0001104659-13-077985.txt : 20131025 0001104659-13-077985.hdr.sgml : 20131025 20131025160110 ACCESSION NUMBER: 0001104659-13-077985 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 11 CONFORMED PERIOD OF REPORT: 20130930 FILED AS OF DATE: 20131025 DATE AS OF CHANGE: 20131025 FILER: COMPANY DATA: COMPANY CONFORMED NAME: OSI SYSTEMS INC CENTRAL INDEX KEY: 0001039065 STANDARD INDUSTRIAL CLASSIFICATION: SEMICONDUCTORS & RELATED DEVICES [3674] IRS NUMBER: 330238801 STATE OF INCORPORATION: DE FISCAL YEAR END: 0630 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 000-23125 FILM NUMBER: 131170880 BUSINESS ADDRESS: STREET 1: 12525 CHADRON AVE CITY: HAWTHORNE STATE: CA ZIP: 90250 BUSINESS PHONE: 3109780516 MAIL ADDRESS: STREET 1: 12525 CHADRON AVENUE CITY: HAWTHORNE STATE: CA ZIP: 90250 10-Q 1 a13-20248_110q.htm 10-Q

 

 

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, D.C. 20549

 


 

FORM 10-Q

 


 

(Mark One)

 

x

QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

 

For the quarterly period ended September 30, 2013

 

OR

 

o

TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

 

For the transition period from              to             

 

Commission File Number 000-23125

 


 

OSI SYSTEMS, INC.

(Exact name of registrant as specified in its charter)

 


 

Delaware

 

33-0238801

(State or other jurisdiction of

 

(I.R.S. Employer

incorporation or organization)

 

Identification No.)

 

12525 Chadron Avenue

Hawthorne, California 90250

(Address of principal executive offices) (Zip Code)

 

(310) 978-0516

(Registrant’s telephone number, including area code)

 

N/A

(Former name, former address and former fiscal year, if changed since last report)

 


 

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 x No o

 

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 x No o

 

Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer or a smaller reporting company. See the definitions of “large accelerated filer,” “accelerated filer” and “smaller reporting company” in Rule 12b-2 of the Exchange Act.

 

Large accelerated filer x

 

Accelerated filer o

 

 

 

Non-accelerated filer o

 

Smaller reporting company o

(Do not check if a smaller reporting company)

 

 

 

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

 

As of October 23, 2013, there were 20,053,538 shares of the Registrant’s common stock par value $0.001 per share outstanding.

 

 

 



 

OSI SYSTEMS, INC.

 

INDEX

 

 

 

PAGE

PART I —

FINANCIAL INFORMATION

3

Item 1 —

Condensed Consolidated Financial Statements

3

 

Condensed Consolidated Balance Sheets at June 30, 2013 and September 30, 2013

3

 

Condensed Consolidated Statements of Operations for the three months ended September 30, 2012 and 2013

4

 

Condensed Consolidated Statements of Comprehensive Income for the three months ended September 30, 2012 and 2013

5

 

Condensed Consolidated Statements of Cash Flows for the three months ended September 30, 2012 and 2013

6

 

Notes to Condensed Consolidated Financial Statements

7

Item 2 —

Management’s Discussion and Analysis of Financial Condition and Results of Operations

16

Item 3 —

Quantitative and Qualitative Disclosures about Market Risk

21

Item 4 —

Controls and Procedures

22

 

 

 

PART II — OTHER INFORMATION

23

Item 1 —

Legal Proceedings

23

Item 1A —

Risk Factors

23

Item 2 —

Unregistered Sales of Equity Securities and Use of Proceeds

23

Item 3 —

Defaults Upon Senior Securities

23

Item 4 —

Mine Safety Disclosures

23

Item 5 —

Other Information

23

Item 6 —

Exhibits

23

Signatures

 

23

 



 

PART I. FINANCIAL INFORMATION

 

ITEM 1. CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

 

OSI SYSTEMS, INC. AND SUBSIDIARIES

CONDENSED CONSOLIDATED BALANCE SHEETS

(in thousands, except share amounts)

(Unaudited)

 

 

 

June 30,

 

September 30,

 

 

 

2013

 

2013

 

ASSETS

 

 

 

 

 

Current assets:

 

 

 

 

 

Cash and cash equivalents

 

$

34,697

 

$

37,186

 

Accounts receivable, net

 

206,817

 

205,283

 

Inventories

 

206,213

 

228,007

 

Prepaid expenses and other current assets

 

78,972

 

77,151

 

Total current assets

 

526,699

 

547,627

 

Property and equipment, net

 

249,029

 

249,406

 

Goodwill

 

83,743

 

91,018

 

Intangible assets, net

 

36,603

 

40,289

 

Other assets

 

23,722

 

24,442

 

Total assets

 

$

919,796

 

$

952,782

 

 

 

 

 

 

 

LIABILITIES AND STOCKHOLDERS’ EQUITY

 

 

 

 

 

Current liabilities:

 

 

 

 

 

Bank lines of credit

 

$

59,000

 

$

79,000

 

Current portion of long-term debt

 

1,797

 

2,956

 

Accounts payable

 

97,050

 

97,334

 

Accrued payroll and related expenses

 

28,503

 

26,432

 

Advances from customers

 

37,432

 

42,979

 

Accrued warranties

 

12,890

 

13,359

 

Deferred revenue

 

18,131

 

15,549

 

Other accrued expenses and current liabilities

 

26,610

 

28,311

 

Total current liabilities

 

281,413

 

305,920

 

Long-term debt

 

10,673

 

12,273

 

Advances from customers

 

75,000

 

68,750

 

Other long-term liabilities

 

74,259

 

81,449

 

Total liabilities

 

441,345

 

468,392

 

Commitments and contingencies (Note 8)

 

 

 

 

 

Stockholders’ equity:

 

 

 

 

 

Preferred stock, $0.001 par value, 10,000,000 shares authorized; no shares issued or outstanding

 

 

 

Common stock, $0.001 par value, 100,000,000 shares authorized; 19,914,089 shares issued and outstanding at June 30, 2013 and 20,053,538 shares at September 30, 2013

 

285,001

 

283,146

 

Retained earnings

 

199,786

 

206,180

 

Accumulated other comprehensive loss

 

(6,336

)

(4,936

)

Total stockholders’ equity

 

478,451

 

484,390

 

Total liabilities and stockholders’ equity

 

$

919,796

 

$

952,782

 

 

See accompanying notes to condensed consolidated financial statements.

 

3



 

OSI SYSTEMS, INC. AND SUBSIDIARIES

CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS

(in thousands, except per share data)

(Unaudited)

 

 

 

For the Three Months Ended
September 30,

 

 

 

2012

 

2013

 

Net revenues:

 

 

 

 

 

Products

 

$

148,864

 

$

143,476

 

Services

 

32,830

 

62,798

 

Total net revenues

 

181,694

 

206,274

 

Cost of goods sold:

 

 

 

 

 

Products

 

98,932

 

103,593

 

Services

 

21,407

 

34,735

 

Total cost of goods sold

 

120,339

 

138,328

 

Gross profit

 

61,355

 

67,946

 

Operating expenses:

 

 

 

 

 

Selling, general and administrative

 

39,925

 

42,214

 

Research and development

 

11,316

 

11,020

 

Restructuring and other charges

 

 

4,239

 

Total operating expenses

 

51,241

 

57,473

 

Income from operations

 

10,114

 

10,473

 

Interest and other expense, net

 

(1,097

)

(1,470

)

Income before income taxes

 

9,017

 

9,003

 

Provision for income taxes

 

2,678

 

2,609

 

Net income

 

$

6,339

 

$

6,394

 

 

 

 

 

 

 

Net income per share:

 

 

 

 

 

Basic

 

$

0.32

 

$

0.32

 

Diluted

 

$

0.31

 

$

0.31

 

Shares used in per share calculation:

 

 

 

 

 

Basic

 

19,906

 

19,971

 

Diluted

 

20,571

 

20,620

 

 

See accompanying notes to condensed consolidated financial statements.

 

4



 

OSI SYSTEMS, INC. AND SUBSIDIARIES

CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME

(amounts in thousands)

(Unaudited)

 

 

 

For the Three Months Ended
September 30,

 

 

 

2012

 

2013

 

Net income

 

$

6,339

 

$

6,394

 

Other comprehensive income (loss):

 

 

 

 

 

Foreign currency translation adjustment

 

5,311

 

1,308

 

Other

 

(454

)

92

 

Other comprehensive income

 

4,857

 

1,400

 

Comprehensive income

 

$

11,196

 

$

7,794

 

 

See accompanying notes to condensed consolidated financial statements.

