal 'times new roman', times, serif; margin: 0px; color: #000000; text-transform: none; text-indent: 0.5in; letter-spacing: normal; word-spacing: 0px; white-space: normal; font-stretch: normal; -webkit-text-stroke-width: 0px;">&#160;</p> <p style="font: 10pt/normal 'times new roman', times, serif; margin: 0px; color: #000000; text-transform: none; text-indent: 0px; letter-spacing: normal; word-spacing: 0px; white-space: normal; font-stretch: normal; -webkit-text-stroke-width: 0px;">The Company&#8217;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 $1.1 million at July 31, 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&#8217;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. Mox recently filed for bankruptcy. The Company is examining its options with respect to the release of this deposit.</p> <p style="font: 10pt/normal 'times new roman', times, serif; margin: 0px; color: #000000; text-transform: none; text-indent: 0.5in; letter-spacing: normal; word-spacing: 0px; white-space: normal; font-stretch: normal; -webkit-text-stroke-width: 0px;">&#160;</p> <p style="font: 10pt/normal 'times new roman', times, serif; margin: 0px; color: #000000; text-transform: none; text-indent: 0px; letter-spacing: normal; word-spacing: 0px; white-space: normal; font-stretch: normal; -webkit-text-stroke-width: 0px;">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 &#8220;Tyco&#8221;). 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&#8217;s exclusive use, a 15-year indefeasible right to use four Wavelengths in Ring Configuration (as defined in the settlement agreement) (&#8220;Wavelengths&#8221;) 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&#8217;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&#8217;s appeal and affirming the Appellate Division&#8217;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&#8217;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 that granted Tyco&#8217;s motion to dismiss the Company&#8217;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&#8217;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. On July 7, 2014, the Company filed a motion for reargument with the Court of Appeals, which Tyco opposed. On September 11, 2014, the Court denied the Company&#8217;s motion. The Company is evaluating its options going forward.</p> <p style="font: 10pt/normal 'times new roman', times, serif; margin: 0px; color: #000000; text-transform: none; text-indent: 0px; letter-spacing: normal; word-spacing: 0px; white-space: normal; font-stretch: normal; -webkit-text-stroke-width: 0px;"></p> <p style="font: 10pt/normal 'times new roman', times, serif; margin: 0px; color: #000000; text-transform: none; text-indent: 0px; letter-spacing: normal; word-spacing: 0px; white-space: normal; font-stretch: normal; -webkit-text-stroke-width: 0px;">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&#8217;s results of operations, cash flows or financial condition.</p> <p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;"><b>Note 17&#8212;Commitments and Contingencies</b></p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;"><b>&#160;</b></p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;"><i>Purchase Commitments</i></p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;">The Company had purchase commitments of $2.3 million as of July 31, 2014.</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;">&#160;</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;"><i>Lease Commitments</i></p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;">The future minimum payments for operating leases as of July 31, 2014 are as follows:</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;">&#160;</p><table style="width: 1567px; text-transform: none; text-indent: 0px; letter-spacing: normal; font-family: 'times new roman', times, serif; word-spacing: 0px; border-collapse: collapse; -webkit-text-stroke-width: 0px;" cellspacing="0" cellpadding="0"><tr style="vertical-align: bottom;"><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; text-align: left;">(in thousands)</td><td style="font-size: 10pt; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="font-size: 10pt; text-align: right; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;" colspan="2">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-size: 10pt;">&#160;</td></tr><tr style="vertical-align: bottom;"><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">Year ending July 31:</td><td style="font-size: 10pt; text-align: left;">&#160;</td><td style="font-size: 10pt; text-align: right;" colspan="2">&#160;</td><td style="font-size: 10pt;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: #cceeff;"><td style="width: 1347px; font-style: normal; font-variant: normal; font-weight: normal; 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font-family: 'times new roman', times, serif; text-align: right;">235</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: #cceeff;"><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; text-indent: -12pt; padding-left: 12pt;">Total payments</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; 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text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;">&#160;</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;">Rental expense under operating leases was $6.4 million, $5.9 million and $4.1 million in fiscal 2014, fiscal 2013 and fiscal 2012, respectively. 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font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;"><i>Substantially Restricted Cash and Cash Equivalents</i></p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;">At July 31, 2014 and 2013, &#8220;Cash and cash equivalents&#8221; in the Company&#8217;s consolidated balance sheet included an aggregate of $12.9 million and $7.8 million, respectively, set aside by IDT Payment Services and IDT Financial Services that was unavailable for other purposes.</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;">&#160;</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;"><i>Restricted Cash and Cash Equivalents</i></p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; 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line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;" colspan="2">2013</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td></tr><tr style="vertical-align: bottom;"><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">Restricted cash and cash equivalents&#8212;short-term</td><td style="font-size: 10pt;">&#160;</td><td style="font-size: 10pt; 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line-height: normal; font-family: 'times new roman', times, serif; text-align: left; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; text-indent: -12pt; padding-left: 12pt;">Letters of credit related</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; 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line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">2,767</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: #cceeff;"><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; text-indent: -12pt; padding-left: 12pt;">Total restricted cash and cash equivalents</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; 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orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;"><b>Note 18&#8212;Related Party Transactions</b></p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;"><b>&#160;</b></p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;">See Note 13 for a description of the Zedge transactions under &#8220;Sales of Stock of Subsidiaries.&#8221;</p><p style="color: #000000; 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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.</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;">&#160;</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;">The Company&#8217;s selling, general and administrative expenses were reduced by $0.8 million in fiscal 2014 as a result of the fees the Company charged to Straight Path for services provided pursuant to the Transition Services Agreement. 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These agreements provide for, among other things, (1) the allocation between the Company and Genie of employee benefits, taxes and other liabilities and obligations attributable to periods prior to the spin-off, (2) transitional services to be provided by the Company relating to human resources and employee benefits administration, (3) the allocation of responsibilities relating to employee compensation and benefit plans and programs and other related matters, (4) finance, accounting, tax, internal audit, facilities, external reporting, investor relations and legal services to be provided by the Company to Genie following the spin-off and (5) specified administrative services to be provided by Genie to certain of the Company&#8217;s foreign subsidiaries. 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Pursuant to the Tax Separation Agreement, the Company indemnifies Genie from all liability for the Company&#8217;s taxes with respect to any taxable period, and Genie indemnifies the Company 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&#8217;s business.</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; text-indent: 0.5in;">&#160;</p><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-indent: 0px; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px;">The Company&#8217;s Chairman of the Board and former Chief Executive Officer, Howard S. 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IDT Energy also supplied natural gas to the Company&#8217;s Newark, New Jersey building until April 2013, and IDT Energy supplies natural gas to the Company&#8217;s facility in Piscataway, New Jersey. 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Billings for such services were $18,000, $27,000 and $29,000 in fiscal 2014, fiscal 2013 and fiscal 2012, respectively. 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(&#8220;IGM&#8221;). IGM was, until his death in October 2009, owned by Irwin Jonas, father of Howard Jonas, and the Company&#8217;s General Counsel, Joyce J. Mason. IGM is currently owned by Irwin Jonas&#8217; widow&#8212;the mother of Howard Jonas and Joyce Mason. Jonathan Mason, husband of Joyce Mason and brother-in-law of Howard Jonas, provides insurance brokerage services via IGM. Based on information the Company received from IGM, the Company believes that (1) IGM received commissions and fees from payments made by the Company (including payments from third party brokers) in the aggregate amounts of $20,000 in fiscal 2014, $15,000 in fiscal 2013 and $19,000 in fiscal 2012, which fees and commissions inured to the benefit of Mr. Mason, and (2) the total payments made by the Company to IGM for various insurance policies were nil in fiscal 2014 and fiscal 2013, and $0.2 million in fiscal 2012. 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Based on information the Company received from Jonathan Mason, the Company believes that Mason and Co. received from Brown &amp; Brown Metro, Inc. commissions and fees from payments made by the Company in the amount of $18,000 in fiscal 2014, $24,000 in fiscal 2013 and $20,000 in fiscal 2012. 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Howard Jonas and Shmuel Jonas, the Company&#8217;s Chief Executive Officer, and the son of Howard Jonas, are members of the limited liability company that owns the building. IDT Domestic Telecom rented office, storage and parking space for two years for $0.1 million per year and incurred costs of $0.1 million to build-out the space. In August 2009, the limited liability company was paid an aggregate of $0.3 million for the lease and the build-out costs. The initial lease expired at the end of April 2012. For the six month period from May 1, 2012 to October 31, 2012, IDT Domestic Telecom was charged aggregate rent of $34,512. The parties entered into a new lease, which became effective November 1, 2012 and has a one-year term, with a one-year renewal option for IDT Domestic Telecom with the same terms. 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Zedge owns and operates an online platform for mobile phone consumers interested in obtaining free, high-quality games, apps, and mobile phone customization including ringtones, wallpapers, and notification sounds. All Other includes Fabrix, a software development company offering a cloud-based scale-out storage and computing platform optimized for big data, virtualization and media storage, processing and delivery. The Company sold Fabrix in October 2014 (see Note 22). All Other also includes the Company&#8217;s real estate holdings and other, smaller, businesses. 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font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">1,130</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">46,349</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: white;"><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left; text-indent: -12pt; padding-left: 12pt;">(LOSS) INCOME BEFORE INCOME TAXES</td><td style="font-size: 10pt;">&#160;</td><td style="font-size: 10pt; text-align: left;">&#160;</td><td style="font-size: 10pt; text-align: right;">&#160;</td><td style="font-size: 10pt; text-align: left;">&#160;</td><td style="font-size: 10pt;">&#160;</td><td style="font-size: 10pt; text-align: left;">&#160;</td><td style="font-size: 10pt; text-align: right;">&#160;</td><td style="font-size: 10pt; text-align: left;">&#160;</td><td style="font-size: 10pt;">&#160;</td><td style="font-size: 10pt; text-align: left;">&#160;</td><td style="font-size: 10pt; text-align: right;">&#160;</td><td style="font-size: 10pt; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: #cceeff;"><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left; text-indent: -12pt; padding-left: 24pt;">Straight Path</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">(4,621</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">)</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">4,862</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: white;"><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; text-indent: -12pt; padding-left: 24pt;">Genie</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">2,609</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: #cceeff;"><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; text-indent: -12pt; padding-left: 12pt;">TOTAL</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">(4,621</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">)</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">7,471</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: white;"><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left; text-indent: -12pt; padding-left: 12pt;">NET (LOSS) INCOME</td><td style="font-size: 10pt;">&#160;</td><td style="font-size: 10pt; text-align: left;">&#160;</td><td style="font-size: 10pt; text-align: right;">&#160;</td><td style="font-size: 10pt; text-align: left;">&#160;</td><td style="font-size: 10pt;">&#160;</td><td style="font-size: 10pt; text-align: left;">&#160;</td><td style="font-size: 10pt; text-align: right;">&#160;</td><td style="font-size: 10pt; text-align: left;">&#160;</td><td style="font-size: 10pt;">&#160;</td><td style="font-size: 10pt; text-align: left;">&#160;</td><td style="font-size: 10pt; text-align: right;">&#160;</td><td style="font-size: 10pt; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: #cceeff;"><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left; text-indent: -12pt; padding-left: 24pt;">Straight Path</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">(4,634</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">)</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">4,836</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: white;"><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; text-indent: -12pt; padding-left: 24pt;">Genie</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">1,015</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: #cceeff;"><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; text-indent: -12pt; padding-left: 12pt;">TOTAL</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">(4,634</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">)</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; 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line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">2,475</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">1</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">2,476</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: white;"><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; 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font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">1</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">(9</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; 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text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">9,684</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr></table><p style="color: #000000; font-family: 'times new roman', times, serif; font-size: 10pt; font-style: normal; font-variant: normal; font-weight: normal; letter-spacing: normal; line-height: normal; orphans: auto; text-align: start; text-transform: none; white-space: normal; widows: auto; word-spacing: 0px; -webkit-text-stroke-width: 0px; margin: 0px; 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font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;" colspan="2">Fair Value</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: #cceeff;"><td style="width: 1363px; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left; text-indent: -12pt; padding-left: 12pt;">Within one year</td><td style="width: 16px; 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font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">12,851</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr></table> <table style="width: 1567px; text-transform: none; text-indent: 0px; letter-spacing: normal; font-family: 'times new roman', times, serif; word-spacing: 0px; border-collapse: collapse; -webkit-text-stroke-width: 0px;" cellspacing="0" cellpadding="0"><tr style="vertical-align: bottom;"><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">in thousands)</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;" colspan="2">Level 1</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="font-style: normal; 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font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="width: 141px; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">12,873</td><td style="width: 15px; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-weight: bold; font-style: normal; font-variant: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td></tr><tr style="vertical-align: bottom; background-color: white;"><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; 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text-align: right;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-size: 10pt; text-align: left;">&#160;</td><td style="font-size: 10pt; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-size: 10pt; text-align: left;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-size: 10pt; text-align: right;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-size: 10pt; text-align: left;">&#160;</td><td style="font-size: 10pt; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-size: 10pt; text-align: left;">&#160;</td><td style="border-bottom-color: black; 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font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">&#8212;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">$</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right;">9,684</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: left;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="border-bottom-color: black; 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font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">July 31&#160;<br />(in thousands)</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;">&#160;</td><td style="font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif; text-align: right; border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid;" colspan="2">2014</td><td style="border-bottom-color: black; border-bottom-width: 1.5pt; border-bottom-style: solid; font-style: normal; font-variant: normal; font-weight: normal; font-size: 10pt; line-height: normal; font-family: 'times new roman', times, serif;">&#160;</td><td style="font-style: normal; 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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 date as of the close of business on July 25, 2013 106000000 15000000 3500000 P5Y 2000000 9684000 898000 8786000 12881000 2475000 10375000 31000 1000 1000 9000 9000 12851000 12851000 1700000 17300000 100000 8300000 8200000 100000 9500000 9400000 100000 1500000 1800000 436127000 438899000 51294000 53895000 105449000 116775000 45141000 42190000 6187000 6249000 644198000 658008000 563456000 576248000 37700000 37700000 15900000 14300000 15700000 193000 193000 23000 23000 P6Y P4Y8M12D P6Y9M18D P5Y8M12D P4Y8M12D P6Y6M P3Y 5273000 2119000 3154000 4532000 670000 3154000 708000 3883000 1715000 2168000 2790000 335000 2387000 68000 700000 600000 600000 500000 400000 300000 100000 100000 -6698000 9251000 9300000 650000 -11022000 1800000 9600000 100000 1750000 -79000 -100000 374000 571000 67000 10000000 1800000 600000 1000000 25000000 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 125 0.0169 0.0165 0.00375 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. 90000000 13000000 46400000 73700000 6880000 6624000 7159000 279000 6624000 535000 271000 6624000 6353000 1200000 1200000 11000000 2012 2015 0.0076 0.056 100000 6400000 0.49 271000 6353000 50687000 53280000 11462000 7896000 38602000 43293000 11784000 1615000 12836000 15612000 6026000 4708000 14035000 16124000 -2859000 2538000 -5883000 1172000 2664000 1218000 238000 200000 197000 11000 -277000 -68000 -35000 21100000 9573000 44355000 21624000 -21421000 -10405000 3368000 2812000 2188000 7096000 2937000 2786000 2131000 2415000 1230000 25566000 25745000 989000 7566000 507000 163000 144001000 126093000 2845000 3123000 189017000 171176000 206669000 204977000 167328000 151975000 21689000 19201000 -1652000 -671000 279000 -2503000 -148000 -1741000 1431000 1177000 -5896000 612000 1456000 -36166000 14181000 6461000 -764000 1079000 175000 44000 -4110000 -36886000 15260000 2526000 -4147000 11883000 8747000 -41961000 -4110000 5800000 5073000 -961000 26000 -714000 -761000 -50000 -7000 -2500000 -921000 960000 601000 114000 41925000 462000 43617000 38111000 15353000 3754000 356000 356000 3754000 356000 36900000 168000000 200000000 2014 143000000 57000000 84000000 7000000 Through fiscal 2027 270000000 The holders of Class A common stock are entitled to three votes per share and the holders of Class B common stock are entitled to one-tenth of a vote per share. 0.66 0.66 0.75 0.75 0.59 0.59 0.17 0.17 2014-10-27 2014-10-27 15000000 17100000 13600000 0.08 0.08 8300000 300000 77843 2600000 800000 5100000 0.045 0.028 0.884 100000 100000 0.110 0.111 0.111 0.1117 1700000 1930000 1600000 0.0146 0.046 0.668 P6Y7M6D 642000 611000 29000 2000 438000 14.22 14.24 13.45 21.38 15.63 P6Y7M6D P5Y2M12D 1285000 444000 6.11 13.00 19.71 5.29 10.17 2013000 540000 183000 1649000 7000 1100000 5300000 500000 300000 P3Y P10Y 4.97 200000 200000 1400000 P2Y2M12D 0.4380 0.1529 500000 32155 P3Y 600000 300000 700000 50000 3500000 P10M24D 5700000 3500000 8700000 0.10 -438000 -438000 -2387000 4000 -2391000 2139000 2139000 1327000 -8000 1335000 2 10100000 0.09 5400000 1100000 P15Y 5400000 2801000 1383000 1146000 934000 812000 235000 7311000 37755000 68469000 2300000 4100000 5900000 6400000 16300000 11800000 10400000 3800000 3700000 900000 2800000 10000000 7800000 12900000 931000 1860000 1001000 2700000 3800000 800000 3100000 600000 6000 29000 500000 4000 500000 21000 16000 29000 27000 18000 20000 19000 24000 15000 18000 20000 200000 P2Y 100000 34512 69025 100000 300000 2012-04-30 P1Y P1Y 200000 200000 0.20 0.50 0.06 900000 1100000 1100000 0.14 0.29 0.13 0.23 0.19 0.30 85567000 81668000 3899000 80742000 77580000 3162000 81760000 79281000 2479000 6500000 6500000 200000 95000000 1.00 0.78 73000000 13000000 P18M 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. Included in income from operations was other operating gains of $9.6 million related to legal matters Included in income from operations was a charge for impairment of building and improvements of $4.4 million. Primarily uncollectible accounts written off, net of recoveries. On October 12, 2011, the Company entered into a binding term sheet with T-Mobile USA, Inc. ("T-Mobile") to settle litigation related to an alleged breach of a wholesale supply agreement. In consideration of the settlement of all disputes between the parties, on October 13, 2011, the Company paid T-Mobile $10 million. The Company incurred legal fees of $1.0 million in fiscal 2012 in connection with this matter. On January 17, 2012, the Company received $1.8 million from Broadstripe, LLC in settlement of the Company's claim stemming from Broadstripe, LLC's rejection of its telephony services agreements with the Company upon the confirmation of Broadstripe, LLC's bankruptcy plan and closing of its bankruptcy sale. In fiscal 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. In fiscal 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. The loan bears interest at the rate of 5.6% per annum and is payable in monthly installments of principal and interest of $0.1 million, with the last installment of $6.4 million payable on September 1, 2015. The loan is secured by a mortgage on a building in Piscataway, New Jersey. On June 24, 2009, the Company issued a promissory note in the principal amount of $1.2 million in connection with the acquisition of the 49% interest in Union Telecard Alliance, LLC that it did not own. The note bears interest at 0.76% per annum. The principal and interest are payable in thirty six equal, monthly installments that began on July 24, 2009 with the last payment on June 24, 2012. The Company has not made any payments since November 2011 due to disputes with the seller. 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Long-Lived Assets and Total Assets by Geographic Areas (Detail) link:presentationLink link:definitionLink link:calculationLink 097 - Disclosure - Business Segment Information - Additional Information (Detail) link:presentationLink link:definitionLink link:calculationLink 098 - Disclosure - Selected Quarterly Financial Data - Summary of Selected Quarterly Financial Data (Detail) link:presentationLink link:definitionLink link:calculationLink 099 - Disclosure - Selected Quarterly Financial Data - Summary of Selected Quarterly Financial Data (Parenthetical) (Detail) link:presentationLink link:definitionLink link:calculationLink 100 - Disclosure - Subsequent Event (Details) link:presentationLink link:definitionLink link:calculationLink EX-101.CAL 11 idt-20140731_cal.xml XBRL CALCULATION FILE EX-101.DEF 12 idt-20140731_def.xml XBRL DEFINITION FILE EX-101.LAB 13 idt-20140731_lab.xml XBRL LABEL FILE EX-101.PRE 14 idt-20140731_pre.xml XBRL PRESENTATION FILE XML 15 R39.htm IDEA: XBRL DOCUMENT v2.4.0.8
Notes Payable (Tables)
12 Months Ended
Jul. 31, 2014
Notes Payable [Abstract]  
Schedule of Notes Payable

 

July 31
(in thousands)
 2014  2013 
$11.0 million secured term loan due September 2015 (a) $6,624  $6,880 
$1.2 million note due June 2012 (b)     279 
Total notes payable  6,624   7,159 
Less current portion  (271)  (535)
Notes payable—long term portion $6,353  $6,624 
Schedule of Future Principal Payments of Notes Payable

 

(in thousands)   
Year ending July 31:    
2015 $271 
2016  6353 
2017   
2018   
2019   
Thereafter   
Total notes payable $6,624 
XML 16 R54.htm IDEA: XBRL DOCUMENT v2.4.0.8
Discontinued Operations - Additional Information (Detail) (USD $)
In Millions, unless otherwise specified
1 Months Ended 1 Months Ended 12 Months Ended
Oct. 28, 2011
Genie Energy [Member]
Oct. 28, 2011
IDT Energy [Member]
Oct. 28, 2011
Genie Oil and Gas [Member]
Sep. 30, 2011
IDT Entertainment [Member]
Aug. 30, 2011
IDT Entertainment [Member]
Jul. 31, 2013
Straight Path Spectrum, Inc. [Member]
Jul. 31, 2013
Straight Path IP Group, Inc. [Member]
Jul. 31, 2013
Straight Path Communications, 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 99.30% 100.00% 0.92%     100.00% 84.50%  
Description of shares issued in spin-off transaction Each of the Company's stockholders received one share of Genie Class A common stock for every share of the Company's Class A common stock and one share of Genie Class B common stock for every share of the Company's Class B common stock held of record as of the close of business on October 21, 2011.             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 date as of the close of business on July 25, 2013
Discontinued operations amount funded to spin-off $ 106.0             $ 15.0
Payment to Liberty Media in connection with IDT Entertainment         3.5      
Period to receive additional consideration from Liberty Media Corporation         5 years      
Gain (loss) recorded from prior period adjustments       $ 2.0        
XML 17 R48.htm IDEA: XBRL DOCUMENT v2.4.0.8
Selected Quarterly Financial Data (Tables)
12 Months Ended
Jul. 31, 2014
Selected Quarterly Financial Data [Abstract]  
Summary of Selected Quarterly Financial Data

  

Quarter Ended         Income
(loss)
  Net income
(loss)
  Income (loss) per share
—basic
  Income (loss) per share
—diluted
 
(in thousands, except per share data) Revenues  Direct cost
of revenues
  Income
from
operations
  from
continuing
operations
  attributable
to IDT
Corporation
  From
continuing
operations
  Net
income
(loss)
  From
continuing
operations
  Net
income
(loss)
 
