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Selected Balance Sheet Accounts (Tables)
9 Months Ended
Sep. 30, 2014
Selected Balance Sheet Accounts [Abstract]  
Property and equipment
    September 30,     December 31,  
    2014     2013  
    (in thousands)  
Computer software and hardware and capitalized internal use software   $ 12,782     $ 11,924  
Furniture and equipment     1,271       1,256  
Leasehold improvements     957       937  
      15,010       14,117  
Less – Accumulated depreciation and amortization     (13,118 )     (12,569 )
Property and equipment, net   $ 1,892     $ 1,548  
Intangible assets amortized over the estimated useful lives
        September 30, 2014     December 31, 2013  
Intangible Asset   Estimated Useful Life   Gross     Accumulated Amortization     Net     Gross     Accumulated Amortization     Net  
Trademarks/trade names/licenses/domains   5 years   $ 6,581     $ (5,495 )   $ 1,086     $ 5,582     $ (5,209 )   $ 373  
Software and publications   3 years     1,300       (1,300 )           1,300       (1,300 )      
Customer relationships   2-5 years     5,074       (2,495 )     2,579       2,320       (1,926 )     394  
Employment/non-compete agreements   5 years     700       (458 )     242       610       (335 )     275  
Developed technology   5 years     820       (164 )     656       820       (41 )     779  
        $ 14,475     $ (9,912 )   $ 4,563     $ 10,632     $ (8,811 )   $ 1,821  
Amortization expense for the remainder of the year and for the next four years
Year   Amortization Expense  
    (in thousands)  
2014   $ 382  
2015     1,394  
2016     942  
2017     926  
2018     879  
2019     32  
    $ 4,555  
Goodwill
Goodwill as of December 31, 2013   $ 13,602  
Acquisition of AutoUSA     7,346  
Goodwill as of September 30, 2014   $ 20,948  
Accrued expenses and other current liabilities
    September 30,     December 31,  
    2014     2013  
    (in thousands)  
Compensation and related costs   $ 3,533     $ 3,540  
Professional fees and other accrued expenses     3,526       3,209  
Amounts due to customers     250       208  
Other current liabilities     670       692  
Total accrued expenses and other current liabilities   $ 7,979     $ 7,649