 

5



 

OSI SYSTEMS, INC. AND SUBSIDIARIES

CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS

(amounts in thousands)

(Unaudited)

 

 

 

For the Three Months Ended
September 30,

 

 

 

2012

 

2013

 

Cash flows from operating activities:

 

 

 

 

 

Net income

 

$

6,339

 

$

6,394

 

Adjustments to reconcile net income to net cash provided by operating activities:

 

 

 

 

 

Depreciation and amortization

 

4,907

 

12,873

 

Stock based compensation expense

 

3,533

 

5,638

 

Provision for losses on accounts receivable

 

294

 

23

 

Equity in earnings of unconsolidated affiliates

 

(13

)

(30

)

Deferred income taxes

 

140

 

72

 

Other

 

1

 

128

 

Changes in operating assets and liabilities—net of business acquisitions:

 

 

 

 

 

Accounts receivable

 

11,190

 

6,305

 

Inventories

 

2,286

 

(16,092

)

Prepaid expenses and other assets

 

2,318

 

832

 

Accounts payable

 

28,055

 

(3,151

)

Accrued payroll and related expenses

 

(4,656

)

(2,308

)

Advances from customers

 

(8,954

)

(708

)

Accrued warranties

 

(831

)

77

 

Deferred revenue

 

(2,077

)

(3,145

)

Other accrued expenses and liabilities

 

(155

)

(661

)

Net cash provided by operating activities

 

42,377

 

6,247

 

Cash flows from investing activities:

 

 

 

 

 

Acquisition of property and equipment

 

(62,718

)

(7,971

)

Acquisition of businesses

 

(1,897

)

(9,302

)

Acquisition of intangible and other assets

 

(1,416

)

(1,756

)

Net cash used in investing activities

 

(66,031

)

(19,029

)

Cash flows from financing activities:

 

 

 

 

 

Net borrowings on bank lines of credit

 

 

20,000

 

Proceeds from long-term debt

 

11,100

 

2,769

 

Payments on long-term debt

 

(55

)

(805

)

Proceeds from exercise of stock options and employee stock purchase plan

 

2,951

 

1,501

 

Repurchase of common shares

 

(835

)

(1,514

)

Taxes paid related to net share settlement of equity awards

 

(8,596

)

(7,481

)

Net cash provided by financing activities

 

4,565

 

14,470

 

Effect of exchange rate changes on cash

 

1,344

 

801

 

Net increase (decrease) in cash and cash equivalents

 

(17,745

)

2,489

 

Cash and cash equivalents-beginning of period

 

91,452

 

34,697

 

Cash and cash equivalents-end of period

 

$

73,707

 

$

37,186

 

Supplemental disclosure of cash flow information:

 

 

 

 

 

Cash paid, net during the period for:

 

 

 

 

 

Interest

 

$

129

 

$

1,174

 

Income taxes

 

$

1,450

 

$

4,001

 

 

See accompanying notes to condensed consolidated financial statements.

 

6



 

OSI SYSTEMS, INC. AND SUBSIDIARIES

NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

(Unaudited)

 

1. Basis of Presentation

 

Description of Business

 

OSI Systems, Inc., together with its subsidiaries (the “Company”), is a vertically integrated designer and manufacturer of specialized electronic systems and components for critical applications and provider of security screening services. The Company sells its products and services in diversified markets, including homeland security, healthcare, defense and aerospace.

 

The Company has three reporting segments: (i) Security, providing security inspection systems, turnkey security screening solutions and related services; (ii) Healthcare, providing patient monitoring, diagnostic cardiology and anesthesia systems, and related services and (iii) Optoelectronics and Manufacturing, providing specialized electronic components and electronic manufacturing services for the Security and Healthcare divisions as well as to external original equipment manufacturing clients for applications in the defense, aerospace, medical and industrial markets, among others.

 

Through its Security division, the Company designs, manufactures and markets security inspections systems and security screening, threat detection and non-intrusive inspection products and related services globally. These products fall into the following categories: baggage and parcel inspection systems; cargo and vehicle inspection systems; hold (checked) baggage screening systems; people screening systems and radiation detection systems. In addition to these products, the Company provides site design, installation, training and technical support services to its customers. The Company also provides turnkey security screening solutions, which can include the construction, staffing and long term operation of security screening checkpoints for its customers.

 

Through its Healthcare division, the Company designs, manufactures and markets patient monitoring, diagnostic cardiology and anesthesia delivery and ventilation systems, and related services worldwide. These products are used by care providers in critical care, emergency and perioperative areas within hospitals as well as physicians’ offices, medical clinics and ambulatory surgery centers.

 

Through its Optoelectronics and Manufacturing division, the Company designs, manufactures and markets optoelectronic devices and provides electronics manufacturing services worldwide for use in a broad range of applications, including aerospace and defense electronics, security and inspection systems, medical imaging and diagnostic products, telecommunications, test and measurement devices, industrial automation systems, automotive diagnostic products and consumer products. This division provides products and services to original equipment manufacturers and end users as well as to the Company’s own Security and Healthcare divisions.

 

Basis of Presentation

 

The condensed consolidated financial statements include the accounts of OSI Systems, Inc. and its subsidiaries. All significant intercompany accounts and transactions have been eliminated in consolidation. The condensed consolidated financial statements have been prepared by the Company, without audit, pursuant to interim financial reporting guidelines and the rules and regulations of the Securities and Exchange Commission. Certain information and footnote disclosures normally included in annual financial statements prepared in accordance with accounting principles generally accepted in the United States of America have been condensed or omitted pursuant to such rules and regulations. In the opinion of the Company’s management, the condensed consolidated financial statements include all adjustments, consisting of only normal and recurring adjustments, necessary for a fair presentation of the financial position and the results of operations for the periods presented. These condensed consolidated financial statements and the accompanying notes should be read in conjunction with the audited consolidated financial statements and accompanying notes included in the Company’s Annual Report on Form 10-K for the fiscal year ended June 30, 2013, filed with the Securities and Exchange Commission on August 16, 2013. The results of operations for the three months ended September 30, 2013 are not necessarily indicative of the operating results to be expected for the full 2014 fiscal year or any future periods.

 

Per Share Computations

 

The Company computes basic earnings per share by dividing net income available to common stockholders by the weighted average number of common shares outstanding during the period. The Company computes diluted earnings per share by dividing net income available to common stockholders by the sum of the weighted average number of common and dilutive potential common shares outstanding. Potential common shares consist of the shares issuable upon the exercise of stock options and stock awards or units under the treasury stock method.  There were no stock options or stock awards or units excluded from the calculations for the three months ended September 30, 2012 or September 30, 2013.

 

7



 

The following table sets forth the computation of basic and diluted earnings per share (in thousands, except per share amounts):

 

 

 

Three Months Ended
September 30,

 

 

 

2012

 

2013

 

Net income for diluted earnings per share calculation

 

$

6,339

 

$

6,394

 

 

 

 

 

 

 

Weighted average shares for basic earnings per share calculation

 

19,906

 

19,971

 

Dilutive effect of stock awards

 

665

 

649

 

Weighted average shares for diluted earnings per share calculation

 

20,571

 

20,620

 

 

 

 

 

 

 

Basic net income per share

 

$

0.32

 

$

0.32

 

Diluted net income per share

 

$

0.31

 

$

0.31

 

 

Cash Equivalents

 

The Company considers all highly liquid investments purchased with maturities of approximately three months or less as of the acquisition date to be cash equivalents.

 

Fair Value of Financial Instruments

 

The Company’s financial instruments consist primarily of cash, marketable securities, derivative instruments, accounts receivable, accounts payable and debt instruments. The carrying values of financial instruments, other than debt instruments, are representative of their fair values due to their short-term maturities. The carrying values of the Company’s long-term debt instruments are considered to approximate their fair values because the interest rates of these instruments are variable or comparable to current rates offered to the Company.

 

Fair value 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. “Level 1” category includes assets and liabilities at the quoted prices in active markets for identical assets and liabilities.  “Level 2” category includes assets and liabilities from observable inputs other than quoted market prices. “Level 3” category includes assets and liabilities whose valuation techniques are unobservable and significant to the fair value measurement.  There were no assets or liabilities where “Level 3” valuation techniques were used, and there were no assets and liabilities measured at fair value on a non-recurring basis.