2014:                           
October 31 $420,670  $350,319  $7,283  $4,050  $3,523  $0.17  $0.17  $0.15  $0.15 
January 31  406,423   335,258   7,574   2,973   2,535   0.12   0.12   0.11   0.11 
April 30  403,761   332,376   9,170   5,599   5,017   0.22   0.22   0.22   0.22 
July 31  420,687   349,313   5,813   8,388   7,709   0.34   0.34   0.33   0.33 
TOTAL $1,651,541  $1,367,266  $29,840  $21,010  $18,784  $0.85  $0.85  $0.82  $0.82 
2013:                                    
October 31 $400,117  $335,251  $6,684  $5,620  $3,614  $0.24  $0.17  $0.23  $0.16 
January 31  411,456   344,486   5,655   3,908   2,953   0.16   0.14   0.15   0.13 
April 30(a)  396,935   331,163   15,687   10,082   8,691   0.46   0.42   0.43   0.39 
July 31(b)  412,109   344,673   1,365   (1,532)  (3,651)  (0.09)  (0.17)  (0.09)  (0.17)
TOTAL $1,620,617  $1,355,573  $29,391  $18,078  $11,607  $0.77  $0.56  $0.72  $0.52 
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Notes Payable - Schedule of Future Principal Payments of Notes Payable (Detail) (USD $)
In Thousands, unless otherwise specified
Jul. 31, 2014
Jul. 31, 2013
Notes Payable [Abstract]    
2015 $ 271  
2016 6,353  
2017     
2018     
2019     
Thereafter     
Total notes payable $ 6,624 $ 7,159
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Marketable Securities - Summary of Marketable Securities (Detail) (USD $)
In Thousands, unless otherwise specified
Jul. 31, 2014
Jul. 31, 2013
Schedule of Available-for-sale Securities [Line Items]    
Amortized Cost $ 12,881 $ 9,684
Gross Unrealized Gains 1   
Gross Unrealized Losses (9)   
Fair Value 12,873 9,684
Certificates of Deposit [Member]
   
Schedule of Available-for-sale Securities [Line Items]    
Amortized Cost 10,375 [1] 8,786 [1]
Gross Unrealized Gains    [1]    [1]
Gross Unrealized Losses    [1]    [1]
Fair Value 10,375 [1] 8,786 [1]
Equity Securities [Member]
   
Schedule of Available-for-sale Securities [Line Items]    
Amortized Cost 31  
Gross Unrealized Gains     
Gross Unrealized Losses (9)  
Fair Value 22  
Municipal Bonds [Member]
   
Schedule of Available-for-sale Securities [Line Items]    
Amortized Cost 2,475 898
Gross Unrealized Gains 1   
Gross Unrealized Losses      
Fair Value $ 2,476 $ 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.
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Income Taxes - Schedule of Change in Valuation Allowance (Detail) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Income Tax Disclosure [Abstract]      
Valuation allowance - Balance at beginning of year $ 167,328 $ 204,977 $ 206,669
Valuation allowance - Additions charged to costs and expenses    462 41,925
Valuation allowance - Deductions (15,353) (38,111) (43,617)
Valuation allowance - Balance at end of year $ 151,975 $ 167,328 $ 204,977
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Related Party Transactions (Tables)
12 Months Ended
Jul. 31, 2014
Related Party Transactions [Abstract]  
Summary of Changes in Estimated Liability to Stright Path Included in Other Current Liabilities

Year ended July 31
(in thousands)
 
2014
 
Balance at beginning of year
 $931 
Additional liability
  1,930 
Payments
  (1,001)
Balance at end of year
 $1, 860 
 
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Discontinued Operations (Tables)
12 Months Ended
Jul. 31, 2014
Discontinued Operations [Abstract]  
Summary Financial Data of Discontinued Operations
Year ended July 31 
(in thousands)
 2014  2013  2012 
REVENUES         
Straight Path $  $1,130  $553 
Genie        45,796 
TOTAL $  $1,130  $46,349 
(LOSS) INCOME BEFORE INCOME TAXES            
Straight Path $  $(4,621) $4,862 
Genie        2,609 
TOTAL $  $(4,621) $7,471 
NET (LOSS) INCOME            
Straight Path $  $(4,634) $4,836 
Genie        1,015 
TOTAL $  $(4,634) $5,851 
XML 24 R79.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes - Summary of Change in Balance of Unrecognized Income Tax Benefits (Detail) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Income Tax Disclosure [Abstract]      
Balance at beginning of year $ 356    $ 3,754
Additions based on tax positions related to the current year         
Additions for tax positions of prior years    356   
Reductions for tax positions of prior years         
Settlements (356)    (3,754)
Lapses of statutes of limitations         
Balance at end of year    $ 356   
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Other Income (Expense), Net - Additional Information (Detail) (USD $)
0 Months Ended 12 Months Ended
May 01, 2013
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Other Income Expense Net [Line Items]        
Gain on modification and early termination of loan payable      $ 238,000   
Payments to Lender 21,100,000      
April 30, 2013 [Member]
       
Other Income Expense Net [Line Items]        
Gain on modification and early termination of loan payable     $ 200,000  
XML 27 R89.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies - Restricted Cash and Cash Equivalents (Detail) (USD $)
In Thousands, unless otherwise specified
Jul. 31, 2014
Jul. 31, 2013
Restricted Cash and Cash Equivalents Items [Line Items]    
Restricted cash and cash equivalents-short-term $ 65,706 $ 34,988
Restricted cash and cash equivalents-long-term 2,763 2,767
Total restricted cash and cash equivalents 68,469 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 665 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 64,415 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 626 723
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 28 R57.htm IDEA: XBRL DOCUMENT v2.4.0.8
Marketable Securities - Additional Information (Detail) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Marketable Securities [Abstract]      
Proceeds from maturities of available-for-sale securities $ 17.3 $ 1.7   
Gross realized gains and gross realized losses         
Loss for other than temporary decline in market value $ 0.1    
XML 29 R76.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes - Schedule of (Provision for) Benefit from Income Taxes (Detail) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Current:      
Federal $ (279) $ 671 $ 1,652
State and local    148 2,503
Foreign (1,177) (1,431) 1,741
Current Income Tax Expense Benefit (1,456) (612) 5,896
Deferred:      
Federal (6,461) (14,181) 36,166
State and local (175) (1,079) 764
Foreign 4,110    (44)
Deferred Income Tax Expense Benefit (2,526) (15,260) 36,886
(PROVISION FOR) BENEFIT FROM INCOME TAXES $ (3,982) $ (15,872) $ 42,782
XML 30 R86.htm IDEA: XBRL DOCUMENT v2.4.0.8
Accumulated Other Comprehensive Income - Schedule of Accumulated Balances for Each Classification of Other Comprehensive Income (Detail) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Beginning balance $ 2,341 $ 202 $ 3,027
Genie Spin-Off     (438)
Other comprehensive income attributable to IDT Corporation 1,327 2,139 (2,387)
Ending balance 3,668 2,341 202
Unrealized Gain (Loss) on Available-for-Sale Securities [Member]
     
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Beginning balance       (4)
Genie Spin-Off       
Other comprehensive income attributable to IDT Corporation (8)    4
Ending balance (8)      
Foreign Currency Translation [Member]
     
Accumulated Other Comprehensive Income (Loss) [Line Items]      
Beginning balance 2,341 202 3,031
Genie Spin-Off     (438)
Other comprehensive income attributable to IDT Corporation 1,335 2,139 (2,391)
Ending balance $ 3,676 $ 2,341 $ 202
XML 31 R81.htm IDEA: XBRL DOCUMENT v2.4.0.8
Equity - Additional Information (Detail) (USD $)
1 Months Ended 12 Months Ended 3 Months Ended 12 Months Ended 0 Months Ended 3 Months Ended 12 Months Ended 0 Months Ended
Aug. 31, 2013
Dec. 31, 2012
Nov. 21, 2012
Nov. 15, 2011
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Jul. 31, 2014
Straight Path [Member]
Jul. 31, 2014
Additional Paid In Capital [Member]
Jul. 31, 2014
Class B Common Stock [Member]
Jul. 31, 2014
Class B Common Stock [Member]
Jul. 31, 2013
Class B Common Stock [Member]
Jul. 31, 2012
Class B Common Stock [Member]
Oct. 05, 2014
Class B Common Stock [Member]
Subsequent Event [Member]
Jul. 31, 2014
Class A Common Stock [Member]
Jul. 31, 2014
Class A Common Stock [Member]
Jul. 31, 2013
Class A Common Stock [Member]
Jul. 31, 2012
Class A Common Stock [Member]
Oct. 05, 2014
Class A Common Stock [Member]
Subsequent Event [Member]
Schedule Of Stockholders Equity [Line Items]                                      
Voting rights description         The holders of Class A common stock are entitled to three votes per share and the holders of Class B common stock are entitled to one-tenth of a vote per share.                            
Dividend paid per share                     $ 0.59 $ 0.75 $ 0.66 $ 0.17   $ 0.59 $ 0.75 $ 0.66 $ 0.17
Date of declared dividend will be paid                   Oct. 27, 2014         Oct. 27, 2014        
Aggregate dividends paid         $ 13,600,000 $ 17,100,000 $ 15,000,000                        
Dividends declared, per share                       $ 0.08         $ 0.08    
Stock repurchase program, shares authorized for repurchase                   8,300,000 8,300,000                
Stock repurchased in a fiscal year                        77,843 300,000            
Aggregate purchase price of shares repurchased                       800,000 2,600,000            
Stock repurchase program, remaining number of shares authorized to be repurchased                   5,100,000 5,100,000                
Cash paid to purchase ownership percentage in subsidiary 1,100,000 1,800,000     1,133,000 1,804,000                          
Ownership percentage increased in subsidiary 2.80% 4.50%                                  
Ownership percentage in subsidiary 88.40%                                    
Cash received on sale of Zedge stock to Shaman II L.P     100,000 100,000                              
Percentage of ownership before additional acquisition     11.10% 11.00%                              
Percentage of ownership after additional acquisition     11.17% 11.10%                              
Additional liability               1,700,000 1,600,000                    
Dividends payable            $ 1,837,000                          
XML 32 R87.htm IDEA: XBRL DOCUMENT v2.4.0.8
Legal Proceedings - Additional Information (Detail) (USD $)
In Millions, unless otherwise specified
0 Months Ended 1 Months Ended 12 Months Ended
Oct. 17, 2013
Patents
May 05, 2004
Aug. 31, 2011
Jul. 31, 2014
Jul. 31, 2013
Aerotel Ltd [Member]
Mar. 15, 2013
Aerotel Ltd [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
Accrued litigation expense       1.1    
Term of indefeasible right to use   15 years        
Payments for legal settlements         $ 5.4  
XML 33 R77.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes - Schedule of Statutory Income Tax Rate and Income Taxes Provided (Detail) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Income Tax Disclosure [Abstract]      
U.S. federal income tax at statutory rate $ (8,747) $ (11,883) $ 4,147
Valuation allowance 4,110   41,961
Foreign tax rate differential 961 (5,073) (5,800)
Nondeductible expenses 761 714 (26)
Other 7 50  
Prior year tax (expense) benefit (960) 921 2,500
State and local income tax, net of federal benefit (114) (601)  
(PROVISION FOR) BENEFIT FROM INCOME TAXES $ (3,982) $ (15,872) $ 42,782
XML 34 R71.htm IDEA: XBRL DOCUMENT v2.4.0.8
Accrued Expenses - Summary of Accrued Expenses (Detail) (USD $)
In Thousands, unless otherwise specified
Jul. 31, 2014
Jul. 31, 2013
Accrued Expenses [Abstract]    
Carrier minutes termination $ 53,280 $ 50,687
Carrier network connectivity, toll-free and 800 services 7,896 11,462
Regulatory fees and taxes 43,293 38,602
Legal settlements 1,615 11,784
Compensation costs 15,612 12,836
Legal and professional fees 4,708 6,026
Other 16,124 14,035
TOTAL $ 142,528 $ 145,432
XML 35 R25.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies
12 Months Ended
Jul. 31, 2014
Legal Proceedings and Commitments And Contingencies Disclosure [Abstract]  
Commitments and Contingencies

Note 17—Commitments and Contingencies

 

Purchase Commitments

The Company had purchase commitments of $2.3 million as of July 31, 2014.

 

Lease Commitments

The future minimum payments for operating leases as of July 31, 2014 are as follows:

 

(in thousands)   
Year ending July 31:   
2015 $2,801 
2016  1,383 
2017  1,146 
2018  934 
2019  812 
Thereafter  235 
Total payments $7,311 

 

Rental expense under operating leases was $6.4 million, $5.9 million and $4.1 million in fiscal 2014, fiscal 2013 and fiscal 2012, respectively. In addition, connectivity charges under operating leases were $10.4 million, $11.8 million and $16.3 million in fiscal 2014, fiscal 2013 and fiscal 2012, respectively.

 

Letters of Credit

As of July 31, 2014, the Company had letters of credit outstanding totaling $3.7 million primarily for collateral to secure mortgage repayments and for IDT Telecom’s business. The letters of credit outstanding as of July 31, 2014 expire as follows: $0.9 million in the year ending July 31, 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 July 31, 2014, the Company had aggregate performance bonds of $10.0 million outstanding.

 

Customer Deposits

As of July 31, 2014 and 2013, “Customer deposits” in the Company’s consolidated balance sheets included refundable customer deposits of $62.7 million and $28.7 million, respectively, related to IDT Financial Services, the Company’s Gibraltar-based bank.

   

Substantially Restricted Cash and Cash Equivalents

At July 31, 2014 and 2013, “Cash and cash equivalents” in the Company’s consolidated balance sheet included an aggregate of $12.9 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:

 

July 31 
(in thousands)
 2014  2013 
Restricted cash and cash equivalents—short-term      
Letters of credit related $665  $3,189 
IDT Financial Services customer deposits  64,415   31,076 
Other  626   723 
Total short-term  65,706   34,988 
Restricted cash and cash equivalents—long-term        
Letters of credit related  2,763   2,767 
Total restricted cash and cash equivalents $68,469  $37,755 
 
XML 36 R50.htm IDEA: XBRL DOCUMENT v2.4.0.8
Description of Business and Summary of Significant Accounting Policies - Summary of Outstanding Stock Options Excluded from Calculation of Diluted Earnings Per Share (Detail)
In Thousands, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Earnings Per Share [Abstract]      
Shares excluded from the calculation of diluted earnings per share 70 611 619
XML 37 R42.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes (Tables)
12 Months Ended
Jul. 31, 2014
Income Tax Disclosure [Abstract]  
Schedule of Income (loss) from Continuing Operations Before Income Taxes

 

Year ended July 31
(in thousands)
 2014  2013  2012 
Domestic $21,624  $44,355  $9,573 
Foreign  3,368   (10,405)  (21,421)
INCOME (LOSS) FROM CONTINUING OPERATIONS BEFORE INCOME TAXES $24,992  $33,950  $(11,848)
Schedule of Deferred Income Tax Assets

 

July 31
(in thousands)
 2014  2013 
Deferred income tax assets:        
Bad debt reserve $2,188  $2,812 
Accrued expenses  2,937   7,096 
Stock options and restricted stock  2,131   2,786 
Charitable contributions  1,230   2,415 
Impairment  25,745   25,566 
Depreciation  7,566   989 
Unrealized gain  163   507 
Net operating loss  126,093   144,001 
Credits  3,123   2,845 
Total deferred income tax assets  171,176   189,017 
Valuation allowance  (151,975)  (167,328)
DEFERRED INCOME TAX ASSETS, NET $19,201  $21,689 
Schedule of (Provision for) Benefit from Income Taxes

 

Year ended July 31
(in thousands)
 2014  2013  2012 
Current:            
Federal $(279) $671  $1,652 
State and local     148   2,503 
Foreign  (1,177)  (1,431)  1,741 
   (1,456)  (612)  5,896 
Deferred:            
Federal  (6,461)  (14,181)  36,166 
State and local  (175)  (1,079)  764 
Foreign  4,110      (44)
   (2,526)  (15,260)  36,886 
(PROVISION FOR) BENEFIT FROM INCOME TAXES $(3,982) $(15,872) $42,782 
Schedule of Statutory Income Tax Rate and Income Taxes Provided

 

Year ended July 31
(in thousands)
 2014  2013  2012 
U.S. federal income tax at statutory rate $(8,747) $(11,883) $4,147 
Valuation allowance  4,110      41,961 
Foreign tax rate differential  961   (5,073)  (5,800)
Nondeductible expenses  761   714   (26)
Other  7   50    
Prior year tax (expense) benefit  (960)  921   2,500 
State and local income tax, net of federal benefit  (114)  (601)   
(PROVISION FOR) BENEFIT FROM INCOME TAXES $(3,982) $(15,872) $42,782 
Schedule of Change in Valuation Allowance

 

Year ended July 31
(in thousands)
 Balance at
beginning of
year
  Additions
charged to
costs and
expenses
  Deductions  Balance at
end of year
 
2014            
Reserves deducted from deferred income taxes, net:                
Valuation allowance $167,328  $  $(15,353) $151,975 
2013                
Reserves deducted from deferred income taxes, net:                
Valuation allowance $204,977  $462  $(38,111) $167,328 
2012                
Reserves deducted from deferred income taxes, net:                
Valuation allowance $206,669  $41,925  $(43,617) $204,977 
Summary of Change in Balance of Unrecognized Income Tax Benefits

 

Year ended July 31
(in thousands)
 2014  2013  2012 
Balance at beginning of year $356  $  $3,754 
Additions based on tax positions related to the current year         
Additions for tax positions of prior years     356    
Reductions for tax positions of prior years         
Settlements  (356)     (3,754)
Lapses of statutes of limitations         
Balance at end of year $  $356  $ 
XML 38 R75.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes - Schedule of Deferred Income Tax Assets (Detail) (USD $)
In Thousands, unless otherwise specified
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Jul. 31, 2011
Deferred income tax assets:        
Bad debt reserve $ 2,188 $ 2,812    
Accrued expenses 2,937 7,096    
Stock options and restricted stock 2,131 2,786    
Charitable contributions 1,230 2,415    
Impairment 25,745 25,566    
Depreciation 7,566 989    
Unrealized gain 163 507    
Net operating loss 126,093 144,001    
Credits 3,123 2,845    
Total deferred income tax assets 171,176 189,017    
Valuation allowance (151,975) (167,328) (204,977) (206,669)
DEFERRED INCOME TAX ASSETS, NET $ 19,201 $ 21,689    
XML 39 R97.htm IDEA: XBRL DOCUMENT v2.4.0.8
Business Segment Information - Additional Information (Detail) (USD $)
3 Months Ended 12 Months Ended
Apr. 30, 2013
Apr. 30, 2012
Jul. 31, 2014
Segment
Jul. 31, 2013
Jul. 31, 2012
Segment Reporting Information [Line Items]          
Number of reportable segments     3    
Gain from settlement of litigation     $ 650,000 $ 9,251,000 $ (6,698,000)
Other operating losses     835,000 9,251,000 (15,870,000)
Estimated losses from pending litigation   6,500,000      
Gain (loss) from settlement of litigation 9,600,000      [1]    [1] (11,022,000) [1]
Loss on settlement of unrelated claim         200,000
Telecom Platform Services [Member]
         
Segment Reporting Information [Line Items]          
Gain from settlement of litigation       9,300,000  
Other operating losses         (15,900,000)
Estimated losses from pending litigation         6,500,000
Broadstripe, LLC [Member]
         
Segment Reporting Information [Line Items]          
Gain (loss) from settlement of litigation         $ 1,800,000
[1] On October 12, 2011, the Company entered into a binding term sheet with T-Mobile USA, Inc. ("T-Mobile") to settle litigation related to an alleged breach of a wholesale supply agreement. In consideration of the settlement of all disputes between the parties, on October 13, 2011, the Company paid T-Mobile $10 million. The Company incurred legal fees of $1.0 million in fiscal 2012 in connection with this matter.
XML 40 R37.htm IDEA: XBRL DOCUMENT v2.4.0.8
Goodwill and Other Intangibles (Tables)
12 Months Ended
Jul. 31, 2014
Goodwill and Other Intangibles [Abstract]  
Schedule of Change in Carrying Amount of Goodwill by Operating Segment
 
(in thousands) Telecom Platform
Services
  Zedge  Total 
Balance as of July 31, 2012 $11,407  $3,207  $14,614 
Foreign currency translation adjustments  193      193 
Balance as of July 31, 2013  11,600   3,207   14,807 
Foreign currency translation adjustments  23      23 
Balance as of July 31, 2014 $11,623  $3,207  $14,830 

 

Schedule of Other Intangible Assets

(in thousands) Weighted
Average
Amortization
Period
  Gross
Carrying
Amount
  Accumulated
Amortization
  Net
Balance
 
July 31, 2014            
Amortized intangible assets:            
Trademarks and patents  4.7 years  $670  $(335) $335 
Technology and domain names  3.0 years   708   (68)  640 
Customer lists  6.5 years   3,154   (2,387)  767 
TOTAL  5.7 years  $4,532  $(2,790) $1,742 
July 31, 2013                
Amortized intangible assets:                
Trademarks and patents  4.7 years  $2,119  $(1,715) $404 
Customer lists  6.8 years   3,154   (2,168)  986 
TOTAL  6.0 years  $5,273  $(3,883) $1,390 
 
XML 41 R52.htm IDEA: XBRL DOCUMENT v2.4.0.8
Description of Business and Summary of Significant Accounting Policies - Additional Information (Detail) (USD $)
12 Months Ended
Jul. 31, 2014
Segment
Jul. 31, 2013
Jul. 31, 2012
Jul. 31, 2013
Reclassification [Member]
Jul. 31, 2012
Reclassification [Member]
Jul. 31, 2011
Reclassification [Member]
Jul. 31, 2013
Customer Lists [Member]
Jul. 31, 2013
Trademarks [Member]
Jul. 31, 2013
Technology and domain names [Member]
Jul. 31, 2014
Equipment [Member]
Jul. 31, 2014
Building [Member]
Jul. 31, 2014
Computer Software [Member]
Jul. 31, 2014
Furniture and Fixtures [Member]
Jul. 31, 2014
Internal-use Software [Member]
Accounting Policies [Line Items]                            
Number of reportable segments 3                          
Investments accounted for using the equity method $ 9,400,000 $ 8,100,000                        
Investments accounted for using the cost method 1,800,000 1,500,000                        
Estimated useful lives of Long-Lived assets                   5   2 5  
Estimated useful lives of Long-Lived assets                   7 40 3 7 Excess of one year
Estimated useful lives of Long-Lived assets                   20   5 10  
Amortization period             15 years 5 years 3 years          
Advertising expense 17,200,000 13,100,000 17,000,000                      
Amortization expense related to capitalized software 7,600,000 6,300,000 5,800,000                      
Unamortized capitalized internal use software costs 13,200,000 10,200,000                        
USF charges 600,000 800,000 1,100,000                      
Percentage of consolidated revenues not exceeded by one single customer 10.00% 10.00% 10.00%                      
Percentage of consolidated revenues from continuing operations 12.00% 10.00% 8.10%                      
Percentage of gross trade accounts receivable from customers 22.10% 16.60%                        
Restricted cash and cash equivalents-long-term 2,763,000 2,767,000   4,600,000                    
Restricted cash and cash equivalents $ 25,292,000 $ 23,006,000 $ 7,733,000 $ 2,100,000 $ 2,000,000 $ 8,700,000                
XML 42 R67.htm IDEA: XBRL DOCUMENT v2.4.0.8
Revolving Credit Loan Payable - Additional Information (Detail) (USD $)
1 Months Ended 12 Months Ended 1 Months Ended 12 Months Ended
Jul. 12, 2012
Jul. 31, 2014
Jul. 31, 2013
Aug. 31, 2014
Subsequent Event [Member]
Jul. 31, 2014
Line of Credit [Member]
Jul. 31, 2013
Line of Credit [Member]
Jul. 31, 2014
July 30, 2012 [Member]
Jul. 12, 2012
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
Revolving credit loan payable   13,000,000 21,062,000   13,000,000 21,100,000    
Interest rate of credit agreement   1.65% 1.69%          
Average percentage of commitment fee per annum 0.375%              
Line of credit facility, convenant compliance   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.            
Maximum amount of investments in and advances to affiliates, at fair value 90,000,000              
Repayments of credit agreement       13,000,000        
Aggregate loans and advances to affiliates and subsidiaries   $ 73,700,000 $ 46,400,000          
XML 43 R61.htm IDEA: XBRL DOCUMENT v2.4.0.8
Property, Plant and Equipment - Additional Information (Detail) (USD $)
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Property Plant And Equipment [Abstract]      
Impairment charge for building and improvements    $ 4,359,000   
Carrying value of the land, building and improvements 37,700,000 37,700,000  
Depreciation and amortization expense $ 15,700,000 $ 14,300,000 $ 15,900,000
XML 44 R47.htm IDEA: XBRL DOCUMENT v2.4.0.8
Business Segment Information (Tables)
12 Months Ended
Jul. 31, 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 
Year ended July 31, 2014                  
Revenues $1,615,570  $11,023  $6,535  $18,413  $  $1,651,541 
Income (loss) from operations  45,062   1,797   314   (2,049)  (15,284)  29,840 
Depreciation and amortization  13,776      967   1,545   30   16,318 
Year ended July 31, 2013                        
Revenues $1,588,071  $14,514  $5,811  $12,221  $  $1,620,617 
Income (loss) from operations  48,661   1,824   340   (7,433)  (14,001)  29,391 
Depreciation and amortization  12,342   1   798   1,673   96   14,910 
Impairment of building and improvements           4,359      4,359 
Year ended July 31, 2012                        
Revenues $1,477,762  $19,307  $3,793  $5,421  $  $1,506,283 
Income (loss) from operations  5,910   4,062   (248)  (3,668)  (13,152)  (7,096)
Depreciation and amortization  14,215   9   652   1,512   260   16,648 
Revenue from External Customers by Geographic Areas

Year ended July 31 2014  2013  2012 
Revenue from customers located outside of the United States  30%  23%  29%
Revenue from customers located in the United Kingdom  19%  13%  14%
Long-Lived Assets and Total Assets by Geographic Areas

 

(in thousands) United
States
  Foreign
Countries
  Total 
July 31, 2014         
Long-lived assets, net $79,281  $2,479  $81,760 
Total assets  284,249   196,682   480,931 
July 31, 2013            
Long-lived assets, net $77,580  $3,162  $80,742 
Total assets  294,337   141,070   435,407 
July 31, 2012            
Long-lived assets, net $81,668  $3,899  $85,567 
Total assets  310,209   140,905   451,114 
XML 45 R9.htm IDEA: XBRL DOCUMENT v2.4.0.8
Description of Business and Summary of Significant Accounting Policies
12 Months Ended
Jul. 31, 2014
Description of Business and Summary of Significant Accounting Policies [Abstract]  
Description of Business and Summary of Significant Accounting Policies

Note 1—Description of Business and Summary of Significant Accounting Policies

 

Description of Business 

IDT Corporation (“IDT” or the “Company”) is a multinational holding company with operations primarily in the telecommunications and payment industries. The Company has three reportable business segments, Telecom Platform Services, Consumer Phone Services and Zedge Holdings, Inc. (“Zedge”). Telecom Platform Services provides retail telecommunications and payment offerings as well as wholesale international long distance traffic termination. Consumer Phone Services provides consumer local and long distance services in certain U.S. states. Telecom Platform Services and Consumer Phone Services comprise the IDT Telecom division. Zedge owns and operates an online platform for mobile phone consumers interested in obtaining free, high-quality games, apps, and mobile phone customization including ringtones, wallpapers, and notification sounds. Operating segments not reportable individually are included in All Other. All Other includes Fabrix Systems Ltd. (“Fabrix”), a software development company offering a cloud-based scale-out storage and computing platform optimized for big data, virtualization and media storage, processing and delivery. The Company sold Fabrix in October 2014 (see Note 22). All Other also includes the Company’s real estate holdings and other, smaller, businesses.

