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Note 12 - Long-Term Debt (Tables)
9 Months Ended
Mar. 30, 2014
Disclosure Text Block [Abstract]  
Schedule of Long-term Debt Instruments [Table Text Block]
    Scheduled    

Weighted Average Interest Rate as of 

   

Principal Amounts as of

 
   

 Maturity Date

   

March 30, 2014

   

March 30, 2014

   

June 30, 2013

 

ABL Revolver

 

March 2019

      3.4%     $ 25,400     $ 52,500  

ABL Term Loan

 

March 2019

      3.1%       68,000       42,800  

Term loan from unconsolidated affiliate

 

August 2015

      3.0%       1,250       1,250  

Capital lease obligations

      (1)       (2)     3,861       1,203  

Total debt

                    98,511       97,753  

Current portion of long-term debt

                    (4,905 )     (65 )

Total long-term debt

                  $ 93,606     $ 97,688  
Schedule of Maturities of Long-term Debt [Table Text Block]
   

Scheduled Maturities on a Fiscal Year Basis

         
   

2014

   

2015

   

2016

   

2017

   

2018

   

Thereafter

 

ABL Revolver

  $     $     $     $     $     $ 25,400  

ABL Term Loan

          6,375       8,500       8,500       8,500       36,125  

Term loan from unconsolidated affiliate

                1,250                    

Capital lease obligations

    162       661       681       634       558       1,165  

Total debt

  $ 162     $ 7,036     $ 10,431     $ 9,134     $ 9,058     $ 62,690  
Deferred Financing Costs, Capitalized, Non-current Disclosure [Table Text Block]
   

March 30, 2014

 

Balance at beginning of year

  $ 2,117  

Amounts recorded related to debt modification

    330  

Amortization charged to interest expense

    (317 )

Balance at end of period

  $ 2,130  
Interest Income and Interest Expense Disclosure [Table Text Block]
   

For the Three Months Ended

   

For the Nine Months Ended

 
   

March 30, 2014

   

March 24, 2013

   

March 30, 2014

   

March 24, 2013

 

Interest on ABL Facility

  $ 785     $ 1,007     $ 2,450     $ 2,747  

Interest on Term B Loan

          43             722  

Amortization of debt financing fees

    105       157       317       486  

Marked to market adjustment for interest rate swap

    (99 )     (103 )     (107 )     (177 )

Reclassification adjustment for interest rate swap

    133       106       433       198  

Interest capitalized to property, plant and equipment, net

    (39 )           (122 )      

Other

    77       26       146       65  

Total interest expense

  $ 962     $ 1,236     $ 3,117     $ 4,041  
Schedule of Extinguishment of Debt [Table Text Block]
   

For the Three Months Ended

   

For the Nine Months Ended

 
   

March 30, 2014

   

March 24, 2013

   

March 30, 2014

   

March 24, 2013

 

Prepayment call premium and other costs for Term B Loan

  $     $ 470     $     $ 671  

Non-cash charges due to write-off of debt financing fees

          276             431  

Loss on extinguishment of debt

  $     $ 746     $     $ 1,102