 

The following is a summary of the inputs used in valuing investments carried at fair value (in thousands):

 

 

 

Level 1

 

Level 2

 

June 30,
2013

 

Level 1

 

Level 2

 

September 30,
2013

 

Equity securities

 

316

 

 

316

 

304

 

 

304

 

Insurance company contracts

 

 

13,914

 

13,914

 

 

14,978

 

14,978

 

Interest rate contract

 

 

66

 

66

 

 

39

 

39

 

Total

 

$

316

 

$

13,980

 

$

14,296

 

$

304

 

$

15,017

 

$

15,321

 

 

Derivative Instruments and Hedging Activity

 

The Company’s use of derivatives consists primarily of foreign exchange contracts and interest rate swap agreements. As of September 30, 2013, the Company had outstanding foreign currency forward contracts of approximately $4.0 million.  The foreign exchange contracts do not meet the criteria as an effective cash flow hedge.  Therefore, the net gain (loss) from these contracts is reported in Interest and other expense, net in the condensed consolidated statement of operations.  The interest rate swap agreement was entered into to improve the predictability of cash flows from interest payments related to variable, LIBOR-based debt for the duration of the term loan.

 

8



 

An interest rate swap matures in October 2019.  The interest rate swap is considered an effective cash flow hedge, and, as a result, the net gains or losses on such instrument were reported as a component of Other comprehensive income in the condensed consolidated financial statements and are reclassified as net income when the hedge transaction settles.

 

Revenue Recognition

 

The Company recognizes revenue from sales of products upon shipment when title and risk of loss passes, and when terms are fixed and collection is probable. Revenue from services includes after-market services, installation and implementation of products, and turnkey security screening services. The portion of revenue for the sale attributable to installation is deferred and recognized when the installation service is provided. In an instance where terms of sale include subjective customer acceptance criteria, revenue is deferred until the Company has achieved the acceptance criteria. Concurrent with the shipment of the product, the Company accrues estimated product return reserves and warranty expenses. Critical judgments made by management related to revenue recognition include the determination of whether or not customer acceptance criteria are perfunctory or inconsequential. The determination of whether or not customer acceptance terms are perfunctory or inconsequential impacts the amount and timing of revenue recognized. Critical judgments also include estimates of warranty reserves, which are established based on historical experience and knowledge of the product under warranty.

 

Revenue from certain turnkey services agreements is included in revenue from services and is recognized based upon proportional performance, measured by the actual number of hours incurred divided by the total estimated number of hours for the project. The impact of changes in the estimated hours to service the agreement is reflected in the period during which the change becomes known.

 

Revenues from out of warranty service maintenance contracts are recognized ratably over the term of such contract. For services not derived from specific maintenance contracts, revenues are recognized as the services are performed. Deferred revenue for such services arises from payments received from customers for services not yet performed. On occasion, the Company receives advances from customers that are amortized against future customer payments pursuant to the underlying agreements. Such advances are classified in the condensed consolidated balance sheets as either a current or long term liability dependent upon when the Company estimates the corresponding amortization to occur.

 

Business Combinations

 

During the normal course of business the Company makes acquisitions.  In the event that an individual acquisition (or an aggregate of acquisitions) is material, appropriate disclosure of such acquisition activity is disclosed.  During the three months ended September 30, 2013, the Company completed acquisitions that were immaterial both individually and in the aggregate.

 

2. Balance Sheet Details

 

The following tables provide details of selected balance sheet accounts (in thousands):

 

 

 

June 30,
2013

 

September 30,
2013

 

Accounts receivable

 

 

 

 

 

Billed receivables

 

$

179,458

 

$

164,005

 

Unbilled receivables

 

34,636

 

47,261

 

Less allowance for doubtful accounts

 

(7,277

)

(5,983

)

Total

 

$

206,817

 

$

205,283

 

 

Unbilled receivables included earned but unbilled revenue that was billed and collected subsequent to the quarter-end.

 

 

 

June 30,
2013

 

September 30,
2013

 

Inventories

 

 

 

 

 

Raw materials

 

$

117,416

 

$

120,799

 

Work-in-process

 

37,337

 

49,579

 

Finished goods

 

51,460

 

57,629

 

Total

 

$

206,213

 

$

228,007

 

 

 

 

June 30,
2013

 

September 30,
2013

 

Property and equipment, net

 

 

 

 

 

Land

 

$

8,365

 

$

8,365

 

Buildings and improvements

 

102,187

 

140,650

 

Leasehold improvements

 

9,302

 

9,787

 

Equipment and tooling

 

135,437

 

145,054

 

Furniture and fixtures

 

3,551

 

3,884

 

Computer equipment

 

14,309

 

16,019

 

Computer software

 

15,209

 

15,422

 

Construction in process

 

48,713

 

11,017

 

Total

 

337,073

 

350,198

 

Less: accumulated depreciation and amortization

 

(88,044

)

(100,792

)

Property and equipment, net

 

$

249,029

 

$

249,406

 

 

9



 

Construction in process consists primarily of costs related to infrastructure in Mexico that will be depreciated when assets are placed into service.

 

During the three months ended September 30, 2012 and 2013, depreciation expense was approximately $3.7 million and $11.5 million, respectively.

 

3. Goodwill and Intangible Assets

 

The changes in the carrying value of goodwill for the three-month period ended September 30, 2013 are as follows (in thousands):

 

 

 

Security
Division

 

Healthcare
Division

 

Optoelectronics
and
Manufacturing
Division

 

Consolidated

 

Balance as of June 30, 2013

 

$

28,546

 

$

35,827

 

$

19,370

 

$

83,743

 

Goodwill acquired or adjusted during the period

 

 

1,018

 

5,573

 

6,591

 

Foreign currency translation adjustment

 

142

 

175

 

367

 

684

 

Balance as of September 30, 2013

 

$

28,688

 

$

37,020

 

$

25,310

 

$

91,018

 

 

Intangible assets consisted of the following (in thousands):

 

 

 

 

 

June 30, 2013

 

September 30, 2013

 

 

 

Weighted
Average
Lives

 

Gross
Carrying
Value

 

Accumulated
Amortization

 

Intangibles
Net

 

Gross
Carrying
Value

 

Accumulated
Amortization

 

Intangibles
Net

 

Amortizable assets:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Software development costs

 

5 years

 

$

17,350

 

$

5,396

 

$

11,954

 

$

18,590

 

$

5,913

 

$

12,677

 

Patents

 

13 years

 

5,400

 

635

 

4,765

 

5,821

 

668

 

5,153

 

Core technology

 

10 years

 

2,058

 

1,728

 

330

 

2,161

 

1,868

 

293

 

Developed technology

 

10 years

 

20,002

 

14,620

 

5,382

 

15,611

 

10,643

 

4,968

 

Customer relationships/backlog

 

8 years

 

9,178

 

5,624

 

3,554

 

11,305

 

5,985

 

5,320

 

Total amortizable assets

 

 

 

53,988

 

28,003

 

25,985

 

53,488

 

25,077

 

28,411

 

Non-amortizable assets:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Trademarks

 

 

 

10,618

 

 

10,618

 

11,878

 

 

11,878

 

Total intangible assets

 

 

 

$

64,606

 

$

28,003

 

$

36,603

 

$

65,366

 

$

25,077

 

$

40,289

 

 

Amortization expense related to intangibles assets was $1.2 million and $1.4 million for the three months ended September 30, 2012 and 2013, respectively. At September 30, 2013, the estimated future amortization expense was as follows (in thousands):

 

Fiscal Years

 

 

 

 

 

 

 

2014 (remaining 9 months)

 

$

2,817

 

2015

 

2,554

 

2016

 

2,025

 

2017

 

1,682

 

2018

 

1,573

 

2019

 

1,471

 

2020 and thereafter, including assets that have not yet begun to be amortized

 

16,289

 

Total

 

$

28,411

 

 

10



 

Software development costs for software products incurred before establishing technological feasibility are charged to operations. Software development costs incurred after establishing technological feasibility are capitalized on a product by product basis until the product is available for general release to customers at which time amortization begins. Annual amortization, charged to cost of goods sold, is the greater of (i) the amount computed using the ratio that current gross revenues for a product bear to the total current and anticipated future gross revenues for that product and (ii) the straight line method over the remaining estimated economic life of the product. Amortizable assets that have not yet begun to be amortized are included in thereafter in the table above. During the three months ended September 30, 2012 and 2013, the Company capitalized software development costs in the amount of $1.5 million and $1.2 million, respectively.