 

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”) (see Note 2). On October 28, 2011, the Company completed a pro rata distribution of the common stock of the Company’s subsidiary, Genie Energy Ltd. (“Genie”), to the Company’s stockholders of record as of the close of business on October 21, 2011 (the “Genie Spin-Off”) (see Note 2). Straight Path and Genie 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.

 

Basis of Consolidation and Accounting for Investments

The method of accounting applied to long-term investments, whether consolidated, equity or cost, involves an evaluation of the significant terms of each investment that explicitly grant or suggest evidence of control or influence over the operations of the investee and also includes the identification of any variable interests in which the Company is the primary beneficiary. The consolidated financial statements include the Company’s controlled subsidiaries. In addition, the Company has not identified any variable interests in which the Company is the primary beneficiary. All significant intercompany accounts and transactions between the consolidated subsidiaries are eliminated.

 

Investments in businesses that the Company does not control, but in which the Company has the ability to exercise significant influence over operating and financial matters, are accounted for using the equity method. Investments in which the Company does not have the ability to exercise significant influence over operating and financial matters are accounted for using the cost method. Investments in hedge funds are accounted for using the equity method unless the Company’s interest is so minor that it has virtually no influence over operating and financial policies, in which case these investments are accounted for using the cost method. At July 31, 2014 and 2013, the Company had $9.4 million and $8.1 million, respectively, in investments accounted for using the equity method, and $1.8 million and $1.5 million, respectively, in investments accounted for using the cost method. Equity and cost method investments are included in “Other current assets” or “Investments” in the accompanying consolidated balance sheets. The Company periodically evaluates its equity and cost method investments for impairment due to declines considered to be other than temporary. If the Company determines that a decline in fair value is other than temporary, then a charge to earnings is recorded in “Other (expense) income, net” in the accompanying consolidated statements of income, and a new basis in the investment is established.

 

Reclassifications

Certain prior year amounts were reclassified to conform to the current year’s presentation:

 

  In the consolidated balance sheet, $4.6 million previously included in “Restricted cash and cash equivalents—long-term” at July 31, 2013 was reclassified to “Cash and cash equivalents”;
     
  In the consolidated statements of cash flows, cash used for “Restricted cash and cash equivalents” in the years ended July 31, 2013 and 2012 of $2.1 million and $2.0 million, respectively, was reclassified to “Cash and cash equivalents”; and
     
  In the consolidated statement of cash flows, $8.7 million previously included in “Restricted cash and cash equivalents” at July 31, 2011 was reclassified to “Cash and cash equivalents”.

  

Use of Estimates

The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America (“U.S. GAAP”) requires management to make estimates and assumptions that affect the amounts reported in the financial statements and accompanying notes. Actual results may differ from those estimates.

 

Revenue Recognition

Telephone service, which includes domestic and international long distance, local service, and wholesale carrier telephony services is recognized as revenue when services are provided, primarily based on usage and/or the assessment of fees. Revenue from Boss Revolution PIN-less international calling service and from sales of calling cards, net of customer discounts, is deferred until the service or the cards are used or, calling card administrative fees are imposed, thereby reducing the Company’s outstanding obligation to the customer, at which time revenue is recognized. Domestic and international airtime top-up revenue is recognized upon redemption. International airtime top-up enables customers to purchase airtime for a prepaid mobile telephone in another country.

 

IDT Telecom enters into reciprocal transactions pursuant to which IDT Telecom is committed to purchase a specific number of minutes to specific destinations at specified rates, and the counterparty is committed to purchase from IDT Telecom a specific number of minutes to specific destinations at specified rates. The number of minutes purchased and sold in a reciprocal transaction is not necessarily equal. The rates in these reciprocal transactions are generally greater than prevailing market rates. In addition, IDT Telecom enters into transactions in which it swaps minutes with another carrier. The Company recognizes revenue and the related direct cost of revenue for these reciprocal and swap transactions based on the fair value of the minutes.

 

Zedge revenues from traditional web/mobile web and Android/iOS applications are recognized based on blocks of impressions or ad views. Revenues from mobile games are recognized upon download by the end user.

 

Revenue from Fabrix for software licenses and maintenance support was deferred and recognized on a straight-line basis from the date on which delivered orders were accepted by the customer over the period that the support was expected to be provided since sufficient vendor-specific objective evidence of fair value to allocate revenues to the various deliverables did not exist in fiscal 2014, fiscal 2013 or fiscal 2012.

 

Direct Cost of Revenues

Direct cost of revenues for IDT Telecom consists primarily of termination and origination costs, toll-free costs, and network costs—including customer/carrier interconnect charges and leased fiber circuit charges. These costs include an estimate of charges for which invoices have not yet been received, and estimated amounts for pending disputes with other carriers. Subsequent adjustments to these estimates may occur after the invoices are received for the actual costs incurred, but these adjustments generally are not material to the Company’s results of operations. Direct cost of revenues for IDT Telecom also includes the cost of airtime top-up minutes.

 

Direct cost of revenues for Zedge consists of ad server costs, web hosting charges, and copyright/infringement prevention costs.

 

Direct cost of revenues for Fabrix consisted primarily of customer support expenses.

 

Direct cost of revenues excludes depreciation and amortization expense.

 

Cash and Cash Equivalents

The Company considers all highly liquid investments with an original maturity of three months or less when purchased to be cash equivalents.

 

Restricted Cash and Cash Equivalents

The Company classifies the change in its restricted cash and cash equivalents as an operating activity in the accompanying consolidated statements of cash flows because the restrictions are directly related to the operations of IDT Financial Services, the Company’s Gibraltar-based bank, and IDT Telecom.

 

Substantially Restricted Cash and Cash Equivalents

IDT Payment Services, which provides the Company’s international money transfer services in the United States, and IDT Financial Services set aside certain cash balances in accordance with banking regulations, credit card issuer requirements or license compliance. These balances are included in “Cash and cash equivalents” in the Company’s consolidated balance sheet. The balances are not legally restricted, however the Company treats these balances as substantially restricted and unavailable for other purposes.

 

Marketable Securities

The Company’s investments in marketable securities are classified as “available-for-sale.” Available-for-sale securities are required to be carried at their fair value, with unrealized gains and losses (net of income taxes) that are considered temporary in nature recorded in “Accumulated other comprehensive income” in the accompanying consolidated balance sheets. The Company uses the specific identification method in computing the gross realized gains and gross realized losses on the sales of marketable securities. The Company periodically evaluates its investments in marketable securities for impairment due to declines in market value considered to be other than temporary. Such impairment evaluations include, in addition to persistent, declining market prices, general economic and Company-specific evaluations. If the Company determines that a decline in market value is other than temporary, then a charge to operations is recorded in “Other (expense) income, net” in the accompanying consolidated statements of income and a new cost basis in the investment is established.

 

Long-Lived Assets

Equipment, buildings, computer software and furniture and fixtures are recorded at cost and are depreciated on a straight-line basis over their estimated useful lives, which range as follows: equipment—5, 7 or 20 years; buildings—40 years; computer software—2, 3 or 5 years and furniture and fixtures—5, 7 or 10 years. Leasehold improvements are recorded at cost and are depreciated on a straight-line basis over the term of their lease or their estimated useful lives, whichever is shorter.

 

Costs associated with obtaining the right to use trademark and patents owned by third parties are capitalized and amortized on a straight-line basis over the term of the relevant trademark and patent licenses. The fair value of technology and domain names, customer lists, and trademark acquired in a business combination accounted for under the purchase method are amortized over their estimated useful lives as follows: technology and domain names are amortized on a straight-line basis over the 3 year estimated useful lives; customer lists are amortized ratably over the approximately 15 year period of expected cash flows; and trademark is amortized on a straight-line basis over the 5 year period of expected cash flows.

 

The Company tests the recoverability of its long-lived assets with finite useful lives whenever events or changes in circumstances indicate that the carrying value of the asset may not be recoverable. The Company tests for recoverability based on the projected undiscounted cash flows to be derived from such asset. If the projected undiscounted future cash flows are less than the carrying value of the asset, the Company will record an impairment loss, if any, based on the difference between the estimated fair value and the carrying value of the asset. The Company generally measures fair value by considering sale prices for similar assets or by discounting estimated future cash flows from such asset using an appropriate discount rate. Cash flow projections and fair value estimates require significant estimates and assumptions by management. Should the estimates and assumptions prove to be incorrect, the Company may be required to record impairments in future periods and such impairments could be material.

 

Goodwill

Goodwill is the excess of the acquisition cost of businesses over the fair value of the identifiable net assets acquired. Goodwill and other indefinite lived intangible assets are not amortized. These assets are reviewed annually (or more frequently under various conditions) for impairment using a fair value approach. The goodwill impairment assessment involves estimating the fair value of the reporting unit and comparing it to its carrying amount, which is known as Step 1. If the carrying value of the reporting unit exceeds its estimated fair value, Step 2 is performed to determine if an impairment of goodwill is required. The fair value of the reporting units is estimated using discounted cash flow methodologies, as well as considering third party market value indicators. Goodwill impairment is measured by the excess of the carrying amount of the reporting unit’s goodwill over its implied fair value. Calculating the fair value of the reporting units, and allocating the estimated fair value to all of the tangible assets, intangible assets and liabilities, requires significant estimates and assumptions by management. Should the estimates and assumptions regarding the fair value of the reporting units prove to be incorrect, the Company may be required to record impairments to its goodwill in future periods and such impairments could be material.

 

The Company has the option to perform a qualitative assessment to determine whether it is necessary to perform the two-step quantitative goodwill impairment test. However, the Company may elect to perform the two-step quantitative goodwill impairment test even if no indications of a potential impairment exist.

 

For its reporting unit with zero or negative carrying amount, the Company performs Step 2 of the goodwill impairment test if it is more likely than not that a goodwill impairment exists. In determining whether it is more likely than not that goodwill impairment exists, the Company considers whether there are any adverse qualitative factors indicating that impairment may exist.

 

Advertising Expense

Cost of advertising is charged to selling, general and administrative expenses in the period in which it is incurred. In fiscal 2014, fiscal 2013 and fiscal 2012, advertising expense was $17.2 million, $13.1 million and $17.0 million, respectively.

 

Research and Development Costs

Costs for research and development are charged to expense as incurred. Research and development costs were primarily incurred by Fabrix.

 

Capitalized Internal Use Software Costs

The Company capitalizes the cost of internal-use software that has a useful life in excess of one year. These costs consist of payments made to third parties and the salaries of employees working on such software development. Subsequent additions, modifications or upgrades to internal-use software are capitalized only to the extent that they allow the software to perform a task it previously did not perform. Software maintenance and training costs are expensed in the period in which they are incurred. Capitalized internal use software costs are amortized on a straight-line basis over their estimated useful lives. Amortization expense related to such capitalized software in fiscal 2014, fiscal 2013 and fiscal 2012 was $7.6 million, $6.3 million and $5.8 million, respectively. Unamortized capitalized internal use software costs at July 31, 2014 and 2013 were $13.2 million and $10.2 million, respectively.

 

Repairs and Maintenance

The Company charges the cost of repairs and maintenance, including the cost of replacing minor items not constituting substantial betterment, to selling, general and administrative expenses as these costs are incurred.

 

Foreign Currency Translation

Assets and liabilities of foreign subsidiaries denominated in foreign currencies are translated to U.S. Dollars at end-of-period rates of exchange, and their monthly results of operations are translated to U.S. Dollars at the average rates of exchange for that month. Gains or losses resulting from such foreign currency translations are recorded in “Accumulated other comprehensive income” in the accompanying consolidated balance sheets. Foreign currency transaction gains and losses are reported in “Other (expense) income, net” in the accompanying consolidated statements of income.

 

Income Taxes

The Company recognizes deferred tax assets and liabilities for the future tax consequences attributable to temporary differences between the financial statements carrying amounts of existing assets and liabilities and their respective tax bases. A valuation allowance is provided when it is more likely than not that some portion or all of a deferred tax asset will not be realized. The ultimate realization of deferred tax assets depends on the generation of future taxable income during the period in which related temporary differences become deductible. The Company considers the scheduled reversal of deferred tax liabilities, projected future taxable income and tax planning strategies in its assessment of a valuation allowance. Deferred tax assets and liabilities are measured using the enacted tax rates expected to apply to taxable income in the years in which those temporary differences are expected to be recovered or settled. The effect on deferred tax assets and liabilities of a change in tax rates is recognized in income in the period that includes the enactment date of such change.

 

The Company uses a two-step approach for recognizing and measuring tax benefits taken or expected to be taken in a tax return. The Company determines whether it is more-likely-than-not that a tax position will be sustained upon examination, including resolution of any related appeals or litigation processes, based on the technical merits of the position. In evaluating whether a tax position has met the more-likely-than-not recognition threshold, the Company presumes that the position will be examined by the appropriate taxing authority that has full knowledge of all relevant information. Tax positions that meet the more-likely-than-not recognition threshold are measured to determine the amount of tax benefit to recognize in the financial statements. The tax position is measured at the largest amount of benefit that is greater than 50 percent likely of being realized upon ultimate settlement. Differences between tax positions taken in a tax return and amounts recognized in the financial statements will generally result in one or more of the following: an increase in a liability for income taxes payable, a reduction of an income tax refund receivable, a reduction in a deferred tax asset, or an increase in a deferred tax liability.

 

The Company classifies interest and penalties on income taxes as a component of income tax expense.

 

Contingencies

The Company accrues for loss contingencies when both (a) information available prior to issuance of the financial statements indicates that it is probable that a liability had been incurred at the date of the financial statements and (b) the amount of loss can reasonably be estimated. When the Company accrues for loss contingencies and the reasonable estimate of the loss is within a range, the Company records its best estimate within the range. When no amount within the range is a better estimate than any other amount, the Company accrues the minimum amount in the range. The Company discloses an estimated possible loss or a range of loss when it is at least reasonably possible that a loss may have been incurred.


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 determined 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:

 

Year ended July 31 
(in thousands)
  2014     2013     2012  
Basic weighted-average number of shares     22,009       20,876       20,717  
Effect of dilutive securities:                        
Stock options     92       9        
Non-vested restricted Class B common stock     836       1,430       1,343  
Diluted weighted-average number of shares     22,937       22,315       22,060  

 

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:

 

Year ended July 31 
(in thousands)
  2014     2013     2012  
Shares excluded from the calculation of diluted earnings per share     70       611       619  

 

Stock-Based Compensation

The Company recognizes compensation expense for all of its grants of stock-based awards based on the estimated fair value on the grant date. Compensation cost for awards is recognized using the straight-line method over the vesting period. Stock-based compensation is included in selling, general and administrative expense.

 

Taxes Collected from Customers and Remitted to Governmental Authorities

The Company collects taxes from its customers that are remitted to governmental authorities in the normal course of its operations. These taxes, which are imposed on or are concurrent with specific revenue-producing transactions, include Universal Service Fund (“USF”) charges, sales, use, value added and certain excise taxes. The Company currently records USF charges that are billed to customers on a gross basis in its results of operations, and records other taxes on a net basis. USF charges in the amount of $0.6 million, $0.8 million and $1.1 million in fiscal 2014, fiscal 2013 and fiscal 2012, respectively, were recorded on a gross basis and included in “Revenues” and “Direct cost of revenues” in the accompanying consolidated statements of income.

 

Vulnerability Due to Certain Concentrations

Financial instruments that potentially subject the Company to concentration of credit risk consist principally of cash, cash equivalents, restricted cash and cash equivalents, marketable securities, investments in hedge funds and trade accounts receivable. The Company holds cash and cash equivalents at several major financial institutions, which often exceed FDIC insurance limits. Historically, the Company has not experienced any losses due to such concentration of credit risk. The Company’s temporary cash investments policy is to limit the dollar amount of investments with any one financial institution and monitor the credit ratings of those institutions. While the Company may be exposed to credit losses due to the nonperformance of the holders of its deposits, the Company does not expect the settlement of these transactions to have a material effect on its results of operations, cash flows or financial condition.

 

Concentration of credit risk with respect to trade accounts receivable is limited due to the large number of customers in various geographic regions and industry segments comprising the Company’s customer base. No single customer accounted for more than 10% of consolidated revenues in fiscal 2014, fiscal 2013 or fiscal 2012. However, the Company’s five largest customers collectively accounted for 12.0%, 10.0% and 8.1% of its consolidated revenues from continuing operations in fiscal 2014, fiscal 2013 and fiscal 2012, respectively. The Company’s customers with the five largest receivables balances collectively accounted for 22.1% and 16.6% of the consolidated gross trade accounts receivable at July 31, 2014 and 2013, respectively. This concentration of customers increases the Company’s risk associated with nonpayment by those customers. In an effort to reduce such risk, the Company performs ongoing credit evaluations of its significant retail, wholesale and cable telephony customers. In addition, the Company attempts to mitigate the credit risk related to specific wholesale termination customers by also buying services from the customer, in order to create an opportunity to offset its payables and receivables and reduce its net trade receivable exposure risk. When it is practical to do so, the Company will increase its purchases from wholesale termination customers with receivable balances that exceed the Company’s applicable payables in order to maximize the offset and reduce its credit risk.

 

Allowance for Doubtful Accounts

The allowance for doubtful accounts reflects the Company’s best estimate of probable losses inherent in the accounts receivable balance. The allowance is determined based on known troubled accounts, historical experience and other currently available evidence. Doubtful accounts are written-off upon final determination that the trade accounts will not be collected. The change in the allowance for doubtful accounts is as follows:

 

Year ended July 31 
(in thousands)
  Balance at
beginning of
year
    Additions
charged to
costs and
expenses
    Deductions(1)     Balance at
end of year
 
2014                        
Reserves deducted from accounts receivable:                        
Allowance for doubtful accounts   $ 13,079     $ 500     $ (2,072 )   $ 11,507  
2013                                
Reserves deducted from accounts receivable:                                
Allowance for doubtful accounts   $ 13,044     $ 2,743     $ (2,708 )   $ 13,079  
2012                                
Reserves deducted from accounts receivable:                                
Allowance for doubtful accounts   $ 15,364     $ 2,098     $ (4,418 )   $ 13,044  

 

(1) Primarily uncollectible accounts written off, net of recoveries.

 

Fair Value Measurements

Fair value of financial and non-financial assets and liabilities is defined as an exit price, which is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date. The three-tier hierarchy for inputs used to measure fair value, which prioritizes the inputs to valuation techniques used to measure fair value, is as follows:

 

Level 1 –  quoted prices (unadjusted) in active markets for identical assets or liabilities.
Level 2 –  quoted prices for similar assets and liabilities in active markets or inputs that are observable for the asset or liability, either directly or indirectly through market corroboration, for substantially the full term of the financial instrument.
Level 3 –  unobservable inputs based on the Company’s assumptions used to measure assets and liabilities at fair value.

 

A financial asset or liability’s classification within the hierarchy is determined based on the lowest level input that is significant to the fair value measurement. The assessment of the significance of a particular input to the fair value measurement requires judgment, and may affect the valuation of the assets and liabilities being measured and their placement within the fair value hierarchy.

 

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.

 

Recently Adopted Accounting Standard

In April 2014, an accounting standard update was issued that changed the criteria for reporting discontinued operations and enhanced 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. 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 adopted this standard update as of August 1, 2014. In accordance with this standard update, the Company does not expect the sale of Fabrix in October 2014 to qualify as a discontinued operation. The Company is unable to determine at this time whether the adoption of this standard update will have further effect on its financial position, results of operations or cash flows in the future for other disposals.