 

4. Borrowings

 

The Company has a $425 million credit agreement maturing November 2016. The credit agreement consists of a $425 million revolving credit facility, including a $375 million sub-limit for letters of credit. The Company has the ability to increase the facility by $100 million under certain circumstances. Borrowings under this facility bear interest at the London Interbank Offered Rate (LIBOR) plus a margin of 1.5% as of September 30, 2013. This margin is determined by the Company’s consolidated leverage ratio and may range from 1.5% to 2.0%. Letters of credit reduce the amount available to borrow by their face value. The unused portion of the facility bears a commitment fee of 0.25%. The Company’s borrowings under the credit agreement are guaranteed by the Company’s U.S.-based subsidiaries and are secured by substantially all of the Company’s and certain subsidiaries’ assets. The agreement contains various representations and warranties, affirmative and negative and financial covenants, and events of default customary for financing agreements of this type. As of September 30, 2013, there was $79.0 million outstanding under the revolving credit facility and $120.4 million outstanding under the letters-of-credit sub-facility.

 

Several of the Company’s foreign subsidiaries maintain bank lines-of-credit, denominated in local currencies, to meet short-term working capital requirements and for the issuance of letters-of-credit. As of September 30, 2013, $5.3 million was outstanding under these letter-of-credit facilities, while no debt was outstanding. As of September 30, 2013, the total amount available under these credit facilities was $40.8 million, with a total cash borrowing sub-limit of $3.2 million.

 

In September 2012, the Company entered into a term loan agreement for $11.1 million to fund the acquisition of land and a building in the state of Washington.  The loan, which bears interest at LIBOR plus 1.25%, is payable on a monthly basis over seven years.  Concurrent with entering into the floating rate loan, the Company entered into an interest rate swap agreement that effectively locks the interest rate of the loan to 2.2% per annum for the term of the loan.

 

Long-term debt consisted of the following (in thousands):

 

 

 

June 30,
2013

 

September 30,
2013

 

Term loans

 

$

12,470

 

$

12,138

 

Other long-term debt

 

 

3,091

 

 

 

12,470

 

15,229

 

Less current portion of long-term debt

 

1,797

 

2,956

 

Long-term portion of debt

 

$

10,673

 

$

12,273

 

 

5.  Restructuring and Other Charges

 

The following table summarizes the restructuring and other charges (in thousands):

 

 

 

Security
Division

 

Healthcare
Division

 

Optoelectronics
and
Manufacturing
Division

 

Corporate

 

Consolidated

 

Accrued balance as of June 30, 2013

 

$

1,043

 

$

1,639

 

$

66

 

 

$

2,748

 

Expensed during the period:

 

 

 

 

 

 

 

 

 

 

 

Facility closure costs related to a facility relocation(1)

 

 

2,009

 

 

 

2,009

 

Employee termination costs related to facility consolidations(2)

 

 

 

637

 

 

637

 

Charges related to contract settlement(3)

 

1,593

 

 

 

 

1,593

 

Total expensed during the period

 

1,593

 

2,009

 

637

 

 

4,239

 

Paid during the period

 

1,378

 

639

 

228

 

 

2,245

 

Accrued balance as of September 30, 2013

 

$

1,258

 

$

3,009

 

$

475

 

 

$

4,742

 

 


(1)         The facility relocation began in fiscal 2013 and was completed during the first quarter of fiscal 2014.

(2)         The facility consolidations began in the first quarter of fiscal 2014 and are expected to be completed during the remainder of the fiscal year.

(3)         This relates to further costs related to a contract settlement with the Transportation Security Administration (TSA) entered into in fiscal 2013, including costs for removal, storage and refurbishing costs for products previously sold to the TSA, and legal costs.

 

11



 

6. Stock-based Compensation

 

As of September 30, 2013, the Company maintained two share-based employee compensation plans (the “OSI Plans”): the 2012 Incentive Award Plan (“2012 Plan”) and the 2006 Equity Participation Plan (“2006 Plan”).

 

The Company recorded stock-based compensation expense in the condensed consolidated statements of operations as follows (in thousands):

 

 

 

Three Months Ended
September 30,

 

 

 

2012

 

2013

 

Cost of goods sold

 

$

136

 

$

269

 

Selling, general and administrative

 

3,332

 

5,303

 

Research and development

 

63

 

66

 

Stock-based compensation expense before taxes

 

$

3,531

 

$

5,638

 

Less: related income tax benefit

 

1,335

 

2,174

 

Stock-based compensation expense, net of estimated taxes

 

$

2,196

 

$

3,464

 

 

As of September 30, 2013, total unrecognized compensation cost related to share-based compensation grants were estimated at $1.9 million for stock options and $29.9 million for restricted stock and Restricted Stock Units (“RSU”) under the OSI Plans.  The Company expects to recognize these costs over a weighted-average period of 1.8 years with respect to the options and 1.9 years for grants of restricted stock and RSU’s.

 

The following summarizes stock option activity during the three months ended September 30, 2013:

 

 

 

Number of
Options

 

Weighted-
Average
Exercise
Price

 

Weighted-Average
Remaining Contractual
Term

 

Aggregate
Intrinsic Value
(in thousands)

 

Outstanding at June 30, 2013

 

1,019,733

 

$

26.33

 

 

 

 

 

Granted

 

6,500

 

$

69.88

 

 

 

 

 

Exercised

 

(1,169

)

$

39.97

 

 

 

 

 

Expired or forfeited

 

(330

)

$

54.50

 

 

 

 

 

Outstanding at September 30, 2013

 

1,024,734

 

$

26.58

 

6.4 years

 

$

48,983

 

Exercisable at September 30, 2013

 

826,793

 

$

20.67

 

5.9 years

 

$

43,269

 

 

A summary of restricted stock and restricted stock unit award activity during the three months ended September 30, 2013 was as follows:

 

 

 

Shares

 

Weighted-
Average
Fair Value

 

Nonvested at June 30, 2013

 

627,124

 

$

43.13

 

Granted

 

312,398

 

63.45

 

Vested

 

(231,359

)

40.72

 

Forfeited

 

(1,429

)

47.94

 

Nonvested at September 30, 2013

 

706,734

 

$

52.95

 

 

As of September 30, 2013, there were 3,308,870 shares available for grant under the 2012 Plan.  Under the terms of that plan, restricted stock and RSU’s granted from the pool of shares available for grant on or after December 12, 2012 reduce the pool by 1.87 shares for each share granted.  Restricted stock and RSU’s forfeited and returned to the pool of shares available for grant increase the pool by 1.87 shares for each share forfeited.

 

The Company granted 178,500 performance-based awards during the three months ended September 30, 2012 and 160,922 performance-based units during the three months ended September 30, 2013 respectively. These performance-based restricted stock awards and units are contingent on the achievement of certain financial performance metrics. The payout can range from zero to 250% of the original number of shares awarded or units awarded, which are converted into shares of the Company’s common stock.

 

12



 

7. Retirement Benefit Plans

 

The Company sponsors various retirement benefit plans including qualified and nonqualified defined benefit pension plans for its employees. The components of net periodic pension expense are as follows (in thousands):

 

 

 

Three Months Ended
September 30,

 

 

 

2012

 

2013

 

Service cost

 

$

278

 

$

293

 

Amortization of prior service cost

 

230

 

202

 

Net periodic pension expense

 

$

508

 

$

495

 

 

For each of the three months ended September 30, 2012 and 2013, the Company made contributions of $0.1 million to these defined benefit plans.

 

In addition, the Company maintains various defined contribution plans. For each of the three months ended September 30, 2012 and 2013, the Company made contributions of $1.0 million to these defined contribution plans.

 

8. Commitments and Contingencies

 

Legal Proceedings

 

The Company is involved in various claims and legal proceedings arising in the ordinary course of business. In the Company’s opinion after consultation with legal counsel, the ultimate disposition of such proceedings is not likely to have a material adverse effect on its business, financial condition, results of operations or cash flows.  The Company has not accrued for loss contingencies relating to such matters because the Company believes that, although unfavorable outcomes in the proceedings may be possible, they are not considered by management to be probable or reasonably estimable. If one or more of these matters are resolved in a manner adverse to the Company, the impact on the Company’s business, financial condition, results of operations and/or liquidity could be material.

 

Contingent Acquisition Obligations

 

Under the terms and conditions of the purchase agreements associated with certain acquisitions, the Company may be obligated to make additional payments based on the achievement by the acquired operations of certain sales or profitability milestones. The maximum amount of such future payments under arrangements with contingent consideration caps is $52 million as of September 30, 2013. In addition, one of the purchase agreements the Company entered into requires royalty payments through 2022 based on the license of, or sales of products containing the technology of CXR Limited, a company acquired in 2004. For acquisitions that occurred prior to fiscal year 2010, the Company accounts for such contingent payments as an addition to the purchase price of the acquired business. Otherwise, the estimated fair value of these obligations is recorded as a liability in the Condensed Consolidated Balance Sheets with subsequent revisions reflected in the Condensed Consolidated Statements of Operations. As of June 30, 2013 and September 30, 2013, $15.4 million and $21.4 million of contingent payment obligations, respectively, are included in Other long term liabilities in the accompanying condensed consolidated balance sheets.

 

Advances from Customers

 

The Company receives advances from customers associated with certain projects.  In fiscal 2012, the Company entered into an agreement with the Mexican government to provide a turnkey security screening solution along the country’s borders, and in its ports and airports.  Associated with the agreement, the Company was provided an advance totaling $100 million.  The Company is obligated to provide a guarantee until the advance has been amortized.  As of September 30, 2013, $95.8 million of this advance remains outstanding.

 

13



 

Environmental Contingencies

 

The Company is subject to various environmental laws. The Company’s practice is to conduct appropriate environmental investigations for each of its properties in the United States at which the Company manufactures products in order to identify, as of the date of such report, potential areas of environmental concern related to past and present activities or from nearby operations. In certain cases, the Company has conducted further environmental assessments consisting of soil and groundwater testing and other investigations deemed appropriate by independent environmental consultants.

 

During one investigation, the Company discovered soil and groundwater contamination at its Hawthorne, California facility that the Company believes was the result of unspecified historical releases prior to our occupancy. This site had been used since the mid 1960’s by other companies for semiconductor manufacturing similar to our present operations and was part of a large aircraft manufacturing complex during World War II. It is not presently known when the releases occurred or by whom they were caused. The groundwater contamination is a known regional problem, not limited to our premises or our immediate surroundings. The Company filed the requisite reports concerning this problem with the appropriate environmental authorities in fiscal 2001. We were recently contacted by the local governing agency with a request to provide additional historical information and further characterization of the site. Historical reports and site characterization work plans were completed in fiscal 2013 and further site characterization studies, including soil and groundwater investigations, are scheduled for fiscal 2014. These studies are necessary to determine the extent of the on-site releases and if any remediation of such contamination will be required.

 

The Company has not accrued for loss contingencies relating to the Hawthorne facility or any other environmental matters because it believes that, although unfavorable outcomes may be possible, they are not considered by the Company’s management to be probable and reasonably estimable. If one or more of environmental matters are resolved in a manner adverse to the Company, the impact on the Company’s business, financial condition, results of operations, financial position and/or liquidity could be material.

 

Indemnifications

 

In the normal course of business, the Company has agreed to indemnify certain parties with respect to certain matters. The Company has agreed to hold certain parties harmless against losses arising from a breach of representations or covenants, or out of intellectual property infringement or other claims made by third parties. These agreements may limit the time within which an indemnification claim can be made and the amount of the claim. In addition, the Company has entered into indemnification agreements with its officers and directors. It is not possible to determine the maximum potential amount under these indemnification agreements due to the limited history of prior indemnification claims and the unique facts and circumstances involved in each particular agreement. The Company has not recorded any liability for costs related to indemnification as of September 30, 2013.

 

Product Warranties

 

The Company offers its customers warranties on many of the products that it sells. These warranties typically provide for repairs and maintenance of the products if problems arise during a specified time period after original shipment. Concurrent with the sale of products, the Company records a provision for estimated warranty expenses with a corresponding increase in cost of goods sold. The Company periodically adjusts this provision based on historical experience and anticipated expenses. The Company charges actual expenses of repairs under warranty, including parts and labor, to this provision when incurred.

 

The following table presents changes in warranty provisions (in thousands):

 

 

 

Three Months Ended
 September 30,

 

 

 

2012

 

2013

 

Balance at beginning of period

 

$

17,562

 

$

12,890

 

Additions and adjustments

 

709

 

1,254

 

Reductions for warranty repair costs

 

(1,352

)

(785

)

Balance at end of period

 

$

16,919

 

$

13,359

 

 

9. Income Taxes

 

The provision for income taxes is determined using an effective tax rate that is subject to fluctuations during the year as new information is obtained.  The assumptions used to estimate the annual effective tax rate includes factors such as the mix of pre-tax earnings in the various tax jurisdictions in which the Company operates, valuation allowances against deferred tax assets, increases or decreases in uncertain tax positions, utilization of research and development tax credits, changes in or the interpretation of tax laws in jurisdictions where the Company conducts business and certain tax elections. The Company recognizes deferred tax assets and liabilities for temporary differences between the financial reporting basis and the tax basis of its assets and liabilities along with net operating loss and tax credit carryovers. The Company records a valuation allowance against its deferred tax assets to reduce the net carrying value to an amount that it believes is more likely than not to be realized. When the Company establishes or reduces the valuation allowance against its deferred tax assets, the provision for income taxes will increase or decrease, respectively, in the period such determination is made.

 

14



 

10. Segment Information

 

The Company has determined that it operates in three identifiable industry segments, (a) security and inspection systems (Security division), (b) medical monitoring and anesthesia systems (Healthcare division) and (c) optoelectronic devices and manufacturing (Optoelectronics and Manufacturing division). The Company also has a corporate segment (Corporate) that includes executive compensation and certain other general and administrative expenses, expenses related to stock issuances’ and legal and audit and other professional service fees not allocated to product segments. Both the Security and Healthcare divisions comprise primarily end-user businesses, while the Optoelectronics and Manufacturing division primarily supplies components and subsystems to original equipment manufacturers, including to the Security and Healthcare divisions. Sales between divisions are at transfer prices that approximate market values.  All other accounting policies of the segments are the same as described in Note 1, Summary of Significant Accounting Policies of the Form 10-K for the fiscal year ended June 30, 2013.

 

The following tables present the operations and identifiable assets by industry segment (in thousands):

 

 

 

Three Months Ended
September 30,

 

 

 

2012

 

2013

 

Revenues — by Segment:

 

 

 

 

 

Security division

 

$

82,916

 

$

97,153

 

Healthcare division

 

51,581

 

45,787

 

Optoelectronics and Manufacturing division, including intersegment revenues

 

57,147

 

71,311

 

Intersegment revenues elimination

 

(9,950

)

(7,977

)

Total

 

$

181,694

 

$

206,274

 

 

 

 

Three Months Ended
September 30,

 

 

 

2012

 

2013

 

Operating income (loss) — by Segment:

 

 

 

 

 

Security division

 

$

4,465

 

$

11,622

 

Healthcare division

 

3,881

 

(1,998

)

Optoelectronics and Manufacturing division

 

4,833

 

4,765

 

Corporate

 

(3,249

)

(4,045

)

Eliminations(1)

 

184

 

129

 

Total

 

$

10,114

 

$

10,473

 

 

 

 

June 30,
 2013

 

September 30,
 2013

 

Assets — by Segment:

 

 

 

 

 

Security division

 

$

499,539

 

$

512,063

 

Healthcare division

 

190,963

 

175,757

 

Optoelectronics and Manufacturing division

 

158,584

 

190,861

 

Corporate

 

75,496

 

78,758

 

Eliminations(1)

 

(4,786

)

(4,657

)

Total

 

$

919,796

 

$

952,782

 

 


(1)      Eliminations within operating income primarily reflect the change in the elimination of intercompany profit in inventory not-yet-realized. Eliminations in assets reflect the amount of intercompany profits in inventory as of the balance sheet date. Such intercompany profit will be realized when inventory is shipped to the external customers of the Security and Healthcare divisions.

 

15



 

ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION AND RESULTS OF OPERATIONS

 

In this report, “OSI”, the “Company”, “we”, “us”, “our” and similar terms refer to OSI Systems, Inc. and wholly-owned subsidiaries.