XML 46 R62.htm IDEA: XBRL DOCUMENT v2.4.0.8
Goodwill and Other Intangibles - Schedule of Change in Carrying Amount of Goodwill by Operating Segment (Detail) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Indefinite-lived Intangible Assets [Line Items]    
Beginning balance $ 14,807 $ 14,614
Foreign currency translation adjustments 23 193
Ending balance 14,830 14,807
Telecom Platform Services [Member]
   
Indefinite-lived Intangible Assets [Line Items]    
Beginning balance 11,600 11,407
Foreign currency translation adjustments 23 193
Ending balance 11,623 11,600
Zedge [Member]
   
Indefinite-lived Intangible Assets [Line Items]    
Beginning balance 3,207 3,207
Foreign currency translation adjustments      
Ending balance $ 3,207 $ 3,207
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Stock-Based Compensation (Tables)
12 Months Ended
Jul. 31, 2014
Stock-Based Compensation [Abstract]  
Schedule of Risk Free Rate Based on U.S. Treasury Yield Curve Effect at Time of Grant
Year ended July 31 2012 
ASSUMPTIONS   
Average risk-free interest rate  1.46%
Expected dividend yield  4.6%
Expected volatility  66.8%
Expected term  6.6 years 
Summary of Stock Option Activity
  Number of
Options
(in thousands)
  Weighted-
Average
Exercise
Price
  Weighted-
Average
Remaining
Contractual
Term
(in years)
  Aggregate
Intrinsic Value
(in thousands)
 
Outstanding at July 31, 2013  642  $14.22         
Granted              
Exercised  (29)  13.45         
Cancelled / Forfeited  (2)  21.38         
OUTSTANDING AT JULY 31, 2014  611  $14.24   6.6  $1,285 
EXERCISABLE AT JULY 31, 2014  438  $15.63   5.2  $444 
Summary of Grants of Restricted Shares of Class B Common Stock
(in thousands) Number of
Non-vested
Shares
  Weighted-
Average Grant-
Date Fair
Value
 
Non-vested shares at July 31, 2013  2,013  $6.11 
Granted  183   19.71 
Vested  (1,649)  5.29 
Forfeited  (7)  10.17 
NON-VESTED SHARES AT JULY 31, 2014  540  $13.00 

XML 49 R29.htm IDEA: XBRL DOCUMENT v2.4.0.8
Selected Quarterly Financial Data
12 Months Ended
Jul. 31, 2014
Selected Quarterly Financial Data [Abstract]  
Selected Quarterly Financial Data

Note 21—Selected Quarterly Financial Data (Unaudited)

 

The table below presents selected quarterly financial data of the Company for its fiscal quarters in fiscal 2013 and fiscal 2012:

  

Quarter Ended         Income
(loss)
  Net income
(loss)
  Income (loss) per share
—basic
  Income (loss) per share
—diluted
 
(in thousands, except per share data) Revenues  Direct cost
of revenues
  Income
from
operations
  from
continuing
operations
  attributable
to IDT
Corporation
  From
continuing
operations
  Net
income
(loss)
  From
continuing
operations
  Net
income
(loss)
 
2014:                           
October 31 $420,670  $350,319  $7,283  $4,050  $3,523  $0.17  $0.17  $0.15  $0.15 
January 31  406,423   335,258   7,574   2,973   2,535   0.12   0.12   0.11   0.11 
April 30  403,761   332,376   9,170   5,599   5,017   0.22   0.22   0.22   0.22 
July 31  420,687   349,313   5,813   8,388   7,709   0.34   0.34   0.33   0.33 
TOTAL $1,651,541  $1,367,266  $29,840  $21,010  $18,784  $0.85  $0.85  $0.82  $0.82 
2013:                                    
October 31 $400,117  $335,251  $6,684  $5,620  $3,614  $0.24  $0.17  $0.23  $0.16 
January 31  411,456   344,486   5,655   3,908   2,953   0.16   0.14   0.15   0.13 
April 30(a)  396,935   331,163   15,687   10,082   8,691   0.46   0.42   0.43   0.39 
July 31(b)  412,109   344,673   1,365   (1,532)  (3,651)  (0.09)  (0.17)  (0.09)  (0.17)
TOTAL $1,620,617  $1,355,573  $29,391  $18,078  $11,607  $0.77  $0.56  $0.72  $0.52 

 

(a)Included in income from operations was other operating gains of $9.6 million related to legal matters.
  
(b)Included in income from operations was a charge for impairment of building and improvements of $4.4 million.
XML 50 R28.htm IDEA: XBRL DOCUMENT v2.4.0.8
Business Segment Information
12 Months Ended
Jul. 31, 2014
Business Segment Information [Abstract]  
Business Segment Information

Note 20—Business Segment Information

 

The Company has three reportable business segments, Telecom Platform Services, Consumer Phone Services and Zedge. Telecom Platform Services and Consumer Phone Services comprise the IDT Telecom division. Operating segments 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 retail telecommunications and payment offerings as well as wholesale international long distance traffic termination. The Consumer Phone Services segment provides consumer local and long distance services in certain U.S. states. Zedge owns and operates an online platform for mobile phone consumers interested in obtaining free, high-quality games, apps, and mobile phone customization including ringtones, wallpapers, and notification sounds. All Other includes Fabrix, a software development company offering a cloud-based scale-out storage and computing platform optimized for big data, virtualization and media storage, processing and delivery. The Company sold Fabrix in October 2014 (see Note 22). All Other also includes 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 
Year ended July 31, 2014                  
Revenues $1,615,570  $11,023  $6,535  $18,413  $  $1,651,541 
Income (loss) from operations  45,062   1,797   314   (2,049)  (15,284)  29,840 
Depreciation and amortization  13,776      967   1,545   30   16,318 
Year ended July 31, 2013                        
Revenues $1,588,071  $14,514  $5,811  $12,221  $  $1,620,617 
Income (loss) from operations  48,661   1,824   340   (7,433)  (14,001)  29,391 
Depreciation and amortization  12,342   1   798   1,673   96   14,910 
Impairment of building and improvements           4,359      4,359 
Year ended July 31, 2012                        
Revenues $1,477,762  $19,307  $3,793  $5,421  $  $1,506,283 
Income (loss) from operations  5,910   4,062   (248)  (3,668)  (13,152)  (7,096)
Depreciation and amortization  14,215   9   652   1,512   260   16,648 

 

 

Telecom Platform Services’ income from operations in fiscal 2013 included net gains of $9.3 million related to legal matters.

 

Telecom Platform Services’ income from operations in fiscal 2012 included other operating losses, net of $15.9 million comprised of $6.5 million for estimated losses from pending litigation, a loss of $11.0 million from the settlement of litigation with T-Mobile (see Note 7) and a $0.2 million loss on the settlement of an unrelated claim, net of a gain of $1.8 million for cash received from Broadstripe, LLC in settlement of the Company’s claim stemming from Broadstripe, LLC’s rejection of its telephony services agreements with the Company (see Note 7).

 

Total assets for the reportable segments are not provided because a significant portion of the Company’s assets are servicing multiple segments and the Company does not track such assets separately by segment.

 

Geographic Information

Revenue from customers located outside of the United States as a percentage of total revenues from continuing operations and revenue from customers located in the United Kingdom as a percentage of total revenues from continuing operations were as follows. Revenues by country are determined based on selling location.

 

Year ended July 31 2014  2013  2012 
Revenue from customers located outside of the United States  30%  23%  29%
Revenue from customers located in the United Kingdom  19%  13%  14%

 

Net long-lived assets and total assets held outside of the United States, which are located primarily in Western Europe, were as follows:

 

(in thousands) United
States
  Foreign
Countries
  Total 
July 31, 2014         
Long-lived assets, net $79,281  $2,479  $81,760 
Total assets  284,249   196,682   480,931 
July 31, 2013            
Long-lived assets, net $77,580  $3,162  $80,742 
Total assets  294,337   141,070   435,407 
July 31, 2012            
Long-lived assets, net $81,668  $3,899  $85,567 
Total assets  310,209   140,905   451,114 
XML 51 R100.htm IDEA: XBRL DOCUMENT v2.4.0.8
Subsequent Event (Details) (Fabrix Subsidiary [Member], Subsequent Event [Member], USD $)
In Millions, unless otherwise specified
0 Months Ended
Oct. 08, 2014
Fabrix Subsidiary [Member] | Subsequent Event [Member]
 
Subsequent Event [Line Items]  
Common stock sold to Ericsson $ 95
Sale of stock to Ericsson in percentage 100.00%
Company owns in Fabrix in percentage 78.00%
Proceeds from divestiture of interest in consolidated subsidiaries 73
Escrow deposit $ 13
Unclaimed escrow balance 18 months
XML 52 R56.htm IDEA: XBRL DOCUMENT v2.4.0.8
Marketable Securities - Summary of Available-for-Sale Securities (Detail) (USD $)
In Thousands, unless otherwise specified
Jul. 31, 2014
Marketable Securities [Abstract]  
Within one year $ 12,851
After one year through five years   
After five years through ten years   
After ten years   
TOTAL $ 12,851
XML 53 R44.htm IDEA: XBRL DOCUMENT v2.4.0.8
Accumulated Other Comprehensive Income (Tables)
12 Months Ended
Jul. 31, 2014
Accumulated Other Comprehensive Income Loss [Abstract]  
Schedule of Accumulated Balances for Each Classification of Other Comprehensive Income (Loss)
in thousands) Unrealized
gain (loss) on
available-for-
sale securities
  Foreign
currency
translation
  Accumulated
other
comprehensive
income (loss)
 
Balance at July 31, 2011 $(4) $3,031  $3,027 
Genie Spin-Off     (438)  (438)
Other comprehensive loss attributable to IDT Corporation  4   (2,391)  (2,387)
Balance at July 31, 2012     202   202 
Other comprehensive income attributable to IDT Corporation     2,139   2,139 
Balance at July 31, 2013     2,341   2,341 
Other comprehensive income attributable to IDT Corporation  (8)  1,335   1,327 
BALANCE AT JULY 31, 2014 $(8) $3,676  $3,668
XML 54 R30.htm IDEA: XBRL DOCUMENT v2.4.0.8
Subsequent Event
12 Months Ended
Jul. 31, 2014
Subsequent Event [Abstract]  
Subsequent Event

Note 22—Subsequent Event

 

On October 8, 2014, the Company completed the sale of its interests in Fabrix to Telefonaktiebolget LM Ericsson (publ) (“Ericsson”). The final sale price for 100% of the shares in Fabrix was $95 million in cash, excluding transaction costs and working capital and other adjustments. The Company owned approximately 78% of Fabrix on a fully diluted basis. The Company’s share of the sale price, net of transaction costs, is expected to be approximately $73 million in cash. The Company and the other shareholders have placed $13 million of their proceeds in escrow for the resolution of post-closing claims that may arise. Any unclaimed escrow balance will be released in two tranches over a period of 18 months.

XML 55 R31.htm IDEA: XBRL DOCUMENT v2.4.0.8
Description of Business and Summary of Significant Accounting Policies (Policies)
12 Months Ended
Jul. 31, 2014
Description of Business and Summary of Significant Accounting Policies [Abstract]  
Description of Business

Description of Business 

IDT Corporation (“IDT” or the “Company”) is a multinational holding company with operations primarily in the telecommunications and payment industries. The Company has three reportable business segments, Telecom Platform Services, Consumer Phone Services and Zedge Holdings, Inc. (“Zedge”). Telecom Platform Services provides retail telecommunications and payment offerings as well as wholesale international long distance traffic termination. Consumer Phone Services provides consumer local and long distance services in certain U.S. states. Telecom Platform Services and Consumer Phone Services comprise the IDT Telecom division. Zedge owns and operates an online platform for mobile phone consumers interested in obtaining free, high-quality games, apps, and mobile phone customization including ringtones, wallpapers, and notification sounds. Operating segments not reportable individually are included in All Other. All Other includes Fabrix Systems Ltd. (“Fabrix”), a software development company offering a cloud-based scale-out storage and computing platform optimized for big data, virtualization and media storage, processing and delivery. The Company sold Fabrix in October 2014 (see Note 22). All Other also includes the Company’s real estate holdings and other, smaller, businesses.

 

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”) (see Note 2). On October 28, 2011, the Company completed a pro rata distribution of the common stock of the Company’s subsidiary, Genie Energy Ltd. (“Genie”), to the Company’s stockholders of record as of the close of business on October 21, 2011 (the “Genie Spin-Off”) (see Note 2). Straight Path and Genie 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.

Basis of Consolidation and Accounting for Investments

Basis of Consolidation and Accounting for Investments

The method of accounting applied to long-term investments, whether consolidated, equity or cost, involves an evaluation of the significant terms of each investment that explicitly grant or suggest evidence of control or influence over the operations of the investee and also includes the identification of any variable interests in which the Company is the primary beneficiary. The consolidated financial statements include the Company’s controlled subsidiaries. In addition, the Company has not identified any variable interests in which the Company is the primary beneficiary. All significant intercompany accounts and transactions between the consolidated subsidiaries are eliminated.

 

Investments in businesses that the Company does not control, but in which the Company has the ability to exercise significant influence over operating and financial matters, are accounted for using the equity method. Investments in which the Company does not have the ability to exercise significant influence over operating and financial matters are accounted for using the cost method. Investments in hedge funds are accounted for using the equity method unless the Company’s interest is so minor that it has virtually no influence over operating and financial policies, in which case these investments are accounted for using the cost method. At July 31, 2014 and 2013, the Company had $9.4 million and $8.1 million, respectively, in investments accounted for using the equity method, and $1.8 million and $1.5 million, respectively, in investments accounted for using the cost method. Equity and cost method investments are included in “Other current assets” or “Investments” in the accompanying consolidated balance sheets. The Company periodically evaluates its equity and cost method investments for impairment due to declines considered to be other than temporary. If the Company determines that a decline in fair value is other than temporary, then a charge to earnings is recorded in “Other (expense) income, net” in the accompanying consolidated statements of income, and a new basis in the investment is established.

Reclassifications

Reclassifications

Certain prior year amounts were reclassified to conform to the current year’s presentation:

 

 In the consolidated balance sheet, $4.6 million previously included in “Restricted cash and cash equivalents—long-term” at July 31, 2013 was reclassified to “Cash and cash equivalents”;
   
 In the consolidated statements of cash flows, cash used for “Restricted cash and cash equivalents” in the years ended July 31, 2013 and 2012 of $2.1 million and $2.0 million, respectively, was reclassified to “Cash and cash equivalents”; and
   
 In the consolidated statement of cash flows, $8.7 million previously included in “Restricted cash and cash equivalents” at July 31, 2011 was reclassified to “Cash and cash equivalents”.
Use of Estimates

Use of Estimates

The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America (“U.S. GAAP”) requires management to make estimates and assumptions that affect the amounts reported in the financial statements and accompanying notes. Actual results may differ from those estimates.

Revenue Recognition

Revenue Recognition

Telephone service, which includes domestic and international long distance, local service, and wholesale carrier telephony services is recognized as revenue when services are provided, primarily based on usage and/or the assessment of fees. Revenue from Boss Revolution PIN-less international calling service and from sales of calling cards, net of customer discounts, is deferred until the service or the cards are used or, calling card administrative fees are imposed, thereby reducing the Company’s outstanding obligation to the customer, at which time revenue is recognized. Domestic and international airtime top-up revenue is recognized upon redemption. International airtime top-up enables customers to purchase airtime for a prepaid mobile telephone in another country.

 

IDT Telecom enters into reciprocal transactions pursuant to which IDT Telecom is committed to purchase a specific number of minutes to specific destinations at specified rates, and the counterparty is committed to purchase from IDT Telecom a specific number of minutes to specific destinations at specified rates. The number of minutes purchased and sold in a reciprocal transaction is not necessarily equal. The rates in these reciprocal transactions are generally greater than prevailing market rates. In addition, IDT Telecom enters into transactions in which it swaps minutes with another carrier. The Company recognizes revenue and the related direct cost of revenue for these reciprocal and swap transactions based on the fair value of the minutes.

 

Zedge revenues from traditional web/mobile web and Android/iOS applications are recognized based on blocks of impressions or ad views. Revenues from mobile games are recognized upon download by the end user.

 

Revenue from Fabrix for software licenses and maintenance support was deferred and recognized on a straight-line basis from the date on which delivered orders were accepted by the customer over the period that the support was expected to be provided since sufficient vendor-specific objective evidence of fair value to allocate revenues to the various deliverables did not exist in fiscal 2014, fiscal 2013 or fiscal 2012.

Direct Cost of Revenues

Direct Cost of Revenues

Direct cost of revenues for IDT Telecom consists primarily of termination and origination costs, toll-free costs, and network costs—including customer/carrier interconnect charges and leased fiber circuit charges. These costs include an estimate of charges for which invoices have not yet been received, and estimated amounts for pending disputes with other carriers. Subsequent adjustments to these estimates may occur after the invoices are received for the actual costs incurred, but these adjustments generally are not material to the Company’s results of operations. Direct cost of revenues for IDT Telecom also includes the cost of airtime top-up minutes.

 

Direct cost of revenues for Zedge consists of ad server costs, web hosting charges, and copyright/infringement prevention costs.

 

Direct cost of revenues for Fabrix consisted primarily of customer support expenses.

 

Direct cost of revenues excludes depreciation and amortization expense.

Cash and Cash Equivalents

Cash and Cash Equivalents

The Company considers all highly liquid investments with an original maturity of three months or less when purchased to be cash equivalents.

Restricted Cash and Cash Equivalents

Restricted Cash and Cash Equivalents

The Company classifies the change in its restricted cash and cash equivalents as an operating activity in the accompanying consolidated statements of cash flows because the restrictions are directly related to the operations of IDT Financial Services, the Company’s Gibraltar-based bank, and IDT Telecom.

Substantially Restricted Cash and Cash Equivalents

Substantially Restricted Cash and Cash Equivalents

IDT Payment Services, which provides the Company’s international money transfer services in the United States, and IDT Financial Services set aside certain cash balances in accordance with banking regulations, credit card issuer requirements or license compliance. These balances are included in “Cash and cash equivalents” in the Company’s consolidated balance sheet. The balances are not legally restricted, however the Company treats these balances as substantially restricted and unavailable for other purposes.

Marketable Securities

Marketable Securities

The Company’s investments in marketable securities are classified as “available-for-sale.” Available-for-sale securities are required to be carried at their fair value, with unrealized gains and losses (net of income taxes) that are considered temporary in nature recorded in “Accumulated other comprehensive income” in the accompanying consolidated balance sheets. The Company uses the specific identification method in computing the gross realized gains and gross realized losses on the sales of marketable securities. The Company periodically evaluates its investments in marketable securities for impairment due to declines in market value considered to be other than temporary. Such impairment evaluations include, in addition to persistent, declining market prices, general economic and Company-specific evaluations. If the Company determines that a decline in market value is other than temporary, then a charge to operations is recorded in “Other (expense) income, net” in the accompanying consolidated statements of income and a new cost basis in the investment is established.

Long-Lived Assets

Long-Lived Assets

Equipment, buildings, computer software and furniture and fixtures are recorded at cost and are depreciated on a straight-line basis over their estimated useful lives, which range as follows: equipment—5, 7 or 20 years; buildings—40 years; computer software—2, 3 or 5 years and furniture and fixtures—5, 7 or 10 years. Leasehold improvements are recorded at cost and are depreciated on a straight-line basis over the term of their lease or their estimated useful lives, whichever is shorter.

 

Costs associated with obtaining the right to use trademark and patents owned by third parties are capitalized and amortized on a straight-line basis over the term of the relevant trademark and patent licenses. The fair value of technology and domain names, customer lists, and trademark acquired in a business combination accounted for under the purchase method are amortized over their estimated useful lives as follows: technology and domain names are amortized on a straight-line basis over the 3 year estimated useful lives; customer lists are amortized ratably over the approximately 15 year period of expected cash flows; and trademark is amortized on a straight-line basis over the 5 year period of expected cash flows.

 

The Company tests the recoverability of its long-lived assets with finite useful lives whenever events or changes in circumstances indicate that the carrying value of the asset may not be recoverable. The Company tests for recoverability based on the projected undiscounted cash flows to be derived from such asset. If the projected undiscounted future cash flows are less than the carrying value of the asset, the Company will record an impairment loss, if any, based on the difference between the estimated fair value and the carrying value of the asset. The Company generally measures fair value by considering sale prices for similar assets or by discounting estimated future cash flows from such asset using an appropriate discount rate. Cash flow projections and fair value estimates require significant estimates and assumptions by management. Should the estimates and assumptions prove to be incorrect, the Company may be required to record impairments in future periods and such impairments could be material.

Goodwill

Goodwill

Goodwill is the excess of the acquisition cost of businesses over the fair value of the identifiable net assets acquired. Goodwill and other indefinite lived intangible assets are not amortized. These assets are reviewed annually (or more frequently under various conditions) for impairment using a fair value approach. The goodwill impairment assessment involves estimating the fair value of the reporting unit and comparing it to its carrying amount, which is known as Step 1. If the carrying value of the reporting unit exceeds its estimated fair value, Step 2 is performed to determine if an impairment of goodwill is required. The fair value of the reporting units is estimated using discounted cash flow methodologies, as well as considering third party market value indicators. Goodwill impairment is measured by the excess of the carrying amount of the reporting unit’s goodwill over its implied fair value. Calculating the fair value of the reporting units, and allocating the estimated fair value to all of the tangible assets, intangible assets and liabilities, requires significant estimates and assumptions by management. Should the estimates and assumptions regarding the fair value of the reporting units prove to be incorrect, the Company may be required to record impairments to its goodwill in future periods and such impairments could be material.

 

The Company has the option to perform a qualitative assessment to determine whether it is necessary to perform the two-step quantitative goodwill impairment test. However, the Company may elect to perform the two-step quantitative goodwill impairment test even if no indications of a potential impairment exist.

 

For its reporting unit with zero or negative carrying amount, the Company performs Step 2 of the goodwill impairment test if it is more likely than not that a goodwill impairment exists. In determining whether it is more likely than not that goodwill impairment exists, the Company considers whether there are any adverse qualitative factors indicating that impairment may exist.

Advertising Expense

Advertising Expense

Cost of advertising is charged to selling, general and administrative expenses in the period in which it is incurred. In fiscal 2014, fiscal 2013 and fiscal 2012, advertising expense was $17.2 million, $13.1 million and $17.0 million, respectively.

Research and Development Costs

Research and Development Costs

Costs for research and development are charged to expense as incurred. Research and development costs were primarily incurred by Fabrix.

Capitalized Internal Use Software Costs

Capitalized Internal Use Software Costs

The Company capitalizes the cost of internal-use software that has a useful life in excess of one year. These costs consist of payments made to third parties and the salaries of employees working on such software development. Subsequent additions, modifications or upgrades to internal-use software are capitalized only to the extent that they allow the software to perform a task it previously did not perform. Software maintenance and training costs are expensed in the period in which they are incurred. Capitalized internal use software costs are amortized on a straight-line basis over their estimated useful lives. Amortization expense related to such capitalized software in fiscal 2014, fiscal 2013 and fiscal 2012 was $7.6 million, $6.3 million and $5.8 million, respectively. Unamortized capitalized internal use software costs at July 31, 2014 and 2013 were $13.2 million and $10.2 million, respectively.

Repairs and Maintenance

Repairs and Maintenance

The Company charges the cost of repairs and maintenance, including the cost of replacing minor items not constituting substantial betterment, to selling, general and administrative expenses as these costs are incurred.

Foreign Currency Translation

Foreign Currency Translation

Assets and liabilities of foreign subsidiaries denominated in foreign currencies are translated to U.S. Dollars at end-of-period rates of exchange, and their monthly results of operations are translated to U.S. Dollars at the average rates of exchange for that month. Gains or losses resulting from such foreign currency translations are recorded in “Accumulated other comprehensive income” in the accompanying consolidated balance sheets. Foreign currency transaction gains and losses are reported in “Other (expense) income, net” in the accompanying consolidated statements of income.

Income Taxes

Income Taxes

The Company recognizes deferred tax assets and liabilities for the future tax consequences attributable to temporary differences between the financial statements carrying amounts of existing assets and liabilities and their respective tax bases. A valuation allowance is provided when it is more likely than not that some portion or all of a deferred tax asset will not be realized. The ultimate realization of deferred tax assets depends on the generation of future taxable income during the period in which related temporary differences become deductible. The Company considers the scheduled reversal of deferred tax liabilities, projected future taxable income and tax planning strategies in its assessment of a valuation allowance. Deferred tax assets and liabilities are measured using the enacted tax rates expected to apply to taxable income in the years in which those temporary differences are expected to be recovered or settled. The effect on deferred tax assets and liabilities of a change in tax rates is recognized in income in the period that includes the enactment date of such change.

 

The Company uses a two-step approach for recognizing and measuring tax benefits taken or expected to be taken in a tax return. The Company determines whether it is more-likely-than-not that a tax position will be sustained upon examination, including resolution of any related appeals or litigation processes, based on the technical merits of the position. In evaluating whether a tax position has met the more-likely-than-not recognition threshold, the Company presumes that the position will be examined by the appropriate taxing authority that has full knowledge of all relevant information. Tax positions that meet the more-likely-than-not recognition threshold are measured to determine the amount of tax benefit to recognize in the financial statements. The tax position is measured at the largest amount of benefit that is greater than 50 percent likely of being realized upon ultimate settlement. Differences between tax positions taken in a tax return and amounts recognized in the financial statements will generally result in one or more of the following: an increase in a liability for income taxes payable, a reduction of an income tax refund receivable, a reduction in a deferred tax asset, or an increase in a deferred tax liability.