 

This management’s discussion and analysis of financial condition as of September 30, 2013 and results of operations for the three-months ended September 30, 2012 and 2013 should be read in conjunction with management’s discussion and analysis of financial condition and results of operations included in our Annual Report on Form 10-K for the year ended June 30, 2013.

 

Forward-Looking Statements

 

Certain statements contained in this Quarterly Report on Form 10-Q that are not related to historical results, including, without limitation, statements regarding our business strategy, objectives and future financial position, are forward-looking statements within the meaning of the Private Securities Litigation Reform Act of 1995, Section 27A of the Securities Act of 1933, as amended, and Section 21E of the Securities Exchange Act of 1934, as amended, and involve risks and uncertainties. These forward-looking statements may be identified by the use of forward-looking terms such as “anticipate,” “believe,” “expect,” “may,” “could,” “likely to,” “should,” or “will,” or by discussions of strategy that involve predictions which are based upon a number of future conditions that ultimately may prove to be inaccurate. Statements in this Quarterly Report on Form 10-Q that are forward-looking are based on current expectations and actual results may differ materially. These forward-looking statements should be considered in light of various important factors, including the following: the impact of global and regional economic and credit market conditions; the potential impact of the recent shutdown of the U.S. federal government and the ongoing debates related to the U.S. budget and debt ceiling; healthcare reform legislation in the United States and its impact on healthcare spending; timing and success of product development and market acceptance of developed products; regulatory approvals, clearances and restrictions; unanticipated manufacturing disruptions; and other risk factors.  Further, forward-looking statements involve numerous risks and uncertainties described in this Quarterly Report on Form 10-Q, our Annual Report on Form 10-K and other documents previously filed or hereafter filed by us from time to time with the Securities and Exchange Commission. Such factors, of course, do not include all factors that might affect our business and financial condition. Although we believe that the assumptions upon which our forward-looking statements are based are reasonable, such assumptions could prove to be inaccurate and actual results could differ materially from those expressed in or implied by the forward-looking statements. All forward-looking statements contained in this Quarterly Report on Form 10-Q are qualified in their entirety by this statement. We undertake no obligation other than as may be required under securities laws to publicly update or revise any forward-looking statements, whether as a result of new information, future events or otherwise.

 

Executive Summary

 

We are a vertically integrated designer and manufacturer of specialized electronic systems and components for critical applications, and provider of screening services.  We sell our products and provide related services in diversified markets, including homeland security, healthcare, defense and aerospace. We have three operating divisions: (i) Security, (ii) Healthcare and (iii) Optoelectronics and Manufacturing.

 

Security Division. Through our Security division, we design, manufacture and market security and inspection systems worldwide for sale primarily to U.S. and foreign government agencies, and provide turnkey security screening solutions. These products and services are used to inspect baggage, cargo, vehicles and other objects for weapons, explosives, drugs and other contraband as well as to screen people. Revenues from our Security division accounted for 46% and 47% of our total consolidated revenues for the three months ended September 30, 2012 and 2013, respectively.

 

As a result of the terrorist attacks of September 11, 2001, and subsequent attacks in other locations worldwide, security and inspection products have increasingly been used at a wide range of facilities other than airports, such as border crossings, railway stations, seaports, cruise line terminals, freight forwarding operations, sporting venues, government and military installations and nuclear facilities.  We believe that our wide-ranging product portfolio together with our ability to provide turnkey screening solutions position us to competitively pursue security and inspection opportunities as they arise throughout the world.

 

Currently, the U.S. federal budget environment is one of continued uncertainty.  Significant uncertainty continues to exist regarding the potential impact of the recent shutdown of the U.S. federal government in October 2013 and the ongoing debates related to the U.S. budget and debt ceiling, which may result in changes to monetary and fiscal policies in the U.S., and sequestration cuts on our fiscal 2014 operations and beyond. Further, while the U.S. federal government continues to discuss various options to address sequestration and the U.S. federal government’s overall fiscal challenges, we cannot predict the outcome of these efforts. We believe that the diversified product portfolio and international customer mix of our Security division position us well to withstand the impact of these uncertainties and even benefit from specific initiatives within the U.S. federal government and other foreign governments.  However, depending on how future sequestration cuts are implemented and how the U.S. federal government manages their fiscal challenges, we believe that these federal actions could have a material, negative impact on our results of operations and cash flows in the future.

 

16



 

Healthcare Division. Through our Healthcare division, we design, manufacture, market and service patient monitoring, diagnostic cardiology and anesthesia delivery and ventilation systems worldwide for sale primarily to hospitals and medical centers. Our products monitor patients in critical, emergency and perioperative care areas of the hospital and provide such information, through wired and wireless networks, to physicians and nurses who may be at the patient’s bedside, in another area of the hospital or even outside the hospital.  Revenues from our Healthcare division accounted for 28% and 22% of our total consolidated revenues for the three months ended September 30, 2012 and 2013, respectively.

 

The healthcare markets in which we operate are highly competitive. We believe that our customers choose among competing products on the basis of product performance, functionality, value and service. In addition, there is continued uncertainty regarding the potential impact of the recent shutdown of the U.S. federal government in October 2013 and the ongoing debates related to the U.S. budget and debt ceiling and the Patient Protection and Affordable Care Act, amended by the Health Care and Education and Reconciliation Act of 2010 (the “Affordable Care Act”), in the U.S., any of which may impact hospital spending, reimbursement and fees which will be levied on certain medical device revenues and adversely affect our business and results of operations.  In addition, hospital capital spending appears to have been impacted by strategic uncertainties surrounding the Affordable Care Act, economic pressures, and negative media reports.  We also believe that the worldwide economic slowdown has caused some hospitals and healthcare providers to delay purchases of our products and services.  During this period of uncertainty, we anticipate lower sales of patient monitoring, diagnostic cardiology and anesthesia systems than what we have historically experienced, which may negatively impact our sales. Although there are indications that a general economic recovery is underway, we cannot predict when the markets will fully recover or when the uncertainties related to the U.S. federal government will be resolved and, therefore, when this period of delayed and diminished purchasing will end. A prolonged delay could have a material adverse effect on our business, financial condition and results of operations.

 

Optoelectronics and Manufacturing Division. Through our Optoelectronics and Manufacturing division, we design, manufacture and market optoelectronic devices and provide electronics manufacturing services worldwide for use in a broad range of applications, including aerospace and defense electronics, security and inspection systems, medical imaging and diagnostics, telecommunications, office automation, computer peripherals, industrial automation, automotive diagnostic systems, gaming systems and consumer products. We also provide our optoelectronic devices and value-added manufacturing services to our own Security and Healthcare divisions. External revenues from our Optoelectronics and Manufacturing division accounted for 26% and 31% of our total consolidated revenues for the three months ended September 30, 2012 and 2013, respectively.

 

During the three months ended September 30, 2013, our Optoelectronics and Manufacturing division completed two small acquisitions relating to our contract manufacturing services business and allowed us to expand our customer base and geographic footprint, while leveraging our existing infrastructure.

 

Results of Operations for the Three Months Ended September 30, 2012 (Q1 2013) Compared to Three Months Ended September 30, 2013 (Q1 2014) (amounts in millions)

 

Net Revenues

 

The table below and the discussion that follows are based upon the way in which we analyze our business. See Note 10 to the condensed consolidated financial statements for additional information about our business segments.

 

 

 

Q1
2013

 

% of
Net Sales

 

Q1
2014

 

% of
Net Sales

 

$ Change

 

% Change

 

Security division

 

$

82.9

 

46

%

$

97.2

 

47

%

$

14.3

 

17

%

Healthcare division

 

51.6

 

28

%

45.8

 

22

%

(5.8

)

(11

)%

Optoelectronics and Manufacturing division

 

57.1

 

31

%

71.3

 

35

%

14.2

 

25

%

Less: inter-division sales

 

(9.9

)

(5

)%

(8.0

)

(4

)%

1.9

 

19

%

Total external revenues

 

$

181.7

 

 

 

$

206.3

 

 

 

$

24.6

 

14

%

 

Revenues for the Security division for the three months ended September 30, 2013 increased $14.3 million, or 17%, to $97.2 million, from $82.9 million for the comparable prior-year period. The increase was primarily attributable to increases in revenue from our turnkey screening services in Mexico and sales of cargo equipment, which was partially offset by the decrease in equipment revenues associated with the London Olympic Games, which contributed approximately $22.0 million in revenues in the prior year quarter.