 

The Company classifies interest and penalties on income taxes as a component of income tax expense.

Contingencies

Contingencies

The Company accrues for loss contingencies when both (a) information available prior to issuance of the financial statements indicates that it is probable that a liability had been incurred at the date of the financial statements and (b) the amount of loss can reasonably be estimated. When the Company accrues for loss contingencies and the reasonable estimate of the loss is within a range, the Company records its best estimate within the range. When no amount within the range is a better estimate than any other amount, the Company accrues the minimum amount in the range. The Company discloses an estimated possible loss or a range of loss when it is at least reasonably possible that a loss may have been incurred.

Earnings Per Share

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 determined 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:

 

Year ended July 31 
(in thousands)
 2014  2013  2012 
Basic weighted-average number of shares  22,009   20,876   20,717 
Effect of dilutive securities:            
Stock options  92   9    
Non-vested restricted Class B common stock  836   1,430   1,343 
Diluted weighted-average number of shares  22,937   22,315   22,060 

 

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:

 

Year ended July 31 
(in thousands)
 2014  2013  2012 
Shares excluded from the calculation of diluted earnings per share  70   611   619 

 

Stock-Based Compensation

Stock-Based Compensation

The Company recognizes compensation expense for all of its grants of stock-based awards based on the estimated fair value on the grant date. Compensation cost for awards is recognized using the straight-line method over the vesting period. Stock-based compensation is included in selling, general and administrative expense.

Taxes Collected from Customers and Remitted to Governmental Authorities

Taxes Collected from Customers and Remitted to Governmental Authorities

The Company collects taxes from its customers that are remitted to governmental authorities in the normal course of its operations. These taxes, which are imposed on or are concurrent with specific revenue-producing transactions, include Universal Service Fund (“USF”) charges, sales, use, value added and certain excise taxes. The Company currently records USF charges that are billed to customers on a gross basis in its results of operations, and records other taxes on a net basis. USF charges in the amount of $0.6 million, $0.8 million and $1.1 million in fiscal 2014, fiscal 2013 and fiscal 2012, respectively, were recorded on a gross basis and included in “Revenues” and “Direct cost of revenues” in the accompanying consolidated statements of income.

Vulnerability Due to Certain Concentrations

Vulnerability Due to Certain Concentrations

Financial instruments that potentially subject the Company to concentration of credit risk consist principally of cash, cash equivalents, restricted cash and cash equivalents, marketable securities, investments in hedge funds and trade accounts receivable. The Company holds cash and cash equivalents at several major financial institutions, which often exceed FDIC insurance limits. Historically, the Company has not experienced any losses due to such concentration of credit risk. The Company’s temporary cash investments policy is to limit the dollar amount of investments with any one financial institution and monitor the credit ratings of those institutions. While the Company may be exposed to credit losses due to the nonperformance of the holders of its deposits, the Company does not expect the settlement of these transactions to have a material effect on its results of operations, cash flows or financial condition.

 

Concentration of credit risk with respect to trade accounts receivable is limited due to the large number of customers in various geographic regions and industry segments comprising the Company’s customer base. No single customer accounted for more than 10% of consolidated revenues in fiscal 2014, fiscal 2013 or fiscal 2012. However, the Company’s five largest customers collectively accounted for 12.0%, 10.0% and 8.1% of its consolidated revenues from continuing operations in fiscal 2014, fiscal 2013 and fiscal 2012, respectively. The Company’s customers with the five largest receivables balances collectively accounted for 22.1% and 16.6% of the consolidated gross trade accounts receivable at July 31, 2014 and 2013, respectively. This concentration of customers increases the Company’s risk associated with nonpayment by those customers. In an effort to reduce such risk, the Company performs ongoing credit evaluations of its significant retail telecom, wholesale termination and cable telephony customers. In addition, the Company attempts to mitigate the credit risk related to specific wholesale termination customers by also buying services from the customer, in order to create an opportunity to offset its payables and receivables and reduce its net trade receivable exposure risk. When it is practical to do so, the Company will increase its purchases from wholesale termination customers with receivable balances that exceed the Company’s applicable payables in order to maximize the offset and reduce its credit risk.

Allowance for Doubtful Accounts

 

Allowance for Doubtful Accounts

The allowance for doubtful accounts reflects the Company’s best estimate of probable losses inherent in the accounts receivable balance. The allowance is determined based on known troubled accounts, historical experience and other currently available evidence. Doubtful accounts are written-off upon final determination that the trade accounts will not be collected. The change in the allowance for doubtful accounts is as follows:

 

Year ended July 31 
(in thousands)
 Balance at
beginning of
year
  Additions
charged to
costs and
expenses
  Deductions(1)  Balance at
end of year
 
2014            
Reserves deducted from accounts receivable:            
Allowance for doubtful accounts $13,079  $500  $(2,072) $11,507 
2013                
Reserves deducted from accounts receivable:                
Allowance for doubtful accounts $13,044  $2,743  $(2,708) $13,079 
2012                
Reserves deducted from accounts receivable:                
Allowance for doubtful accounts $15,364  $2,098  $(4,418) $13,044 

 

(1)Primarily uncollectible accounts written off, net of recoveries.
Fair Value Measurements

Fair Value Measurements

Fair value of financial and non-financial assets and liabilities is defined as an exit price, which is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date. The three-tier hierarchy for inputs used to measure fair value, which prioritizes the inputs to valuation techniques used to measure fair value, is as follows:

 

Level 1 – quoted prices (unadjusted) in active markets for identical assets or liabilities.
Level 2 – quoted prices for similar assets and liabilities in active markets or inputs that are observable for the asset or liability, either directly or indirectly through market corroboration, for substantially the full term of the financial instrument.
Level 3 – unobservable inputs based on the Company’s assumptions used to measure assets and liabilities at fair value.

 

A financial asset or liability’s classification within the hierarchy is determined based on the lowest level input that is significant to the fair value measurement. The assessment of the significance of a particular input to the fair value measurement requires judgment, and may affect the valuation of the assets and liabilities being measured and their placement within the fair value hierarchy.

Recently Issued Accounting Standard Not Yet Adopted

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.

Recently Adopted Accounting Standard

Recently Adopted Accounting Standard

In April 2014, an accounting standard update was issued that changed the criteria for reporting discontinued operations and enhanced 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. 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 adopted this standard update as of August 1, 2014. In accordance with this standard update, the Company does not expect the sale of Fabrix in October 2014 to qualify as a discontinued operation. The Company is unable to determine at this time whether the adoption of this standard update will have further effect on its financial position, results of operations or cash flows in the future for other disposals.

XML 56 R8.htm IDEA: XBRL DOCUMENT v2.4.0.8
Consolidated Statements of Cash Flows (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
OPERATING ACTIVITIES      
Net income $ 21,010 $ 13,444 $ 38,785
Adjustments to reconcile net income to net cash provided by operating activities:      
Net loss (income) from discontinued operations    4,634 (7,851)
Depreciation and amortization 16,318 14,910 16,648
Impairment of building and improvements    4,359   
Deferred income taxes 2,487 15,198 (37,925)
Provision for doubtful accounts receivable 500 2,743 2,098
Net realized gains from investments    (586)   
Gain on proceeds from insurance (571)      
Interest in the equity of investments (1,282) (1,968) (1,157)
Stock-based compensation 5,382 5,875 3,325
Change in assets and liabilities:      
Restricted cash and cash equivalents (25,292) (23,006) (7,733)
Trade accounts receivable (1,363) 17,606 8,728
Prepaid expenses, other current assets and other assets (4,628) 2,890 (2,100)
Trade accounts payable, accrued expenses, other current liabilities and other liabilities (5,914) (22,578) 10,703
Customer deposits 30,186 17,998 9,057
Income taxes payable (29) (576) (4,721)
Deferred revenue 8,917 6,253 6,666
Net cash provided by operating activities 45,721 57,196 34,523
INVESTING ACTIVITIES      
Capital expenditures (17,021) (14,537) (10,830)
Deposit on purchase of leasehold interest in building    (950)   
Collection of notes receivable, net    750   
Cash used for acquisition and purchase of investments (175) (1,219)   
Proceeds from sales and redemptions of investments 1,038 114 3,169
Purchases of other intangibles (250) (93)   
Proceeds from sale of building 250      
Proceeds from insurance 571      
Purchases of marketable securities (20,658) (11,414)   
Proceeds from maturities and sales of marketable securities 17,323 1,712   
Proceeds from maturities of certificates of deposit       3,300
Net cash used in investing activities (18,922) (25,637) (4,361)
FINANCING ACTIVITIES      
Cash of subsidiaries deconsolidated as a result of spin-offs   (15,000) (104,243)
Dividends paid (13,635) (17,123) (15,014)
Distributions to noncontrolling interests (1,888) (2,245) (1,580)
Purchases of stock of subsidiary (1,133) (1,804)  
Proceeds from sales of stock and exercise of stock options of subsidiary    154 133
Proceeds from exercise of stock options 609 921   
Repayments of capital lease obligations       (1,781)
Proceeds from revolving credit loan payable 56,000 21,062   
Repayments of revolving credit loan payable and other borrowings (64,318) (21,304) (332)
Repurchases of Class B common stock (1,005) (1,079) (2,816)
Net cash used in financing activities (25,370) (36,418) (125,633)
DISCONTINUED OPERATIONS      
Net cash used in operating activities    (2,638) (1,984)
Net cash (used in) provided by investing activities    (350) 4,992
Net cash (used in) provided by discontinued operations    (2,988) 3,008
Effect of exchange rate changes on cash and cash equivalents 794 1,241 (2,335)
Net increase (decrease) in cash and cash equivalents 2,223 (6,606) (94,798)
Cash and cash equivalents (including discontinued operations) at beginning of year 151,600 158,206 253,004
Cash and cash equivalents (including discontinued operations) at end of year 153,823 151,600 158,206
Less cash and cash equivalents of discontinued operations at end of year       2,598
Cash and cash equivalents (excluding discontinued operations) at end of year 153,823 151,600 155,608
SUPPLEMENTAL DISCLOSURE OF CASH FLOW INFORMATION      
Cash payments made for interest 743 1,286 3,621
Cash payments made for income taxes 1,115 483 1,049
SUPPLEMENTAL SCHEDULE OF NON-CASH FINANCING AND INVESTING ACTIVITIES      
Adjustment to liabilities in connection with the Straight Path Spin-Off 1,624    
Escrow account balances included in other current assets used to reduce notes payable    1,976   
Net liabilities (assets) excluding cash and cash equivalents of subsidiaries deconsolidated as a result of spin-offs    $ 1,341 $ (18,803)
XML 57 R32.htm IDEA: XBRL DOCUMENT v2.4.0.8
Description of Business and Summary of Significant Accounting Policies (Tables)
12 Months Ended
Jul. 31, 2014
Description of Business and Summary of Significant Accounting Policies [Abstract]  
Summary of Weighted-Average Number of Shares used in Calculation of Basic and Diluted Earnings Per Share

Year ended July 31 
(in thousands)
 2014  2013  2012 
Basic weighted-average number of shares  22,009   20,876   20,717 
Effect of dilutive securities:            
Stock options  92   9    
Non-vested restricted Class B common stock  836   1,430   1,343 
Diluted weighted-average number of shares  22,937   22,315   22,060 

 

Summary of Outstanding Stock Options Excluded from Calculation of Diluted Earnings Per Share

Year ended July 31 
(in thousands)
 2014  2013  2012 
Shares excluded from the calculation of diluted earnings per share  70   611   619 

 

Summary of Change in Allowance for Doubtful Accounts

Year ended July 31 
(in thousands)
 Balance at
beginning of
year
  Additions
charged to
costs and
expenses
  Deductions(1)  Balance at
end of year
 
2014            
Reserves deducted from accounts receivable:            
Allowance for doubtful accounts $13,079  $500  $(2,072) $11,507 
2013                
Reserves deducted from accounts receivable:                
Allowance for doubtful accounts $13,044  $2,743  $(2,708) $13,079 
2012                
Reserves deducted from accounts receivable:                
Allowance for doubtful accounts $15,364  $2,098  $(4,418) $13,044 

 

(1)Primarily uncollectible accounts written off, net of recoveries.

 

XML 58 R83.htm IDEA: XBRL DOCUMENT v2.4.0.8
Stock-Based Compensation - Summary of Stock Option Activity (Detail) (USD $)
In Thousands, except Per Share data, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Stock-Based Compensation [Abstract]  
Beginning balance, Outstanding 642
Granted   
Exercised (29)
Cancelled / Forfeited (2)
Ending balance, OUTSTANDING 611
Ending balance, EXERCISABLE 438
Beginning balance, Outstanding, Weighted-Average Exercise Price $ 14.22
Granted, Weighted-Average Exercise Price   
Exercised, Weighted-Average Exercise Price $ 13.45
Cancelled / Forfeited, Weighted-Average Exercise Price $ 21.38
Ending balance, OUTSTANDING, Weighted-Average Exercise Price $ 14.24
Ending balance, EXERCISABLE, Weighted-Average Exercise Price $ 15.63
Weighted- Average Remaining Contractual Term, OUTSTANDING 6 years 7 months 6 days
Weighted- Average Remaining Contractual Term, EXERCISABLE 5 years 2 months 12 days
Aggregate Intrinsic Value, OUTSTANDING $ 1,285
Aggregate Intrinsic Value, EXERCISABLE $ 444
XML 59 R40.htm IDEA: XBRL DOCUMENT v2.4.0.8
Accrued Expenses (Tables)
12 Months Ended
Jul. 31, 2014
Accrued Expenses [Abstract]  
Summary of Accrued Expenses

 

July 31
(in thousands)
 2014  2013 
Carrier minutes termination $53,280  $50,687 
Carrier network connectivity, toll-free and 800 services  7,896   11,462 
Regulatory fees and taxes  43,293   38,602 
Legal settlements  1,615   11,784 
Compensation costs  15,612   12,836 
Legal and professional fees  4,708   6,026 
Other  16,124   14,035 
TOTAL $142,528  $145,432 
XML 60 R53.htm IDEA: XBRL DOCUMENT v2.4.0.8
Discontinued Operations - Summary Financial Data of Discontinued Operations (Detail) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]      
Revenues    $ 1,130 $ 46,349
(Loss) income before income taxes    (4,621) 7,471
Net (loss) income    (4,634) 5,851
Straight Path [Member]
     
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]      
Revenues    1,130 553
(Loss) income before income taxes    (4,621) 4,862
Net (loss) income    (4,634) 4,836
Genie [Member]
     
Income Statement, Balance Sheet and Additional Disclosures by Disposal Groups, Including Discontinued Operations [Line Items]      
Revenues       45,796
(Loss) income before income taxes       2,609
Net (loss) income       $ 1,015
XML 61 R72.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
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Other (Expense) Income, Net [Abstract]      
Foreign currency transaction (losses) gains $ (5,883) $ 2,538 $ (2,859)
Gain on investments 1,218 2,664 1,172
Gain on modification and early termination of loan payable    238   
Gain on sales of buildings and other assets    11 197
Other (35) (68) (277)
TOTAL $ (4,700) $ 5,383 $ (1,767)
XML 62 R2.htm IDEA: XBRL DOCUMENT v2.4.0.8
Consolidated Balance Sheets (USD $)
In Thousands, unless otherwise specified
Jul. 31, 2014
Jul. 31, 2013
CURRENT ASSETS:    
Cash and cash equivalents $ 153,823 $ 151,600
Restricted cash and cash equivalents-short-term 65,706 34,988
Marketable securities 12,873 9,684
Trade accounts receivable, net of allowance for doubtful accounts of $11,507 and $13,079 at July 31, 2014 and 2013, respectively 69,330 65,078
Prepaid expenses 21,799 19,175
Deferred income tax assets, net-current portion 2,953 1,689
Other current assets 12,381 12,730
TOTAL CURRENT ASSETS 338,865 294,944
Property, plant and equipment, net 81,760 80,742
Goodwill 14,830 14,807
Other intangibles, net 1,742 1,390
Investments 10,008 9,605
Restricted cash and cash equivalents-long-term 2,763 2,767
Deferred income tax assets, net-long-term portion 16,248 20,000
Other assets 14,715 11,152
TOTAL ASSETS 480,931 435,407
CURRENT LIABILITIES:    
Revolving credit loan payable 13,000 21,062
Trade accounts payable 42,135 39,323
Accrued expenses 142,528 145,432
Deferred revenue 101,165 91,227
Customer deposits 62,685 28,663
Income taxes payable 732 761
Dividends payable    1,837
Notes payable-current portion 271 535
Other current liabilities 5,468 4,829
TOTAL CURRENT LIABILITIES 367,984 333,669
Notes payable-long-term portion 6,353 6,624
Other liabilities 5,430 5,978
TOTAL LIABILITIES 379,767 346,271
Commitments and contingencies      
IDT Corporation stockholders' equity:    
Preferred stock, $.01 par value; authorized shares-10,000; no shares issued      
Additional paid-in capital 392,858 388,533
Treasury stock, at cost, consisting of 1,698 and 1,698 shares of Class A common stock and 2,934 and 2,878 shares of Class B common stock at July 31, 2014 and 2013, respectively (99,841) (98,836)
Accumulated other comprehensive income 3,668 2,341
Accumulated deficit (196,725) (203,711)
Total IDT Corporation stockholders' equity 100,239 88,603
Noncontrolling interests 925 533
TOTAL EQUITY 101,164 89,136
TOTAL LIABILITIES AND EQUITY 480,931 435,407
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 63 R45.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies (Tables)
12 Months Ended
Jul. 31, 2014
Legal Proceedings and Commitments And Contingencies Disclosure [Abstract]  
Summary of Future Minimum Payments for Operating Leases

(in thousands)
   
Year ending July 31:
   
2015
 $2,801 
2016
  1,383 
2017
  1,146 
2018
  934 
2019
  812 
Thereafter
  235 
Total payments
 $7,311 
 
Summary of Restricted Cash and Cash Equivalents
July 31 
(in thousands)
 2014  2013 
Restricted cash and cash equivalents—short-term      
Letters of credit related $665  $3,189 
IDT Financial Services customer deposits  64,415   31,076 
Other  626   723 
Total short-term  65,706   34,988 
Restricted cash and cash equivalents—long-term        
Letters of credit related  2,763   2,767 
Total restricted cash and cash equivalents $68,469  $37,755 
 
XML 64 R96.htm IDEA: XBRL DOCUMENT v2.4.0.8
Business Segment Information - Long-Lived Assets and Total Assets by Geographic Areas (Detail) (USD $)
In Thousands, unless otherwise specified
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Revenues from External Customers and Long-Lived Assets [Line Items]      
Long-lived assets, net $ 81,760 $ 80,742 $ 85,567
Total assets 480,931 435,407 451,114
United States [Member]
     
Revenues from External Customers and Long-Lived Assets [Line Items]      
Long-lived assets, net 79,281 77,580 81,668
Total assets 284,249 294,337 310,209
Foreign Countries [Member]
     
Revenues from External Customers and Long-Lived Assets [Line Items]      
Long-lived assets, net 2,479 3,162 3,899
Total assets $ 196,682 $ 141,070 $ 140,905
XML 65 R6.htm IDEA: XBRL DOCUMENT v2.4.0.8
Consolidated Statements of Equity (USD $)
In Thousands
Total
Noncontrolling Interests [Member]
Receivable for Issuance of Equity [Member]
IDT Corp [Member]
Additional Paid-In Capital [Member]
IDT Corp [Member]
Treasury Stock [Member]
IDT Corp [Member]
Accumulated Other Comprehensive Income [Member]
IDT Corp [Member]
Accumulated Deficit [Member]
IDT Corp [Member]
Common Stock [Member]
IDT Corp [Member]
Class A Common Stock [Member]
IDT Corp [Member]
Class B Common Stock [Member]
BALANCE at Jul. 31, 2011 $ 203,790 $ (4,305) $ (1,000) $ 520,732 $ (94,941) $ 3,027 $ (219,992)   $ 33 $ 236
BALANCE, SHARES at Jul. 31, 2011                 3,272 23,586
Dividends declared (15,014)           (15,014)      
Restricted Class B common stock purchased from employee (210)       (210)          
Repurchases of Class B common stock through repurchase program (2,606)       (2,606)          
Stock-based compensation 3,605     3,605            
Restricted stock issued to employees and directors       (4)           4
Restricted stock issued to employees and directors, Shares                   433
Stock issued for matching contributions to the 401(k) Plan 911     910           1
Stock issued for matching contributions to the 401(k) Plan, shares 92,843                 93
Sale of stock of subsidiary 133 211   (78)            
Distributions to noncontrolling interests (1,580) (1,580)                
Other 225 225                
Genie/Straight Path Spin-Off (123,046) 5,688 1,000 (129,296)   (438)        
Other comprehensive income (loss) (2,268) 119       (2,387)        
Net income for the year ended July 38,785 137         38,648      
BALANCE at Jul. 31, 2012 102,725 495   395,869 (97,757) 202 (196,358)   33 241
BALANCE, SHARES at Jul. 31, 2012                 3,272 24,112
Dividends declared (18,960)           (18,960)      
Restricted Class B common stock purchased from employee (301)       (301)          
Repurchases of Class B common stock through repurchase program (778)       (778)          
Exercise of stock options 921     920           1
Exercise of stock options, Shares                   62
Stock-based compensation 6,616 204   6,412            
Restricted stock issued to employees and directors       (1)           1
Restricted stock issued to employees and directors, Shares                   49
Stock issued for matching contributions to the 401(k) Plan 932     932            
Stock issued for matching contributions to the 401(k) Plan, shares 51,861                 52
Purchases of stock of subsidiary 1,804 9   1,795            
Sale of stock of subsidiary 145 203   (58)            
Distributions to noncontrolling interests (2,245) (2,245)                
Exercise of stock options in subsidiary 9 6   3            
Genie/Straight Path Spin-Off (13,659) 90   (13,749)            
Other comprehensive income (loss) 2,091 (48)       2,139        
Net income for the year ended July 13,444 1,837         11,607      
BALANCE at Jul. 31, 2013 89,136 533    388,533 (98,836) 2,341 (203,711)   33 243
BALANCE, SHARES at Jul. 31, 2013               0 3,272 24,275
Dividends declared (11,798)                (11,798)        
Restricted Class B common stock purchased from employee (1,005)          (1,005)              
Exercise of stock options 609 3    606                 
Exercise of stock options, Shares                   46
Stock-based compensation 5,362 30    5,332                 
Restricted stock issued to employees and directors          (2)               2
Restricted stock issued to employees and directors, Shares                   194
Stock issued for matching contributions to the 401(k) Plan 1,168       1,167               1
Stock issued for matching contributions to the 401(k) Plan, shares 72,281                 72
Purchases of stock of subsidiary (1,133) 21    (1,154)                 
Distributions to noncontrolling interests (1,888) (1,888)                       
Genie/Straight Path Spin-Off (1,624)       (1,624)                 
Other comprehensive income (loss) 1,327             1,327           
Net income for the year ended July 21,010 2,226             18,784        
BALANCE at Jul. 31, 2014 $ 101,164 $ 925    $ 392,858 $ (99,841) $ 3,668 $ (196,725)   $ 33 $ 246
BALANCE, SHARES at Jul. 31, 2014                 3,272 24,587
XML 66 R94.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 12 Months Ended
Jul. 31, 2014
Apr. 30, 2014
Jan. 31, 2014
Oct. 31, 2013
Jul. 31, 2013
Apr. 30, 2013
Jan. 31, 2013
Oct. 31, 2012
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Segment Reporting Information [Line Items]                      
REVENUES $ 420,687 $ 403,761 $ 406,423 $ 420,670 $ 412,109 [1] $ 396,935 [2] $ 411,456 $ 400,117 $ 1,651,541 $ 1,620,617 $ 1,506,283
Income (loss) from operations 5,813 9,170 7,574 7,283 1,365 [1] 15,687 [2] 5,655 6,684 29,840 29,391 (7,096)
Depreciation and amortization                 16,318 14,910 16,648
Impairment of building and improvements                    4,359   
Operating Segments [Member] | Telecom Platform Services [Member]
                     
Segment Reporting Information [Line Items]                      
REVENUES                 1,615,570 1,588,071 1,477,762
Income (loss) from operations                 45,062 48,661 5,910
Depreciation and amortization                 13,776 12,342 14,215
Impairment of building and improvements                        
Operating Segments [Member] | Consumer Phone Services [Member]
                     
Segment Reporting Information [Line Items]                      
REVENUES                 11,023 14,514 19,307
Income (loss) from operations                 1,797 1,824 4,062
Depreciation and amortization                   1 9
Impairment of building and improvements                        
Operating Segments [Member] | Zedge [Member]
                     
Segment Reporting Information [Line Items]                      
REVENUES                 6,535 5,811 3,793
Income (loss) from operations                 314 340 (248)
Depreciation and amortization                 967 798 652
Impairment of building and improvements                        
Operating Segments [Member] | All Other [Member]
                     
Segment Reporting Information [Line Items]                      
REVENUES                 18,413 12,221 5,421
Income (loss) from operations                 (2,049) (7,433) (3,668)
Depreciation and amortization                 1,545 1,673 1,512
Impairment of building and improvements                   4,359  
Operating Segments [Member] | Corporate [Member]
                     
Segment Reporting Information [Line Items]                      
REVENUES                         
Income (loss) from operations                 (15,284) (14,001) (13,152)
Depreciation and amortization                 30 96 260
Impairment of building and improvements                        
[1] Included in income from operations was a charge for impairment of building and improvements of $4.4 million.
[2] Included in income from operations was other operating gains of $9.6 million related to legal matters
XML 67 R59.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements - Additional Information (Detail) (USD $)
In Millions, unless otherwise specified
Jul. 31, 2014
Jul. 31, 2013
Fair Value Assets Liabilities Quantitative Information [Line Items]    
Investments in hedge funds $ 9.5 $ 8.3
Carrying value of investments 1.8 1.5
Other Current Assets [Member]
   
Fair Value Assets Liabilities Quantitative Information [Line Items]    
Investments in hedge funds 0.1 0.1
Long-term Investments [Member]
   
Fair Value Assets Liabilities Quantitative Information [Line Items]    
Investments in hedge funds $ 9.4 $ 8.2
XML 68 R99.htm IDEA: XBRL DOCUMENT v2.4.0.8
Selected Quarterly Financial Data - Summary of Selected Quarterly Financial Data (Parenthetical) (Detail) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 12 Months Ended
Apr. 30, 2013
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Selected Quarterly Financial Data [Abstract]        
Other operating gains (loss) $ 9,600    [1]    [1] $ (11,022) [1]
Impairment of building and improvements      $ 4,359   
[1] On October 12, 2011, the Company entered into a binding term sheet with T-Mobile USA, Inc. ("T-Mobile") to settle litigation related to an alleged breach of a wholesale supply agreement. In consideration of the settlement of all disputes between the parties, on October 13, 2011, the Company paid T-Mobile $10 million. The Company incurred legal fees of $1.0 million in fiscal 2012 in connection with this matter.
XML 69 R35.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements (Tables)
12 Months Ended
Jul. 31, 2014
Fair Value Measurements [Abstract]  
Summary of Assets Measured at Fair Value on Recurring Basis
in thousands) Level 1  Level 2  Level 3  Total 
July 31, 2014            
Available-for-sale securities $  $12,873  $  $12,873 
July 31, 2013                
Available-for-sale securities $  $9,684  $  $9,684 
XML 70 R65.htm IDEA: XBRL DOCUMENT v2.4.0.8
Other Operating Gains (Losses), Net - Summary of Other Operating Gains (Losses), Net by Business Segment (Detail) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 12 Months Ended
Apr. 30, 2013
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Other Operating Gains, Net [Abstract]        
Telecom Platform Services-gains (losses) related to legal matters, net   $ 650 $ 9,251 $ (6,698)
Telecom Platform Services-loss on settlement of litigation 9,600    [1]    [1] (11,022) [1]
Telecom Platform Services-gain on settlement of claim      [2]    [2] 1,750 [2]
Corporate-loss related to settlement   (79) [3]    [3]    [3]
Corporate-other   (374)    100
All Other-gain on insurance claim   571 [4]    [4]    [4]
All Other-other   67      
TOTAL   $ 835 $ 9,251 $ (15,870)
[1] On October 12, 2011, the Company entered into a binding term sheet with T-Mobile USA, Inc. ("T-Mobile") to settle litigation related to an alleged breach of a wholesale supply agreement. In consideration of the settlement of all disputes between the parties, on October 13, 2011, the Company paid T-Mobile $10 million. The Company incurred legal fees of $1.0 million in fiscal 2012 in connection with this matter.
[2] On January 17, 2012, the Company received $1.8 million from Broadstripe, LLC in settlement of the Company's claim stemming from Broadstripe, LLC's rejection of its telephony services agreements with the Company upon the confirmation of Broadstripe, LLC's bankruptcy plan and closing of its bankruptcy sale.
[3] In fiscal 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.
[4] In fiscal 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 71 R22.htm IDEA: XBRL DOCUMENT v2.4.0.8
Stock-Based Compensation
12 Months Ended
Jul. 31, 2014
Stock-Based Compensation [Abstract]  
Stock-Based Compensation

Note 14—Stock-Based Compensation

 

Stock-Based Compensation Plans

The Company’s 2005 Stock Option and Incentive Plan, as amended and restated, is intended to provide incentives to executives, employees, directors and consultants of the Company. Incentives available under the 2005 Stock Option and Incentive Plan may include stock options, stock appreciation rights, limited rights, deferred stock units, and restricted stock. In December 2011, the Company’s stockholders approved an amendment to the 2005 Stock Option and Incentive Plan to increase the number of shares of the Company’s Class B common stock available for the grant of awards by an additional 1.1 million shares. At July 31, 2014, the Company had 5.3 million shares of Class B common stock reserved for award under its 2005 Stock Option and Incentive Plan and 0.3 million shares were available for future grants.

 

In September 2014, the Company’s Board of Directors adopted the 2014 Stock Option and Incentive Plan, which is subject to ratification by the Company’s stockholders. It is expected that the 2014 Stock Option and Incentive Plan will become effective on January 1, 2015. Shares available for future grants under the 2005 Stock Option and Incentive Plan will no longer be available once the 2014 Stock Option and Incentive Plan is effective. The 2014 Stock Option and Incentive Plan is intended to provide incentives to officers, employees, directors and consultants of the Company, including stock options, stock appreciation rights, limited rights, deferred stock units, and restricted stock. There will be 0.5 million shares of the Company’s Class B common stock authorized for award under the 2014 Stock Option and Incentive Plan.

 

No income tax benefits were recognized in the consolidated statements of income for stock-based compensation arrangements during fiscal 2014, fiscal 2013 or fiscal 2012. In fiscal 2014 and fiscal 2013, there was no tax benefit resulting from tax deductions in excess of the compensation cost recognized for the Company’s stock-based compensation. In fiscal 2012, the Company did not recognize the tax benefits because the deferred tax benefit was fully reserved for due to the uncertainty of future taxable income.

 

Stock Options

Option awards are generally granted with an exercise price equal to the market price of the Company’s stock on the date of grant. Option awards generally vest on a graded basis over three years of service and have ten-year contractual terms. The fair value of stock options was estimated on the date of the grant using a Black-Scholes valuation model and the assumptions in the following table. No option awards were granted in fiscal 2014 and fiscal 2013. Expected volatility is based on historical volatility of the Company’s Class B common stock and other factors. The Company uses historical data on exercise of stock options, post vesting forfeitures and other factors to estimate the expected term of the stock-based payments granted. The risk free rate is based on the U.S. Treasury yield curve in effect at the time of grant.

 

ASSUMPTIONS
Year ended July 31 2012 
   
Average risk-free interest rate  1.46%
Expected dividend yield  4.6%
Expected volatility  66.8%
Expected term  6.6 years 

 

A summary of stock option activity for the Company is as follows:

 

  Number of
Options
(in thousands)
  Weighted-
Average
Exercise
Price
  Weighted-
Average
Remaining
Contractual
Term
(in years)
  Aggregate
Intrinsic Value
(in thousands)
 
Outstanding at July 31, 2013  642  $14.22         
Granted              
Exercised  (29)  13.45         
Cancelled / Forfeited  (2)  21.38         
OUTSTANDING AT JULY 31, 2014  611  $14.24   6.6  $1,285 
EXERCISABLE AT JULY 31, 2014  438  $15.63   5.2  $444 

 

The weighted-average grant date fair value of options granted by the Company during fiscal 2012 was $4.97. The total intrinsic value of options exercised during fiscal 2014 and fiscal 2013 was $0.2 million and $0.2 million, respectively. As of July 31, 2014, there was $1.4 million of total unrecognized compensation cost related to non-vested stock options, which is expected to be recognized over a weighted-average period of 2.2 years.

  

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.

 

On March 26, 2012, the Compensation Committee of the Company’s Board of Directors approved an extension of the expiration dates of all outstanding stock options held by current employees and consultants of the Company. The expiration date of every stock option was extended for three years from the prior scheduled expiration date. The Compensation Committee also approved the issuance of new options in replacement of certain stock options that had recently expired, setting the expiration date of the newly issued stock options three years from the date of the new grant. All newly issued options were fully vested and the exercise prices were unchanged. This extension or replacement applied to options to purchase an aggregate of 0.6 million shares of the Company’s Class B common stock. The Company recorded stock-based compensation expense of $0.3 million in March 2012 for the modification or issuance of the options based on the estimated fair values on March 26, 2012.

 

On November 22, 2011, there were fully vested outstanding options to purchase 0.5 million shares of the Company’s Class B common stock, with various exercise prices and expiration dates. The exercise prices of all of such options were above the market price for the Company’s Class B common stock on such date. On November 22, 2011, in connection with the Genie Spin-Off, the exercise price of each outstanding option to purchase the Company’s Class B common stock was reduced by 43.8% of the exercise price based on the change in the trading price of the Company’s Class B common stock following the Genie Spin-Off. Further, each option holder shared ratably in a pool of options to purchase 50,000 shares of Genie Class B common stock. The Company accounted for the November 2011 reduction in the exercise price of the Company’s outstanding stock options and the grant of new options in Genie as a modification. The Company determined that there was no incremental value from the modification, therefore, the Company did not record a stock-based compensation charge.

 

Restricted Stock

The fair value of restricted shares of the Company’s Class B common stock is determined based on the closing price of the Company’s Class B common stock on the grant date. Share awards generally vest on a graded basis over three years of service.

 

A summary of the status of the Company’s grants of restricted shares of Class B common stock is presented below:

 

(in thousands) Number of
Non-vested
Shares
  Weighted-
Average Grant-
Date Fair
Value
 
Non-vested shares at July 31, 2013  2,013  $6.11 
Granted  183   19.71 
Vested  (1,649)  5.29 
Forfeited  (7)  10.17 
NON-VESTED SHARES AT JULY 31, 2014  540  $13.00 

 

As of July 31, 2014, there was $3.5 million of total unrecognized compensation cost related to non-vested stock-based compensation arrangements, which is expected to be recognized over a weighted-average period of 0.9 years. The total grant date fair value of shares vested in fiscal 2014, fiscal 2013 and fiscal 2012 was $8.7 million, $3.5 million and $5.7 million, respectively.

 

Straight Path IP Group Stock

On September 24, 2012, the Company’s Board of Directors approved a grant of 10% of the equity of the Company’s former subsidiary, Straight Path IP Group, to Mr. Howard S. Jonas, the Company’s Chairman of the Board and former Chief Executive Officer. These Straight Path IP Group shares vested immediately. The Company recorded stock-based compensation expense of $0.7 million in fiscal 2013 for the grant of these shares, based on the estimated fair value of the shares on the grant date.

XML 72 R36.htm IDEA: XBRL DOCUMENT v2.4.0.8
Property, Plant and Equipment (Tables)
12 Months Ended
Jul. 31, 2014
Property Plant And Equipment [Abstract]  
Schedule of Property, Plant and Equipment
 
July 31 
(in thousands)
 2014  2013 
Equipment $438,899  $436,127 
Land and buildings  53,895   51,294 
Computer software  116,775   105,449 
Leasehold improvements  42,190   45,141 
Furniture and fixtures  6,249   6,187 
   658,008   644,198 
Less accumulated depreciation and amortization  (576,248)  (563,456)
Property, plant and equipment, net $81,760  $80,742 

 

XML 73 R98.htm IDEA: XBRL DOCUMENT v2.4.0.8
Selected Quarterly Financial Data - Summary of Selected Quarterly Financial Data (Detail) (USD $)
In Thousands, except Per Share data, unless otherwise specified
3 Months Ended 12 Months Ended
Jul. 31, 2014
Apr. 30, 2014
Jan. 31, 2014
Oct. 31, 2013
Jul. 31, 2013
Apr. 30, 2013
Jan. 31, 2013
Oct. 31, 2012
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Selected Quarterly Financial Data [Abstract]                      
REVENUES $ 420,687 $ 403,761 $ 406,423 $ 420,670 $ 412,109 [1] $ 396,935 [2] $ 411,456 $ 400,117 $ 1,651,541 $ 1,620,617 $ 1,506,283
Direct cost of revenues 349,313 332,376 335,258 350,319 344,673 [1] 331,163 [2] 344,486 335,251 1,367,266 1,355,573 1,269,386
Income from operations 5,813 9,170 7,574 7,283 1,365 [1] 15,687 [2] 5,655 6,684 29,840 29,391 (7,096)
Income (loss) from continuing operations 8,388 5,599 2,973 4,050 (1,532) [1] 10,082 [2] 3,908 5,620 21,010 18,078 30,934
Net income (loss) attributable to IDT corporation $ 7,709 $ 5,017 $ 2,535 $ 3,523 $ (3,651) [1] $ 8,691 [2] $ 2,953 $ 3,614 $ 18,784 $ 11,607 $ 38,648
Income (loss) per share-basic, From continuing operations $ 0.34 $ 0.22 $ 0.12 $ 0.17 $ (0.09) [1] $ 0.46 [2] $ 0.16 $ 0.24 $ 0.85 $ 0.85 $ 1.45
Income (loss) per share-basic, Net income (loss) $ 0.34 $ 0.22 $ 0.12 $ 0.17 $ (0.17) [1] $ 0.42 [2] $ 0.14 $ 0.17 $ 0.85 $ 0.85 $ 1.87
Income (loss) per share-diluted, From continuing operations $ 0.33 $ 0.22 $ 0.11 $ 0.15 $ (0.09) [1] $ 0.43 [2] $ 0.15 $ 0.23 $ 0.82 $ 0.82 $ 1.36
Income (loss) per share-diluted, Net income (loss) $ 0.33 $ 0.22 $ 0.11 $ 0.15 $ (0.17) [1] $ 0.39 [2] $ 0.13 $ 0.16 $ 0.82 $ 0.82 $ 1.75
[1] Included in income from operations was a charge for impairment of building and improvements of $4.4 million.
[2] Included in income from operations was other operating gains of $9.6 million related to legal matters
XML 74 R24.htm IDEA: XBRL DOCUMENT v2.4.0.8
Legal Proceedings
12 Months Ended
Jul. 31, 2014
Legal Proceedings and Commitments And Contingencies Disclosure [Abstract]  
Legal Proceedings

Note 16—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 an arbitration hearing with Aerotel, Ltd. (“Aerotel”) 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 $1.1 million at July 31, 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. Mox recently filed for bankruptcy. 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 that 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. On July 7, 2014, the Company filed a motion for reargument with the Court of Appeals, which Tyco opposed. On September 11, 2014, the Court denied the Company’s motion. 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 75 R68.htm IDEA: XBRL DOCUMENT v2.4.0.8
Notes Payable - Schedule of Notes Payable (Detail) (USD $)
In Thousands, unless otherwise specified
Jul. 31, 2014
Jul. 31, 2013
Debt Instrument [Line Items]    
Notes payable $ 6,624 $ 7,159
Less current portion (271) (535)
Notes payable-long term portion 6,353 6,624
Notes Due June 2012 [Member]
   
Debt Instrument [Line Items]    
Notes payable    [1] 279 [1]
Secured Term Loan Due September 2015 [Member]
   
Debt Instrument [Line Items]    
Secured term loan $ 6,624 [2] $ 6,880 [2]
[1] On June 24, 2009, the Company issued a promissory note in the principal amount of $1.2 million in connection with the acquisition of the 49% interest in Union Telecard Alliance, LLC that it did not own. The note bears interest at 0.76% per annum. The principal and interest are payable in thirty six equal, monthly installments that began on July 24, 2009 with the last payment on June 24, 2012. The Company has not made any payments since November 2011 due to disputes with the seller.
[2] The loan bears interest at the rate of 5.6% per annum and is payable in monthly installments of principal and interest of $0.1 million, with the last installment of $6.4 million payable on September 1, 2015. The loan is secured by a mortgage on a building in Piscataway, New Jersey.
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Consolidated Statements of Equity (Parenthetical) (USD $)
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Statement Of Stockholders Equity [Abstract]      
Dividends declared, per share $ 0.51 $ 0.83 $ 0.66
XML 78 R3.htm IDEA: XBRL DOCUMENT v2.4.0.8
Consolidated Balance Sheets (Parenthetical) (USD $)
In Thousands, except Per Share data, unless otherwise specified
Jul. 31, 2014
Jul. 31, 2013
Allowance for doubtful accounts $ 11,507 $ 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 24,587 24,275
Common stock, shares outstanding 21,653 21,397
Treasury stock, Common stock shares 2,934 2,878
XML 79 R17.htm IDEA: XBRL DOCUMENT v2.4.0.8
Notes Payable
12 Months Ended
Jul. 31, 2014
Notes Payable [Abstract]  
Notes Payable

Note 9—Notes Payable

 

The Company’s notes payable consist of the following:

 

July 31
(in thousands)
 2014  2013 
$11.0 million secured term loan due September 2015 (a) $6,624  $6,880 
$1.2 million note due June 2012 (b)     279 
Total notes payable  6,624   7,159 
Less current portion  (271)  (535)
Notes payable—long term portion $6,353  $6,624 

 

 

The future principal payments for the note payable as of July 31, 2014 are as follows:

 

(in thousands)   
Year ending July 31:    
2015 $271 
2016  6353 
2017   
2018   
2019   
Thereafter   
Total notes payable $6,624 

 

(a)The loan bears interest at the rate of 5.6% per annum and is payable in monthly installments of principal and interest of $0.1 million, with the last installment of $6.4 million payable on September 1, 2015. The loan is secured by a mortgage on a building in Piscataway, New Jersey.
  
(b)On June 24, 2009, the Company issued a promissory note in the principal amount of $1.2 million in connection with the acquisition of the 49% interest in Union Telecard Alliance, LLC that it did not own. The note incurred interest at 0.76% per annum. The principal and interest were payable in thirty six equal, monthly installments that began on July 24, 2009 with the last payment scheduled for June 24, 2012. The Company had not made any payments since November 2011 due to disputes with the seller. In fiscal 2014, in accordance with an arbitration award, the Company paid the remaining principal and accrued interest to the seller.
XML 80 R93.htm IDEA: XBRL DOCUMENT v2.4.0.8
Defined Contribution Plans - Additional Information (Detail) (USD $)
In Millions, except Share data in Thousands, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Defined Contribution Plans [Abstract]      
Maximum percentage of participants contribution 20.00%    
Percentage of discretionary matching contributions 50.00%    
Defined benefit plan compensation 6.00%    
Company's cost for contributions to the Plan $ 1.1 $ 1.1 $ 0.9
Number of shares issed for contribution plan 72,281 51,861 92,843
XML 81 R91.htm IDEA: XBRL DOCUMENT v2.4.0.8
Related Party Transactions - Summary of Changes in Estimated Liability to Stright Path Included in Other Current Liabilities (Details) (Straight Path [Member], USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Straight Path [Member]
 
Estimated liability to stright path included in other current liabilities  
Balance at beginning of year $ 931
Additional liability 1,930
Payments (1,001)
Balance at end of year $ 1,860
XML 82 R1.htm IDEA: XBRL DOCUMENT v2.4.0.8
Document and Entity Information (USD $)
In Millions, except Share data, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Jan. 31, 2014
Oct. 06, 2014
Class B Common Stock [Member]
Oct. 06, 2014
Class A 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-K      
Document Period End Date Jul. 31, 2014      
Document Fiscal Period Focus FY      
Document Fiscal Year Focus 2014      
Trading Symbol IDT      
Entity Well Known Seasoned Issuer No      
Entity Voluntary Filers No      
Entity Current Reporting Status Yes      
Entity Filer Category Accelerated Filer      
Entity Public Float   $ 304.0    
Entity Common Stock Shares Outstanding     21,663,733 1,574,326
XML 83 R18.htm IDEA: XBRL DOCUMENT v2.4.0.8
Accrued Expenses
12 Months Ended
Jul. 31, 2014
Accrued Expenses [Abstract]  
Accrued Expenses

Note 10—Accrued Expenses

 

Accrued expenses consist of the following:

 

July 31
(in thousands)
 2014  2013 
Carrier minutes termination $53,280  $50,687 
Carrier network connectivity, toll-free and 800 services  7,896   11,462 
Regulatory fees and taxes  43,293   38,602 
Legal settlements  1,615   11,784 
Compensation costs  15,612   12,836 
Legal and professional fees  4,708   6,026 
Other  16,124   14,035 
TOTAL $142,528  $145,432 
XML 84 R80.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes - Additional Information (Detail) (USD $)
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Income Tax Contingency [Line Items]      
Reversal of portion of the valuation allowance     $ 36,900,000
Federal and state net operating loss carryforwards 168,000,000    
Foreign net operating losses 200,000,000    
Benefit from income taxes 3,982,000 15,872,000 (42,782,000)
Net operating loss carryforwards expiration date 2014    
Foreign net operating loss, no expiration 143,000,000    
Foreign net operating loss, expiration in two to ten years 57,000,000    
Losses limited under Internal Revenue Code 7,000,000    
Cumulative undistributed foreign earnings 270,000,000    
Accrued interest included in current income taxes payable        
Agreement on certain state tax position 356,000    3,754,000
IDT Global [Member]
     
Income Tax Contingency [Line Items]      
Benefit from income taxes 4,100,000    
Net2Phone [Member]
     
Income Tax Contingency [Line Items]      
Net operating losses, Federal $ 84,000,000    
Net operating losses expiration description Through fiscal 2027    
XML 85 R90.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies - Additional Information (Detail) (USD $)
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Commitments and contingencies (Textual)      
Purchase commitment of company $ 2,300,000    
Rental expenses under operating leases 6,400,000 5,900,000 4,100,000
Connectivity charges under operating leases 10,400,000 11,800,000 16,300,000
Letters of credit outstanding 3,700,000   3,800,000
Letter of credit expires by July 31, 2015 900,000    
Letter of credit expires in August 2015 2,800,000    
Performance bonds outstanding 10,000,000    
Refundable customer deposits 62,685,000 28,663,000  
Substantially restricted cash and cash equivalents $ 12,900,000 $ 7,800,000  
XML 86 R4.htm IDEA: XBRL DOCUMENT v2.4.0.8
Consolidated Statements of Income (USD $)
In Thousands, except Per Share data, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Income Statement [Abstract]      
REVENUES $ 1,651,541 $ 1,620,617 $ 1,506,283
COSTS AND EXPENSES:      
Direct cost of revenues (exclusive of depreciation and amortization) 1,367,266 1,355,573 1,269,386
Selling, general and administrative (i) 228,934 218,469 206,906
Depreciation and amortization 16,318 14,910 16,648
Research and development 10,018 7,166 4,569
Impairment of building and improvements    4,359   
TOTAL COSTS AND EXPENSES 1,622,536 1,600,477 1,497,509
Other operating gains (losses), net 835 9,251 (15,870)
Income (loss) from operations 29,840 29,391 (7,096)
Interest expense, net (148) (824) (2,985)
Other (expense) income, net (4,700) 5,383 (1,767)
Income (loss) from continuing operations before income taxes 24,992 33,950 (11,848)
(Provision for) benefit from income taxes (3,982) (15,872) 42,782
Income from continuing operations 21,010 18,078 30,934
Discontinued operations, net of tax:      
(Loss) income from discontinued operations    (4,634) 5,851
Income on sale of discontinued operations       2,000
Total discontinued operations    (4,634) 7,851
NET INCOME 21,010 13,444 38,785
Net income attributable to noncontrolling interests (2,226) (1,837) (137)
NET INCOME ATTRIBUTABLE TO IDT CORPORATION 18,784 11,607 38,648
Amounts attributable to IDT Corporation common stockholders:      
Income from continuing operations 18,784 16,048 29,901
(Loss) income from discontinued operations    (4,441) 8,747
NET INCOME ATTRIBUTABLE TO IDT CORPORATION 18,784 11,607 38,648
Basic:      
Income from continuing operations $ 0.85 $ 0.85 $ 1.45
(Loss) income from discontinued operations    $ (0.21) $ 0.42
Net income $ 0.85 $ 0.85 $ 1.87
Weighted-average number of shares used in calculation of basic earnings per share 22,009 20,876 20,717
Diluted:      
Income from continuing operations $ 0.82 $ 0.82 $ 1.36
(Loss) income from discontinued operations    $ (0.20) $ 0.39
Net income $ 0.82 $ 0.82 $ 1.75
Weighted-average number of shares used in calculation of diluted earnings per share 22,937 22,315 22,060
(i) Stock-based compensation included in selling, general and administrative expenses $ 5,382 $ 5,875 $ 3,325
XML 87 R12.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements
12 Months Ended
Jul. 31, 2014
Fair Value Measurements [Abstract]  
Fair Value Measurements

Note 4—Fair Value Measurements

 

The following table presents the balance of assets measured at fair value on a recurring basis:

 

(in thousands) Level 1  Level 2  Level 3  Total 
July 31, 2014            
Available-for-sale securities $  $12,873  $  $12,873 
July 31, 2013                
Available-for-sale securities $  $9,684  $  $9,684 

 

At July 31, 2014 and 2013, the Company did not have any liabilities measured at fair value on a recurring basis. At July 31, 2014 and 2013, the Company had $9.5 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 $9.4 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, dividend payable, notes payable—current portion and other current liabilities. At July 31, 2014 and 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, dividend 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 July 31, 2014 and 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 July 31, 2014 and 2013, the carrying amount of these liabilities approximated fair value. The fair values were estimated based on the Company’s assumptions, which was classified as Level 3 of the fair value hierarchy.