 

17



 

Revenues for the Healthcare division for the three months ended September 30, 2013 decreased $5.8 million, or 11%, to $45.8 million, from $51.6 million for the comparable prior-year period. The decrease was primarily attributable to a $4.1 million, or 10%, decrease in patient monitoring revenues and a $1.9 million decrease in anesthesia revenues.  These decreases were prevalent throughout most of our sales channels and geographic markets.

 

Revenues for the Optoelectronics and Manufacturing division for the three months ended September 30, 2013 increased $14.2 million, or 25%, to $71.3 million, from $57.1 million for the comparable prior-year period. Excluding the impact of $5.3 million of revenue attributable to acquired businesses over the past twelve months, the growth was 16%.  This change was primarily attributable to increases in contract manufacturing sales to our customers in the consumer products business, which was partially offset by declines in our core optoelectronics business.

 

Gross Profit

 

 

 

Q1
2013

 

% of Net
Sales

 

Q1
2014

 

% of Net
Sales

 

Gross profit

 

$

61.4

 

33.8

%

$

67.9

 

32.9

%

 

Gross profit increased $6.5 million, or 11%, to $67.9 million for the three months ended September 30, 2013, from $61.4 million for the comparable prior-year period and was primarily attributable to a 14% increase in sales.  The gross margin decreased to 32.9% from 33.8% for the comparable prior-year period which was primarily attributable to: i) the impact of reduced revenues in our Healthcare division, which has historically generated the highest gross margin across the three divisions and ii) the impact of increased revenues from our Optoelectronic and Manufacturing division, which has historically generated the lowest gross margins across the three divisions.

 

Operating Expenses

 

 

 

Q1
2013

 

% of Net
Sales

 

Q1
2014

 

% of Net
Sales

 

$ Change

 

%
Change

 

Selling, general and administrative

 

$

39.9

 

22.0

%

$

42.2

 

20.5

%

$

2.3

 

6

%

Research and development

 

11.3

 

6.2

%

11.0

 

5.3

%

(0.3

)

(3

)%

Restructuring and other charges

 

 

 

4.2

 

2.0

%

4.2

 

 

Total operating expenses

 

$

51.2

 

28.2

%

$

57.4

 

27.8

%

$

6.2

 

12

%

 

Selling, general and administrative. Selling, general and administrative (SG&A) expenses consist primarily of compensation paid to sales, marketing and administrative personnel, professional service fees and marketing expenses. For the three months ended September 30, 2013, SG&A expenses increased by $2.3 million, or 6%, to $42.2 million, from $39.9 million for the comparable prior-year period. This increase was primarily attributable to increasing costs to support our 14% revenue growth.    As a percentage of revenue, SG&A expenses were 20.5% for the three months ended September 30, 2013, compared to 22.0% for the comparable prior-year period.

 

Research and development. Research and development (R&D) expenses include research related to new product development and product enhancement expenditures. For the three months ended September 30, 2013, such expenses were relatively consistent with the prior year decreasing $0.3 million, to $11.0 million, from $11.3 million.

 

Restructuring and other charges.  We continuously look for opportunities to optimize our infrastructure.  In conjunction with these efforts, during the three months ended September 30, 2013 we incurred restructuring and other charges of $2.0 million in our Healthcare division related to a facility relocation which was concluded in our first quarter of fiscal 2014, and a $0.6 million charge in our Optoelectronics and Manufacturing division, primarily for employee severance related to a facility consolidation planned for completion during our second fiscal quarter of fiscal 2014.  In addition, we incurred a $1.6 million charge in our Security division related to our contract settlement with the Transportation Security Administration. We incurred no restructuring and other charges for the three months ended September 30, 2012.

 

Other Income and Expenses

 

 

 

Q1
2013

 

% of Net
Sales

 

Q1
2014

 

% of Net
Sales

 

$ Change

 

%
Change

 

Interest and other expense, net

 

$

1.1

 

0.6

%

$

1.5

 

0.7

%

$

0.4

 

36

%

 

18



 

Interest and other expense, net.  For the three months ended September 30, 2013, interest and other expense, net amounted to $1.5 million as compared to $1.1 million in the comparable prior-year period.  This change was primarily due to increased interest expense related to higher average outstanding borrowings under our revolving credit facility to fund the investment in the Mexico turnkey services program and the mortgage debt associated with the acquisition of a building in September 2012 for which there was a full quarter of interest expense in the first quarter of fiscal 2014.

 

Income taxes.  For the three months ended September 30, 2013, our income tax provision was $2.6 million, compared to $2.7 million for the comparable prior-year period. Our effective tax rate for the three months ended September 30, 2013 was 29.0%, compared to 29.7% in the comparable prior-year period.  The effective tax rate for a particular period varies depending on a number of factors including (i) the mix of income earned in various tax jurisdictions, each of which applies a unique range of income tax rates and income tax credits, (ii) changes in previously established valuation allowances for deferred tax assets (changes are based upon our current analysis of the likelihood that these deferred tax assets will be realized), (iii) the level of non-deductible expenses, (iv) certain tax elections and (v) tax holidays granted to certain of our international subsidiaries.

 

Liquidity and Capital Resources

 

Our principal sources of liquidity are our cash and cash equivalents, cash generated from operations and our credit facility. Our total debt, net of cash and cash equivalents, increased $20.3 million to $57.0 million as of September 30, 2013 from $36.8 million as of June 30, 2013. This was primarily due to $8.0 million used for capital expenditures, $11.1 million used for the acquisition of businesses and other assets and $9.0 million used to repurchase shares of our common stock including net share settlement of equity awards, which was partially offset by cash flow from operations of $6.2 million.  If we continue to net settle equity awards, we will use additional cash to pay our tax withholding obligations in connection with such settlements. We currently anticipate that our available funds, credit facilities and cash flow from operations will be sufficient to meet our operational cash needs for the foreseeable future.

 

We have a five-year revolving credit facility that allows us to borrow up to $425 million at London Interbank Offered Rate (LIBOR) plus 1.5% depending upon our leverage ratio. As of September 30, 2013, there was $79.0 million outstanding under the revolving credit facility and $120.4 million outstanding under the letters-of-credit sub-facility.

 

Cash Provided by Operating Activities.   Cash flows from operating activities can fluctuate significantly from period to period, as cash net income and working capital fluctuations can impact cash flows. During the three month ended September 30, 2013, operations provided $6.2 million of cash as compared to $42.4 million in the prior year, or a decrease of $36.2 million.  Cash flow from operating activities during the first quarter of fiscal 2014 primarily consisted of net income of $6.4 million, adjusted for certain non-cash items, including total depreciation and amortization of $12.9 million and share-based compensation expense of $5.6 million, and the net negative impact of changes in working capital on cash of $18.9 million.  The $36.2 million decrease in cash from operations primarily resulted from the impact of changes in working capital as the prior year changes in working capital generated $27.2 million of cash. The primary driver of the use of cash from changes in working capital was a $16.1 million increase in inventory during the three months ended September 30, 2013, as we have increased inventory levels in all three divisions for expected growth.

 

Cash Used in Investing Activities. Net cash used in investing activities was $19.0 million for the three months ended September 30, 2013 as compared to $66.0 million used for the three months ended September 30, 2012.  During the three months ended September 30, 2013, we made $8.0 million in capital expenditures compared to $62.7 million during the comparable prior-year period.  This decrease is primarily a result of the timing of capital expenditures in support of our turnkey screening program in Mexico. In the three months ended September 30, 2013, we also used cash of $9.3 million for acquisitions of businesses as compared to $1.9 million in the comparable prior-year period.

 

Cash Provided by Financing Activities. Net cash provided by financing activities was $14.5 million for the three months ended September 30, 2013, compared to $4.6 million for the three months ended September 30, 2012. During the three months ended September 30, 2013, we received net proceeds from our credit facility and capital lease obligations of $22.0 million as compared to $11.0 million in the prior year.

 

Borrowings

 

Outstanding lines of credit and current and long-term debt totaled $94.2 million at September 30, 2013, an increase of $22.7 million from $71.5 million at June 30, 2013. See Note 4 to the condensed consolidated financial statements for further discussion.