 

The Company’s investments at July 31, 2014 and 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 $1.8 million and $1.5 million at July 31, 2014 and 2013, respectively, which the Company believes was not impaired.

XML 88 R11.htm IDEA: XBRL DOCUMENT v2.4.0.8
Marketable Securities
12 Months Ended
Jul. 31, 2014
Marketable Securities [Abstract]  
Marketable Securities

Note 3—Marketable Securities

 

The following is a summary of marketable securities:

 

(in thousands) Amortized
Cost
  Gross
Unrealized
Gains
  Gross
Unrealized
Losses
  Fair Value 
July 31, 2014            
Available-for-sale securities:            
Certificates of deposit* $10,375  $  $  $10,375 
Equity securities  31      (9)  22 
Municipal bonds  2,475   1      2,476 
TOTAL $12,881  $1  $(9) $12,873 
July 31, 2013                
Available-for-sale securities:                
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 $17.3 million, $1.7 million and nil in fiscal 2014, fiscal 2013 and fiscal 2012, respectively. There were no realized gains or losses from sales of available-for-sale securities in fiscal 2014, fiscal 2013 and fiscal 2012. In fiscal 2014, the Company recorded a loss of $0.1 million for the other than temporary decline in market value of its equity securities.

 

The contractual maturities of the Company’s available-for-sale securities at July 31, 2014 were as follows:

 

(in thousands) Fair Value 
Within one year $12,851 
After one year through five years   
After five years through ten years   
After ten years   
TOTAL $12,851 
XML 89 R23.htm IDEA: XBRL DOCUMENT v2.4.0.8
Accumulated Other Comprehensive Income
12 Months Ended
Jul. 31, 2014
Accumulated Other Comprehensive Income Loss [Abstract]  
Accumulated Other Comprehensive Income (Loss)

Note 15—Accumulated Other Comprehensive Income

 

The accumulated balances for each classification of other comprehensive income (loss) were as follows:

 

(in thousands) Unrealized
gain (loss) on
available-for-
sale securities
  Foreign
currency
translation
  Accumulated
other
comprehensive
income (loss)
 
Balance at July 31, 2011 $(4) $3,031  $3,027 
Genie Spin-Off     (438)  (438)
Other comprehensive loss attributable to IDT Corporation  4   (2,391)  (2,387)
Balance at July 31, 2012     202   202 
Other comprehensive income attributable to IDT Corporation     2,139   2,139 
Balance at July 31, 2013     2,341   2,341 
Other comprehensive income attributable to IDT Corporation  (8)  1,335   1,327 
BALANCE AT JULY 31, 2014 $(8) $3,676  $3,668 
XML 90 R19.htm IDEA: XBRL DOCUMENT v2.4.0.8
Other (Expense) Income, Net
12 Months Ended
Jul. 31, 2014
Other (Expense) Income, Net [Abstract]  
Other (Expense) Income, Net

Note 11—Other (Expense) Income, Net

 

Other (expense) income, net consists of the following:

 

Year ended July 31
(in thousands)
 2014  2013  2012 
Foreign currency transaction (losses) gains $(5,883) $2,538  $(2,859)
Gain on investments  1,218   2,664   1,172 
Gain on modification and early termination of note payable     238    
Gain on sales of buildings and other assets     11   197 
Other  (35)  (68)  (277)
TOTAL $(4,700) $5,383  $(1,767)

 

On April 30, 2013, the Company and the holder of the note payable secured by the mortgage on the building located at 520 Broad Street, Newark, New Jersey (the “Lender”) entered into an agreement to settle all disputes between the Company and Lender. In connection with this agreement, on May 1, 2013, the Company paid the Lender $21.1 million and the Lender released the Company from the note and discharged the mortgage. In fiscal 2013, the Company recognized a gain of $0.2 million on the modification and early termination of the note payable.

XML 91 R84.htm IDEA: XBRL DOCUMENT v2.4.0.8
Stock-Based Compensation - Grants of Restricted Shares of Class B Common Stock (Detail) (USD $)
In Thousands, except Per Share data, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Stock-Based Compensation [Abstract]  
Weighted- Average Grant- Date Fair Value, Beginning balance $ 6.11
Weighted- Average Grant- Date Fair Value, Granted $ 19.71
Weighted- Average Grant- Date Fair Value, Vested $ 5.29
Weighted- Average Grant- Date Fair Value, Forfeited $ 10.17
Weighted- Average Grant- Date Fair Value, Ending Balance $ 13.00
Number of Non-vested Shares, Beginning Balance 2,013
Number of Non-vested Shares, Granted 183
Number of Non-vested Shares, Vested (1,649)
Number of Non-vested Shares, Forfeited (7)
Number of Non-vested Shares, Ending Balance 540
XML 92 R15.htm IDEA: XBRL DOCUMENT v2.4.0.8
Other Operating Gains (Losses), Net
12 Months Ended
Jul. 31, 2014
Other (Expense) Income, Net [Abstract]  
Other Operating Gains (Losses), Net

Note 7—Other Operating Gains (Losses), Net

 

The following table summarizes the other operating gains (losses), net by business segment:

 

Year ended July 31 
(in thousands)
 2014  2013  2012 
Telecom Platform Services—gains (losses) related to legal matters, net $650  $9,251  $(6,698)
Telecom Platform Services—loss on settlement of litigation (a)        (11,022)
Telecom Platform Services—gain on settlement of claim (b)        1,750 
Corporate—loss related to settlement (c)  (79)      
Corporate—other  (374)     100 
All Other—gain on insurance claim (d)  571       
All Other—other  67       
TOTAL $835  $9,251  $(15,870)

 

Telecom Platform Services

(a)On October 12, 2011, the Company entered into a binding term sheet with T-Mobile USA, Inc. (“T-Mobile”) to settle litigation related to an alleged breach of a wholesale supply agreement. In consideration of the settlement of all disputes between the parties, on October 13, 2011, the Company paid T-Mobile $10 million. The Company incurred legal fees of $1.0 million in fiscal 2012 in connection with this matter.
  
(b)On January 17, 2012, the Company received $1.8 million from Broadstripe, LLC in settlement of the Company’s claim stemming from Broadstripe, LLC’s rejection of its telephony services agreements with the Company upon the confirmation of Broadstripe, LLC’s bankruptcy plan and closing of its bankruptcy sale.

 

Corporate

(c)In fiscal 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.

 

All Other

(d)In fiscal 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 93 R60.htm IDEA: XBRL DOCUMENT v2.4.0.8
Property, Plant and Equipment - Schedule of Property, Plant and Equipment (Detail) (USD $)
In Thousands, unless otherwise specified
Jul. 31, 2014
Jul. 31, 2013
Property Plant And Equipment [Abstract]    
Equipment $ 438,899 $ 436,127
Land and buildings 53,895 51,294
Computer software 116,775 105,449
Leasehold improvements 42,190 45,141
Furniture and fixtures 6,249 6,187
Property, plant and equipment, gross 658,008 644,198
Less accumulated depreciation and amortization (576,248) (563,456)
Property, plant and equipment, net $ 81,760 $ 80,742
XML 94 R13.htm IDEA: XBRL DOCUMENT v2.4.0.8
Property, Plant and Equipment
12 Months Ended
Jul. 31, 2014
Property Plant And Equipment [Abstract]  
Property, Plant and Equipment

Note 5—Property, Plant and Equipment

 

Property, plant and equipment consist of the following:

 

July 31 
(in thousands)
 2014  2013 
Equipment $438,899  $436,127 
Land and buildings  53,895   51,294 
Computer software  116,775   105,449 
Leasehold improvements  42,190   45,141 
Furniture and fixtures  6,249   6,187 
   658,008   644,198 
Less accumulated depreciation and amortization  (576,248)  (563,456)
Property, plant and equipment, net $81,760  $80,742 

 

In fiscal 2013, the Company recorded an impairment charge of $4.4 million for the building and improvements that it owns at 520 Broad Street, Newark, New Jersey. The following facts and circumstances indicated that the fair value of the building and improvements may be less than their carrying value at that time: (1) the building was not occupied and, at the time, the Company did not expect to occupy it, (2) economic uncertainty and sluggish leasing activity stalled a recovery of the real estate market in Newark, (3) there were no potential tenants, (4) no sale of the building had been completed and there were no other likely buyers, (5) the building would be expensive to redevelop and (6) the building was expected to remain vacant for the foreseeable future. The Company determined the fair value of the building and improvements based on estimates of an owner/user’s market rental rate net of costs of improvements and tenant work as well as the estimated value to an investor/developer after deducting costs of improvements and costs to achieve full occupancy. This fair value measurement was classified as Level 2 of the fair value hierarchy.

 

In fiscal 2014, the Company began renovations of the first four floors of its 520 Broad Street building in order to move its personnel and offices currently located at 550 Broad Street, Newark, New Jersey to 520 Broad Street. The move is expected to occur during fiscal 2015. The Company also plans to lease or sell the office space on the other floors, although there are no potential tenants or buyers at this time. At both July 31, 2014 and 2013, the carrying value of the land, building and improvements at 520 Broad Street after the impairment charge was $37.7 million.

 

Depreciation and amortization expense of property, plant and equipment was $15.7 million, $14.3 million and $15.9 million in fiscal 2014, fiscal 2013 and fiscal 2012, respectively.

XML 95 R14.htm IDEA: XBRL DOCUMENT v2.4.0.8
Goodwill and Other Intangibles
12 Months Ended
Jul. 31, 2014
Goodwill and Other Intangibles [Abstract]  
Goodwill and Other Intangibles

Note 6—Goodwill and Other Intangibles

 

The table below reconciles the change in the carrying amount of goodwill by operating segment for the period from July 31, 2012 to July 31, 2014:

 

(in thousands) Telecom Platform
Services
  Zedge  Total 
Balance as of July 31, 2012 $11,407  $3,207  $14,614 
Foreign currency translation adjustments  193      193 
Balance as of July 31, 2013  11,600   3,207   14,807 
Foreign currency translation adjustments  23      23 
Balance as of July 31, 2014 $11,623  $3,207  $14,830 

 

The table below presents information on the Company’s other intangible assets:

 

(in thousands) Weighted
Average
Amortization
Period
  Gross
Carrying
Amount
  Accumulated
Amortization
  Net
Balance
 
July 31, 2014            
Amortized intangible assets:            
Trademarks and patents  4.7 years  $670  $(335) $335 
Technology and domain names  3.0 years   708   (68)  640 
Customer lists  6.5 years   3,154   (2,387)  767 
TOTAL  5.7 years  $4,532  $(2,790) $1,742 
July 31, 2013                
Amortized intangible assets:                
Trademarks and patents  4.7 years  $2,119  $(1,715) $404 
Customer lists  6.8 years   3,154   (2,168)  986 
TOTAL  6.0 years  $5,273  $(3,883) $1,390 

 

Amortization expense of intangible assets was $0.6 million, $0.6 million and $0.7 million in fiscal 2014, fiscal 2013 and fiscal 2012, respectively. The Company estimates that amortization expense of intangible assets with finite lives will be $0.5 million, $0.4 million, $0.3 million, $0.1 million and $0.1 million in fiscal 2015, fiscal 2016, fiscal 2017, fiscal 2018 and fiscal 2019, respectively.

XML 96 R16.htm IDEA: XBRL DOCUMENT v2.4.0.8
Revolving Credit Loan Payable
12 Months Ended
Jul. 31, 2014
Revolving Credit Loan Payable [Abstract]  
Revolving Credit Loan Payable

Note 8—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 July 31, 2014 and 2013, there was $13.0 million and $21.1 million, respectively, outstanding under the facility. The principal outstanding at July 31, 2014 and 2013 incurred interest at a rate of 1.65% and 1.69%, respectively, per annum. In August 2014, the Company repaid the $13.0 million loan payable. 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 July 31, 2014 and 2013, 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 $73.7 million and $46.4 million, respectively.

XML 97 R64.htm IDEA: XBRL DOCUMENT v2.4.0.8
Goodwill and Other Intangibles - Additional Information (Detail) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Goodwill and Other Intangibles [Abstract]      
Amortization expense $ 0.6 $ 0.6 $ 0.7
Amortization expense of intangible assets year one 0.5    
Amortization expense of intangible assets year two 0.4    
Amortization expense of intangible assets year three 0.3    
Amortization expense of intangible assets year four 0.1    
Amortization expense of intangible assets year five $ 0.1    
XML 98 R85.htm IDEA: XBRL DOCUMENT v2.4.0.8
Stock-Based Compensation - Additional Information (Detail) (USD $)
In Millions, except Share data, unless otherwise specified
1 Months Ended 12 Months Ended 1 Months Ended 12 Months Ended 1 Months Ended 12 Months Ended 1 Months Ended
Mar. 26, 2012
Mar. 31, 2012
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Sep. 30, 2014
Subsequent Event [Member]
Jul. 31, 2014
Stock Option [Member]
Sep. 24, 2012
Straight Path IP Group, Inc. [Member]
Jul. 31, 2013
Straight Path IP Group, Inc. [Member]
Aug. 31, 2013
Class B Common Stock [Member]
Mar. 26, 2012
Class B Common Stock [Member]
Nov. 22, 2011
Class B Common Stock [Member]
Dec. 31, 2011
Class B Common Stock [Member]
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]                          
Shares of common stock reserved for award under 2005 Stock Option and Incentive Plan     5,300,000                   1,100,000
Shares of common stock authorized for award under 2014 Stock Option and Incentive Plan           500,000              
Shares of common stock available for future grants     300,000                    
Stock option awards vesting period             3 years            
Stock option awards contractual term             10 years            
Weighted-average grant date fair value of options granted during the period         $ 4.97                
Total intrinsic value of options exercised during the period     $ 0.2 $ 0.2                  
Total unrecognized compensation cost     1.4                    
Total unrecognized compensation cost, Weighted-average period of recognization     2 years 2 months 12 days                    
Percentage of reduction in the exercise price                   15.29%   43.80%  
Fully vested outstanding options to purchase shares of Class B common stock                   32,155   500,000  
Stock option expiration period extended 3 years                        
Extension or replacement applied to options to purchase an aggregate shares of Class B common stock                     600,000    
Stock-based compensation expense   0.3             0.7        
Option holder shared ratably to purchase shares of Class B common stock                       50,000  
Total unrecognized compensation cost related to non-vested stock-based compensation arrangements     3.5                    
Total unrecognized compensation cost related to non-vested stock-based compensation arrangements, expected weighted-average period     10 months 24 days                    
Total grant date fair value of shares vested     $ 8.7 $ 3.5 $ 5.7                
Percentage of grant approved by the Board of Directors               10.00%          
XML 99 R66.htm IDEA: XBRL DOCUMENT v2.4.0.8
Other Operating Gains (Losses), Net - Summary of Other Operating Gains (Losses), Net by Business Segment (Parenthetical) (Detail) (USD $)
0 Months Ended 1 Months Ended 3 Months Ended 12 Months Ended
Jan. 17, 2012
Oct. 13, 2011
Apr. 30, 2013
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Other Operating Gains Loss Net Textual [Abstract]            
Payment for settlement of disputes to T-Mobile   $ 10,000,000        
Payment received on bankruptcy settlement 1,800,000          
Legal fees incurred with T-Mobile           1,000,000
Proceeds from insurance       571,000      
Loss on settlement of outstanding claims and disputes     9,600,000    [1]    [1] (11,022,000) [1]
NEW JERSEY
           
Other Operating Gains Loss Net Textual [Abstract]            
Gain on insurance claim       600,000    
Proceeds from insurance       600,000    
Former Chief Executive Officer of Straight Path Spectrum, Inc [Member]
           
Other Operating Gains Loss Net Textual [Abstract]            
Loss on settlement of outstanding claims and disputes       $ 100,000    
[1] On October 12, 2011, the Company entered into a binding term sheet with T-Mobile USA, Inc. ("T-Mobile") to settle litigation related to an alleged breach of a wholesale supply agreement. In consideration of the settlement of all disputes between the parties, on October 13, 2011, the Company paid T-Mobile $10 million. The Company incurred legal fees of $1.0 million in fiscal 2012 in connection with this matter.
XML 100 R63.htm IDEA: XBRL DOCUMENT v2.4.0.8
Goodwill and Other Intangibles - Schedule of Other Intangible Assets (Detail) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Indefinite-lived Intangible Assets [Line Items]    
Weighted Average Amortization Period 5 years 8 months 12 days 6 years
Gross Carrying Amount $ 4,532 $ 5,273
Accumulated Amortization (2,790) (3,883)
Net Balance 1,742 1,390
Intellectual Property [Member]
   
Indefinite-lived Intangible Assets [Line Items]    
Weighted Average Amortization Period 4 years 8 months 12 days 4 years 8 months 12 days
Gross Carrying Amount 670 2,119
Accumulated Amortization (335) (1,715)
Net Balance 335 404
Customer Lists [Member]
   
Indefinite-lived Intangible Assets [Line Items]    
Weighted Average Amortization Period 6 years 6 months 6 years 9 months 18 days
Gross Carrying Amount 3,154 3,154
Accumulated Amortization (2,387) (2,168)
Net Balance 767 986
Technology and domain names [Member]
   
Indefinite-lived Intangible Assets [Line Items]    
Weighted Average Amortization Period 3 years  
Gross Carrying Amount 708  
Accumulated Amortization (68)  
Net Balance $ 640  
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XML 103 R34.htm IDEA: XBRL DOCUMENT v2.4.0.8
Marketable Securities (Tables)
12 Months Ended
Jul. 31, 2014
Marketable Securities [Abstract]  
Summary of Marketable Securities

 

(in thousands) Amortized
Cost
  Gross
Unrealized
Gains
  Gross
Unrealized
Losses
  Fair Value 
July 31, 2014            
Available-for-sale securities:            
Certificates of deposit* $10,375  $  $  $10,375 
Equity securities  31      (9)  22 
Municipal bonds  2,475   1      2,476 
TOTAL $12,881  $1  $(9) $12,873 
July 31, 2013                
Available-for-sale securities:                
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

 

(in thousands) Fair Value 
Within one year $12,851 
After one year through five years   
After five years through ten years   
After ten years   
TOTAL $12,851 
XML 104 R51.htm IDEA: XBRL DOCUMENT v2.4.0.8
Description of Business and Summary of Significant Accounting Policies - Summary of Change in Allowance for Doubtful Accounts (Detail) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Receivables [Abstract]      
Allowance for doubtful accounts, Balance at beginning of year $ 13,079 $ 13,044 $ 15,364
Allowance for doubtful accounts, Additions charged to costs and expenses 500 2,743 2,098
Allowance for doubtful accounts, Deductions (2,072) [1] (2,708) [1] (4,418) [1]
Allowance for doubtful accounts, Balance at end of year $ 11,507 $ 13,079 $ 13,044
[1] Primarily uncollectible accounts written off, net of recoveries.
XML 105 R21.htm IDEA: XBRL DOCUMENT v2.4.0.8
Equity
12 Months Ended
Jul. 31, 2014
Equity [Abstract]  
Equity

Note 13—Equity

 

Class A Common Stock and Class B Common Stock

The rights of holders of Class A common stock and Class B common stock are identical except for certain voting and conversion rights and restrictions on transferability. The holders of Class A common stock and Class B common stock receive identical dividends per share when and if declared by the Company’s Board of Directors. In addition, the holders of Class A common stock and Class B common stock have identical and equal priority rights per share in liquidation. The Class A common stock and Class B common stock do not have any other contractual participation rights. The holders of Class A common stock are entitled to three votes per share and the holders of Class B common stock are entitled to one-tenth of a vote per share. Each share of Class A common stock may be converted into one share of Class B common stock, at any time, at the option of the holder. Shares of Class A common stock are subject to certain limitations on transferability that do not apply to shares of Class B common stock.

 

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.

 

In fiscal 2014, the Company paid aggregate cash dividends of $0.59 per share on its Class A common stock and Class B common stock, or $13.6 million in total. In fiscal 2013, the Company paid aggregate cash dividends of $0.75 per share on its Class A common stock and Class B common stock, or $17.1 million in total. In fiscal 2012, the Company paid aggregate cash dividends of $0.66 per share on its Class A common stock and Class B common stock, or $15.0 million in total.

 

On October 3, 2014, the Company paid a dividend of $0.17 per share for the fourth quarter of fiscal 2014 to holders of record of the Company’s Class A common stock and Class B common stock as of the close of business on September 29, 2014.

 

Stock Repurchases

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 fiscal 2014. In fiscal 2013, the Company repurchased 77,843 shares of Class B common stock for an aggregate purchase price of $0.8 million. In fiscal 2012, the Company repurchased 0.3 million shares of Class B common stock for an aggregate purchase price of $2.6 million. As of July 31, 2014, 5.1 million shares remained available for repurchase under the stock repurchase program.

 

Purchases of Stock of Subsidiary

In August 2013, Fabrix 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%.

 

In December 2012, a wholly-owned subsidiary of the Company purchased Fabrix shares 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.

 

Sales of Stock of Subsidiaries

On November 21, 2012, the Company’s 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%. On November 15, 2011, 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 11.1% from 11%. One of the limited partners in Shaman II, L.P. is a former employee of the Company.

 

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 18). In fiscal 2014, the Company increased its estimated liability for this obligation by $1.9 million, of which $1.6 million was recorded as a reduction of additional paid-in capital.

XML 106 R26.htm IDEA: XBRL DOCUMENT v2.4.0.8
Related Party Transactions
12 Months Ended
Jul. 31, 2014
Related Party Transactions [Abstract]  
Related Party Transactions

Note 18—Related Party Transactions

 

See Note 13 for a description of the Zedge transactions under “Sales of Stock of Subsidiaries.”

 

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 responsibilities of the Company and Straight Path 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, treasury, accounting, tax, external reporting, and legal. Straight Path transitioned accounting and external reporting services from the Company to a third party in the first quarter of fiscal 2015. In addition, the Company and Straight Path have entered into a license agreement whereby each of the Company, Straight Path and their 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:

 

Year ended July 31 
(in thousands)
 2014 
Balance at beginning of year $931 
Additional liability  1,930 
Payments  (1,001)
Balance at end of year $1,860 

 

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.

 

The Company’s selling, general and administrative expenses were reduced by $0.8 million in fiscal 2014 as a result of the fees the Company charged to Straight Path for services provided pursuant to the Transition Services Agreement. At July 31, 2014, other current assets reported in the Company’s consolidated balance sheet included receivables from Straight Path of $29,000.

 

The Company entered into various agreements with Genie prior to the Genie Spin-Off including a Separation and Distribution Agreement to effect the separation and provide a framework for the Company’s relationship with Genie after the spin-off, and a Transition Services Agreement, which provides for certain services to be performed by the Company and Genie to facilitate Genie’s transition into a separate publicly-traded company. These agreements provide for, among other things, (1) the allocation between the Company and Genie of employee benefits, taxes and other liabilities and obligations attributable to periods prior to the spin-off, (2) transitional services to be provided by the Company relating to human resources and employee benefits administration, (3) the allocation of responsibilities relating to employee compensation and benefit plans and programs and other related matters, (4) finance, accounting, tax, internal audit, facilities, external reporting, investor relations and legal services to be provided by the Company to Genie following the spin-off and (5) specified administrative services to be provided by Genie to certain of the Company’s foreign subsidiaries. In addition, the Company entered into a Tax Separation Agreement with Genie, which sets forth the responsibilities of the Company 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, the Company indemnifies Genie and Genie 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 Genie from all liability for the Company’s taxes with respect to any taxable period, and Genie indemnifies the Company 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.

 

The Company’s Chairman of the Board and former Chief Executive Officer, Howard S. Jonas, is the controlling stockholder and Chairman of the Board of Genie. The Company’s selling, general and administrative expenses were reduced by $3.1 million, $3.8 million and $2.7 million in fiscal 2014, fiscal 2013 and fiscal 2012, respectively, as a result of the fees the Company charged to Genie for services provided pursuant to the Transition Services Agreement, net of the amounts charged by Genie to the Company. At July 31, 2014 and 2013, other current assets reported in the Company’s consolidated balance sheet included receivables from Genie of $0.5 million and $0.6 million, respectively.

 

IDT Energy, Inc., a subsidiary of Genie, supplied electricity to the Company’s facilities in Piscataway, New Jersey, and Newark, New Jersey through January 2013. IDT Energy also supplied natural gas to the Company’s Newark, New Jersey building until April 2013, and IDT Energy supplies natural gas to the Company’s facility in Piscataway, New Jersey. In fiscal 2014, fiscal 2013 and fiscal 2012, IDT Energy, Inc. billed the Company $16,000, $21,000 and $0.5 million, respectively.

 

The Company provides office space, certain connectivity and other services to Jonas Media Group, a publishing firm owned by Howard Jonas. Billings for such services were $18,000, $27,000 and $29,000 in fiscal 2014, fiscal 2013 and fiscal 2012, respectively. The balance owed to the Company by Jonas Media Group was $4,000 and $6,000 as of July 31, 2014 and 2013, respectively.

 

The Company obtains insurance policies from several insurance brokers, one of which is IGM Brokerage Corp. (“IGM”). IGM was, until his death in October 2009, owned by Irwin Jonas, father of Howard Jonas, and the Company’s General Counsel, Joyce J. Mason. IGM is currently owned by Irwin Jonas’ widow—the mother of Howard Jonas and Joyce Mason. Jonathan Mason, husband of Joyce Mason and brother-in-law of Howard Jonas, provides insurance brokerage services via IGM. Based on information the Company received from IGM, the Company believes that (1) IGM received commissions and fees from payments made by the Company (including payments from third party brokers) in the aggregate amounts of $20,000 in fiscal 2014, $15,000 in fiscal 2013 and $19,000 in fiscal 2012, which fees and commissions inured to the benefit of Mr. Mason, and (2) the total payments made by the Company to IGM for various insurance policies were nil in fiscal 2014 and fiscal 2013, and $0.2 million in fiscal 2012. Neither Howard Jonas nor Joyce Mason has any ownership or other interest in IGM or the commissions paid to IGM other than via the familial relationships with their mother and Jonathan Mason.

 

Mason and Company Consulting, LLC (“Mason and Co.”), a company owned solely by Jonathan Mason, receives an annual fee for the insurance brokerage referral and placement of the Company’s health benefit plan with Brown & Brown Metro, Inc. Based on information the Company received from Jonathan Mason, the Company believes that Mason and Co. received from Brown & Brown Metro, Inc. commissions and fees from payments made by the Company in the amount of $18,000 in fiscal 2014, $24,000 in fiscal 2013 and $20,000 in fiscal 2012. Neither Howard Jonas nor Joyce Mason has any ownership or other interest in Mason and Co. or the commissions paid to Mason and Co., other than via the familial relationships with Jonathan Mason.

 

Since August 2009, IDT Domestic Telecom, Inc., a subsidiary of the Company, has leased space in a building in the Bronx, New York. Howard Jonas and Shmuel Jonas, the Company’s Chief Executive Officer, and the son of Howard Jonas, are members of the limited liability company that owns the building. IDT Domestic Telecom rented office, storage and parking space for two years for $0.1 million per year and incurred costs of $0.1 million to build-out the space. In August 2009, the limited liability company was paid an aggregate of $0.3 million for the lease and the build-out costs. The initial lease expired at the end of April 2012. For the six month period from May 1, 2012 to October 31, 2012, IDT Domestic Telecom was charged aggregate rent of $34,512. The parties entered into a new lease, which became effective November 1, 2012 and has a one-year term, with a one-year renewal option for IDT Domestic Telecom with the same terms. Aggregate annual rent under the new lease is $69,025.

  

The Company had net loans receivable outstanding from employees aggregating $0.2 million as of July 31, 2014 and 2013, which are included in “Other current assets” in the accompanying consolidated balance sheets.

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Business Segment Information - Revenue from External Customers by Geographic Areas (Detail)
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Outside of the United States[Member]
     
Revenue, Major Customer [Line Items]      
Percentage of revenue from external customers 30.00% 23.00% 29.00%
United Kingdom [Member]
     
Revenue, Major Customer [Line Items]      
Percentage of revenue from external customers 19.00% 13.00% 14.00%
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Description of Business and Summary of Significant Accounting Policies - Summary of Weighted-Average Number of Shares used in Calculation of Basic and Diluted Earnings Per Share (Detail)
In Thousands, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Summary of Weighted-Average Number of Shares used in Calculation of Basic and Diluted Earnings Per Share [Abstract]      
Basic weighted-average number of shares 22,009 20,876 20,717
Stock options 92 9   
Non-vested restricted Class B common stock 836 1,430 1,343
Diluted weighted-average number of shares 22,937 22,315 22,060
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Other (Expense) Income, Net (Tables)
12 Months Ended
Jul. 31, 2014
Other (Expense) Income, Net [Abstract]  
Schedule of Other Income (Expense), Net

 

Year ended July 31
(in thousands)
 2014  2013  2012 
Foreign currency transaction (losses) gains $(5,883) $2,538  $(2,859)
Gain on investments  1,218   2,664   1,172 
Gain on modification and early termination of note payable     238    
Gain on sales of buildings and other assets     11   197 
Other  (35)  (68)  (277)
TOTAL $(4,700) $5,383  $(1,767)
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Consolidated Statements of Comprehensive Income (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Statement Of Income And Comprehensive Income [Abstract]      
Net income $ 21,010 $ 13,444 $ 38,785
Other comprehensive income (loss):      
Change in unrealized (loss) gain on available-for-sale securities (8) (1) 4
Foreign currency translation adjustments 1,335 2,092 (2,272)
Other comprehensive income (loss) 1,327 2,091 (2,268)
COMPREHENSIVE INCOME 22,337 15,535 36,517
Comprehensive income attributable to noncontrolling interests (2,226) (1,789) (256)
COMPREHENSIVE INCOME ATTRIBUTABLE TO IDT CORPORATION $ 20,111 $ 13,746 $ 36,261
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Commitments and Contingencies - Future Minimum Payments for Operating Leases (Detail) (USD $)
In Thousands, unless otherwise specified
Jul. 31, 2014
Year ending July 31:  
2015 $ 2,801
2016 1,383
2017 1,146
2018 934
2019 812
Thereafter 235
Total payments $ 7,311
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Discontinued Operations
12 Months Ended
Jul. 31, 2014
Discontinued Operations [Abstract]  
Discontinued Operations

Note 2—Discontinued Operations

 

Straight Path Communications, Inc.

On July 31, 2013, the Company completed a pro rata distribution of the common stock of the Company’s subsidiary, Straight Path Communications Inc., to the Company’s stockholders of record as of the close of business on July 25, 2013. 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.

 

Genie Energy Ltd.

On October 28, 2011, the Company completed a pro rata distribution of the common stock of the Company’s subsidiary, Genie Energy Ltd., to the Company’s stockholders of record as of the close of business on October 21, 2011. At the time of the Genie Spin-Off, Genie owned 99.3% of Genie Energy International Corporation, which owned 100% of IDT Energy and 92% of Genie Oil and Gas, Inc. As of October 28, 2011, each of the Company’s stockholders received one share of Genie Class A common stock for every share of the Company’s Class A common stock and one share of Genie Class B common stock for every share of the Company’s Class B common stock held of record as of the close of business on October 21, 2011. Genie and 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 received a ruling from the Internal Revenue Service (“IRS”) substantially to the effect that, for U.S. federal income tax purposes, the distribution of shares of Genie common stock will qualify as tax-free for Genie, the Company and the Company’s stockholders under Section 355 of the Code. In addition to obtaining the IRS ruling, the Company received an opinion from PricewaterhouseCoopers LLP on the three requirements for a tax-free distribution that are not addressed in the IRS ruling. Specifically, the opinion concludes 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 Genie Spin-Off, the Company funded Genie with a total of $106.0 million in aggregate cash and cash equivalents, including restricted cash.

 

IDT Entertainment

In connection with the sale of IDT Entertainment to Liberty Media Corporation in the first quarter of fiscal 2007, the Company was eligible to receive additional consideration from Liberty Media based upon any appreciation in the value of IDT Entertainment over the five-year period that ended in August 2011, however, the Company may have been required to pay Liberty Media up to $3.5 million if the value of IDT Entertainment did not exceed a certain amount by August 2011. In September 2011, the Company and Liberty Media executed an agreement to settle and resolve all claims related to the additional consideration and certain other disputes and claims. Liberty Media paid the Company $2.0 million in September 2011 in consideration for the settlement and related releases, which is included in “Income on sale of discontinued operations” in fiscal 2012 in the accompanying consolidated statement of income.

 

Summary Financial Data of Discontinued Operations

Revenues, income before income taxes and net income (loss) of Straight Path and Genie, which are included in discontinued operations, were as follows:

 

Year ended July 31 
(in thousands)
 2014  2013  2012 
REVENUES         
Straight Path $  $1,130  $553 
Genie        45,796 
TOTAL $  $1,130  $46,349 
(LOSS) INCOME BEFORE INCOME TAXES            
Straight Path $  $(4,621) $4,862 
Genie        2,609 
TOTAL $  $(4,621) $7,471 
NET (LOSS) INCOME            
Straight Path $  $(4,634) $4,836 
Genie        1,015 
TOTAL $  $(4,634) $5,851 
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Fair Value Measurements - Summary of Assets Measured at Fair Value on Recurring Basis (Detail) (USD $)
In Thousands, unless otherwise specified
Jul. 31, 2014
Jul. 31, 2013
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Available-for-sale securities $ 12,873 $ 9,684
Fair Value, Measurements, Recurring [Member]
   
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Available-for-sale securities 12,873 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      
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 12,873 9,684
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      
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Stock-Based Compensation - Schedule of Risk Free Rate Based on U.S. Treasury Yield Curve Effect at Time of Grant (Detail)
12 Months Ended
Jul. 31, 2012
Stock-Based Compensation [Abstract]  
Average risk-free interest rate 1.46%
Expected dividend yield 4.60%
Expected volatility 66.80%
Expected term 6 years 7 months 6 days
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Notes Payable - Schedule of Notes Payable (Parenthetical) (Detail) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Jun. 24, 2009
Notes Due June 2012 [Member]
   
Debt Instrument [Line Items]    
Debt instrument face value $ 1.2 $ 1.2
Debt Instruments Maturity Period 2012  
Debt instrument stated interest rate percentage   0.76%
Percentage of interest acquired   49.00%
Secured Term Loan Due September 2015 [Member]
   
Debt Instrument [Line Items]    
Debt instrument face value 11.0  
Debt Instruments Maturity Period 2015  
Debt instrument stated interest rate percentage 5.60%  
Debt instrument periodic payment 0.1  
Reduction in the final balloon payment $ 6.4  
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Defined Contribution Plans
12 Months Ended
Jul. 31, 2014
Defined Contribution Plans [Abstract]  
Defined Contribution Plans
Note 19—Defined Contribution Plans
 
The Company maintains a 401(k) Plan available to all employees meeting certain eligibility criteria. The Plan permits participants to contribute up to 20% of their salary, not to exceed the limits established by the Internal Revenue Code. The Plan provides for discretionary matching contributions of 50%, up to the first 6% of compensation. The discretionary matching contributions vest over the first five years of employment. The Plan permits the discretionary matching contributions to be granted as of December 31 of each year. All contributions made by participants vest immediately into the participant’s account. In fiscal 2014, fiscal 2013 and fiscal 2012, the Company’s cost for contributions to the Plan was $1.1 million, $1.1 million and $0.9 million, respectively. In fiscal 2014, fiscal 2013 and fiscal 2012, the Company contributed 72,281 shares, 51,861 shares and 92,843 shares, respectively, of the Company’s Class B common stock to the Plan for matching contributions. The Company’s Class A common stock and Class B common stock are not investment options for the Plan’s participants.
 
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Income Taxes - Schedule of Income (loss) from Continuing Operations Before Income Taxes (Detail) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Income Tax Disclosure [Abstract]      
Domestic $ 21,624 $ 44,355 $ 9,573
Foreign 3,368 (10,405) (21,421)
Income (loss) from continuing operations before income taxes $ 24,992 $ 33,950 $ (11,848)
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Other Operating Gains (Losses), Net (Tables)
12 Months Ended
Jul. 31, 2014
Other (Expense) Income, Net [Abstract]  
Schedule of Other Operating Gains Net

Year ended July 31 
(in thousands)
 2014  2013  2012 
Telecom Platform Services—gains (losses) related to legal matters, net $650  $9,251  $(6,698)
Telecom Platform Services—loss on settlement of litigation (a)        (11,022)
Telecom Platform Services—gain on settlement of claim (b)        1,750 
Corporate—loss related to settlement (c)  (79)      
Corporate—other  (374)     100 
All Other—gain on insurance claim (d)  571       
All Other—other  67       
TOTAL $835  $9,251  $(15,870)

 

XML 120 R20.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes
12 Months Ended
Jul. 31, 2014
Income Tax Disclosure [Abstract]  
Income Taxes

Note 12—Income Taxes

 

The components of income (loss) from continuing operations before income taxes are as follows:

 

Year ended July 31
(in thousands)
 2014  2013  2012 
Domestic $21,624  $44,355  $9,573 
Foreign  3,368   (10,405)  (21,421)
INCOME (LOSS) FROM CONTINUING OPERATIONS BEFORE INCOME TAXES $24,992  $33,950  $(11,848)

 

Significant components of the Company’s deferred income tax assets consist of the following:

 

July 31
(in thousands)
 2014  2013 
Deferred income tax assets:        
Bad debt reserve $2,188  $2,812 
Accrued expenses  2,937   7,096 
Stock options and restricted stock  2,131   2,786 
Charitable contributions  1,230   2,415 
Impairment  25,745   25,566 
Depreciation  7,566   989 
Unrealized gain  163   507 
Net operating loss  126,093   144,001 
Credits  3,123   2,845 
Total deferred income tax assets  171,176   189,017 
Valuation allowance  (151,975)  (167,328)
DEFERRED INCOME TAX ASSETS, NET $19,201  $21,689 

 

The (provision for) benefit from income taxes consists of the following:

 

Year ended July 31
(in thousands)
 2014  2013  2012 
Current:            
Federal $(279) $671  $1,652 
State and local     148   2,503 
Foreign  (1,177)  (1,431)  1,741 
   (1,456)  (612)  5,896 
Deferred:            
Federal  (6,461)  (14,181)  36,166 
State and local  (175)  (1,079)  764 
Foreign  4,110      (44)
   (2,526)  (15,260)  36,886 
(PROVISION FOR) BENEFIT FROM INCOME TAXES $(3,982) $(15,872) $42,782 

 

The benefit from income taxes in fiscal 2012 was primarily due to the $36.9 million reversal of a portion of the Company’s valuation allowance in the United States. In fiscal 2012, the Company determined that it was more likely than not that a portion of its deferred income tax assets would be realized, therefore the valuation allowance related to those assets was reversed. The Company based its determination on a projection of future U.S. income and took into consideration the historical U.S. performance and decided a partial release of the U.S. valuation that relates to the core businesses was warranted in that period. Assumptions regarding future taxable income require significant analysis and judgment. This analysis included financial forecasts based on historical performance of the core business and continuance of doing business in a jurisdiction in which losses were incurred. Based on its projections, the Company expected that it would generate future taxable income over the next five years in the U.S. jurisdiction and will begin utilizing its net operating loss carryover through this period. Accordingly, the Company concluded that a portion of its U.S. jurisdiction core business assets did not require a full valuation allowance. In fiscal 2013 and fiscal 2014, the Company updated the analysis and concluded that the valuation allowance related to its core U.S. business should be maintained at the current level and will be reevaluated as warranted. In addition, in fiscal 2014, the Company determined that its valuation allowance on the losses of IDT Global, a U.K. subsidiary, were no longer required due to an internal reorganization that generated income and a projection that the income would continue. The Company recorded a benefit from income taxes of $4.1 million from the full recognition of the IDT Global deferred tax assets.

 

The Company did not release any of the valuation allowances that related to its former Straight Path Spectrum business since it was not part of the main tax consolidated group and the portion of the Net2Phone acquired net operating loss that is subject to Internal Revenue Code Section 382 limitations (see below). The Company did not release any of the valuation allowances related to its foreign operations in fiscal 2013 or fiscal 2012 as it was not more likely than not that the assets will be utilized based upon the earnings history and the profitability projections. Both the loss and valuation allowance that were part of the Straight Path Spin-Off are reflected as reductions in the total amounts in the deferred income tax assets, net table above.

  

The differences between income taxes expected at the U.S. federal statutory income tax rate and income taxes provided are as follows:

 

Year ended July 31
(in thousands)
 2014  2013  2012 
U.S. federal income tax at statutory rate $(8,747) $(11,883) $4,147 
Valuation allowance  4,110      41,961 
Foreign tax rate differential  961   (5,073)  (5,800)
Nondeductible expenses  761   714   (26)
Other  7   50    
Prior year tax (expense) benefit  (960)  921   2,500 
State and local income tax, net of federal benefit  (114)  (601)   
(PROVISION FOR) BENEFIT FROM INCOME TAXES $(3,982) $(15,872) $42,782 

 

At July 31, 2014, the Company had federal and state net operating loss carryforwards of approximately $168 million. This carry-forward loss is available to offset future U.S. federal and state taxable income. The net operating loss carryforwards will start to expire in fiscal 2014, with fiscal 2009’s loss expiring in fiscal 2030. The Company has foreign net operating losses of approximately $200 million, of which approximately $143 million does not expire and approximately $57 million expires in two to ten years. These foreign net operating losses are available to offset future taxable income in the countries in which the losses were incurred. The Company’s subsidiary, Net2Phone, which provides voice over Internet protocol communications services, has additional federal net operating losses of approximately $84 million, which will expire through fiscal 2027. With the reacquisition of Net2Phone by the Company in March 2006, its losses were limited under Internal Revenue Code Section 382 to approximately $7 million per year. The net operating losses do not include any excess benefits related to stock options or restricted stock.

 

The Company has not recorded U.S. income tax expense for foreign earnings, as such earnings are permanently reinvested outside the United States. The cumulative undistributed foreign earnings are included in accumulated deficit in the Company’s consolidated balance sheets, and consisted of approximately $270 million at July 31, 2014. Upon distribution of these foreign earnings to the Company’s domestic entities, the Company may be subject to U.S. income taxes and withholding of foreign taxes, however, it is not practicable to determine the amount, if any, which would be paid.

 

The change in the valuation allowance is as follows:

 

Year ended July 31
(in thousands)
 Balance at
beginning of
year
  Additions
charged to
costs and
expenses
  Deductions  Balance at
end of year
 
2014            
Reserves deducted from deferred income taxes, net:                
Valuation allowance $167,328  $  $(15,353) $151,975 
2013                
Reserves deducted from deferred income taxes, net:                
Valuation allowance $204,977  $462  $(38,111) $167,328 
2012                
Reserves deducted from deferred income taxes, net:                
Valuation allowance $206,669  $41,925  $(43,617) $204,977 

 

The table below summarizes the change in the balance of unrecognized income tax benefits:

 

Year ended July 31
(in thousands)
 2014  2013  2012 
Balance at beginning of year $356  $  $3,754 
Additions based on tax positions related to the current year         
Additions for tax positions of prior years     356    
Reductions for tax positions of prior years         
Settlements  (356)     (3,754)
Lapses of statutes of limitations         
Balance at end of year $  $356  $ 

 

Settlements of $3.8 million in fiscal 2012 were primarily due to an agreement on certain state tax positions and the related payment of the taxes due, as well as the settlement of a foreign audit.

 

In fiscal 2014, fiscal 2013 and fiscal 2012, the Company did not record any interest and penalties on income taxes. As of July 31, 2014 and 2013, there was no accrued interest included in current income taxes payable.

 

The Company currently remains subject to examinations of its tax returns as follows: U.S. federal tax returns for fiscal 2011 to fiscal 2014, state and local tax returns generally for fiscal 2010 to fiscal 2014 and foreign tax returns generally for fiscal 2010 to fiscal 2014.

 

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Related Party Transactions - Additional Information (Detail) (USD $)
1 Months Ended 6 Months Ended 12 Months Ended
Oct. 31, 2012
Aug. 31, 2009
Oct. 31, 2012
Jul. 31, 2014
Jul. 31, 2013
Jul. 31, 2012
Related Party Transaction [Line Items]            
Amount billed for electricity supplied and natural gas       $ 16,000 $ 21,000 $ 500,000
Number of years office rented   2 years        
Annual rent payment 69,025 100,000 34,512      
Construction cost to build out space   100,000        
Lease and build out cost payment   300,000        
Lease expiration date   Apr. 30, 2012        
Lease period 1 year          
Lease renewal period 1 year          
Outstanding net loan receivable from employees       200,000 200,000  
Straight Path [Member]
           
Related Party Transaction [Line Items]            
Reduction of selling, general and administrative expense       800,000    
Receivable from subsidiaries included in other current assets       29,000    
Jonas Media Group [Member]
           
Related Party Transaction [Line Items]            
Receivable from subsidiaries included in other current assets       4,000 6,000  
Rent received for office space, connectivity and other services       18,000 27,000 29,000
IGM Brokerage Corp [Member]
           
Related Party Transaction [Line Items]            
Commissions and fees from payment by company       20,000 15,000 19,000
Insurance Payment made by the Company            200,000
Genie and Subsidiaries [Member]
           
Related Party Transaction [Line Items]            
Reduction of selling, general and administrative expense       3,100,000 3,800,000 2,700,000
Receivable from subsidiaries included in other current assets       500,000 600,000  
Mason and Company [Member]
           
Related Party Transaction [Line Items]            
Commissions and fees from payment by company       $ 18,000 $ 24,000 $ 20,000