 

19



 

Stock Repurchase Program

 

Our Board of Directors has authorized a stock repurchase program that provides for the repurchase of up to 4,000,000 shares of our common stock.  This program does not have an expiration date.  Upon repurchase, the shares are restored to the status of authorized but unissued, and we record them as a reduction in the number of shares of common stock issued and outstanding in our consolidated financial statements.

 

The following table presents the shares acquired during the quarter ended September 30, 2013:

 

Period

 

Total number of
shares (or units)
purchased

 

Average price
paid per share
(or unit)

 

Total number of
shares (or units)
purchased as
part of publicly
announced plans or
programs (2)

 

Maximum number
(or approximate
dollar value)
of shares (or units)
that may
yet be purchased
under the plans or
programs

 

July 1, 2013 to July 31, 2013

 

51

(1)

$

70.07

 

 

1,385,040

 

August 1, 2013 to August 31, 2013

 

18,190

(2)

$

73.67

 

 

1,385,040

 

September 1, 2013 to September 30, 2013

 

83,665

(3)

$

73.55

 

20,358

(4)

1,364,682

 

 


(1)                                 In July 2013, a total of 51 shares of common stock were tendered to satisfy minimum statutory tax withholding obligations related to the vesting of restricted shares.

 

(2)                                 In August 2013, a total of 18,190 shares of common stock were tendered to satisfy minimum statutory tax withholding obligations related to the vesting of restricted shares.

 

(3)                                 In September 2013, a total of 83,665 shares of common stock were tendered to satisfy minimum statutory tax withholding obligations related to the vesting of restricted shares at an average price of $73.36 per share.

 

(4)                                 In September 2013, a total of 20,358 shares of common stock were purchased under the stock repurchase plan at an average price of $74.35 per share.

 

Dividend Policy

 

We have not paid cash dividends on our common stock in the past and have no plans to do so in the foreseeable future.  Certain of our current bank credit facilities restrict the payment of cash dividends and future borrowings may contain similar restrictions.

 

Contractual Obligations

 

We presented our contractual obligations in our Annual Report on Form 10-K for the fiscal year ended June 30, 2013.  See Note 8 to the condensed consolidated financial statements for further discussion regarding significant changes in those obligations during the first three months of fiscal 2014.

 

Off Balance Sheet Arrangements

 

As of September 30, 2013, we did not have any significant off balance sheet arrangements as defined in Item 303(a)(4) of Regulation S-K.

 

Critical Accounting Policies and Estimates

 

The preparation of financial statements in conformity with accounting principles generally accepted in the United States requires us to make estimates and assumptions and select accounting policies that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements, as well as the reported amounts of revenues and expenses during the reporting period. Actual results could differ from those estimates. Our critical accounting policies are detailed in our Annual Report on Form 10-K for the year ended June 30, 2013.

 

There are no recent accounting pronouncements that, if implemented, would impact us materially.

 

20



 

ITEM 3. QUANTITATIVE AND QUALITATIVE DISCLOSURES ABOUT MARKET RISK

 

For the three months ended September 30, 2013, no material changes occurred with respect to market risk as disclosed in our Annual Report on Form 10-K for the fiscal year ended June 30, 2013.

 

Market Risk

 

We are exposed to certain market risks, which are inherent in our financial instruments and arise from transactions entered into in the normal course of business. We may enter into derivative financial instrument transactions in order to manage or reduce market risk in connection with specific foreign-currency-denominated transactions. We do not enter into derivative financial instrument transactions for speculative purposes.

 

We are subject to interest rate risk on our short-term borrowings under our bank lines of credit. Borrowings under these lines of credit do not give rise to significant interest rate risk because these borrowings have short maturities and are borrowed at variable interest rates. Historically, we have not experienced material gains or losses due to interest rate changes.

 

Foreign Currency Exchange Risk

 

Our international operations are subject to certain opportunities and risks, including foreign currency fluctuations and governmental actions. We closely monitor our operations in each country and seek to adopt appropriate strategies that are responsive to changing economic and political environments, and to fluctuations in foreign currencies. Our Company conducts business in more than 20 countries. Due to our global operations, weaknesses in the currencies of some of these countries are often offset by strengths in others. Foreign currency financial statements are translated into U.S. dollars at period-end rates, with the exception of revenues, costs and expenses, which are translated at average rates during the reporting period. We include gains and losses resulting from foreign currency transactions in income, while we exclude those resulting from translation of financial statements from income and include them as a component of accumulated other comprehensive income (AOCI). Transaction gains and losses, which were included in our condensed consolidated statements of operations, amounted to a loss of $0.5 million and a loss of $0.7 million during the three months ended September 30, 2012 and 2013, respectively. Furthermore, a 10% appreciation of the U.S. dollar relative to each of the local currencies would have resulted in a net increase in our operating income of approximately $2 million in the first quarter of fiscal 2014. Conversely, a 10% depreciation of the U.S. dollar relative to each of the local currencies would have resulted in a net decrease in our operating income of approximately $2 million in the first quarter of fiscal 2014.

 

Use of Derivatives

 

Our use of derivatives consists primarily of foreign exchange contracts and an interest swap agreement. As discussed in Note 1 to the condensed consolidated financial statements, we had foreign currency forward contracts of approximately $4.0 million and an interest rate swap of $9.6 million outstanding as of September 30, 2013.

 

Importance of International Markets

 

International markets provide us with significant growth opportunities. However, as a result of our worldwide business operations, we are subject to various risks, including: international regulatory requirements and policy changes; difficulties in accounts receivable collection and the management of distributors; geopolitical and economic instability; currency exchange rate fluctuations; and tariff regulations. In response to these risks and others, we continue to perform ongoing credit evaluations of our customers’ financial condition and, if deemed necessary, we require advance payments for sales. Also, we monitor geopolitical, economic and currency conditions around the world to evaluate whether there may be any significant effect on our international sales in the future.

 

Inflation

 

We do not believe that inflation had a material impact on our results of operations during the three months ended September 30, 2013.

 

Interest Rate Risk

 

We classify all highly liquid investments with maturities of three months or less as cash equivalents and record them on our balance sheet at fair value.

 

21



 

Item 4. Controls and Procedures

 

Evaluation of Disclosure Controls and Procedures

 

We maintain disclosure controls and procedures (as defined in Rule 13a-15(e) or 15d-15(e) under the Securities Exchange Act of 1934, as amended (the “Exchange Act”)) that are designed to ensure that information required to be disclosed in our reports under the Exchange Act is processed, recorded, summarized and reported within the time periods specified in the SEC’s rules and forms and that such information is accumulated and communicated to management, including the Chief Executive Officer and Chief Financial Officer, as appropriate, to allow for timely decisions regarding required disclosure.

 

We carried out an evaluation, under the supervision and with the participation of management, including our Chief Executive Officer and Chief Financial Officer, of the effectiveness of the design and operation of the disclosure controls and procedures as of September 30, 2013, the end of the period covered by this report. Based upon that evaluation, our management, including our Chief Executive Officer and Chief Financial Officer, concluded that our disclosure controls and procedures were effective as of September 30, 2013.

 

Changes in Internal Control over Financial Reporting

 

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

 

Limitations on Effectiveness of Disclosure Controls and Procedures

 

In designing and evaluating our disclosure controls and procedures, management recognizes that any controls and procedures, no matter how well designed and operated, can provide only reasonable assurance of achieving the desired control objectives, and management is required to apply its judgment in evaluating the cost-benefit relationship of possible controls and procedures.

 

22



 

PART II OTHER INFORMATION

 

ITEM 1. LEGAL PROCEEDINGS

 

We are involved in various claims and legal proceedings arising out of the ordinary course of business. In our opinion, after consultation with legal counsel, the ultimate disposition of such proceedings will not have a material adverse effect on our financial position, future results of operations or cash flows.

 

ITEM 1A. RISK FACTORS

 

The discussion of our business and operations in this Quarterly Report on Form 10-Q should be read together with the risk factors contained in our Annual Report on Form 10-K for the fiscal year ended June 30, 2013, filed with the Securities and Exchange Commission on August 16, 2013, which describe various risks and uncertainties to which we are or may become subject. There have been no material changes to the risk factors included in our Annual Report.

 

ITEM 2. UNREGISTERED SALES OF EQUITY SECURITIES AND USE OF PROCEEDS

 

See Stock Repurchase Program discussion under Item 2 - Management’s Discussion and Analysis of Financial Condition and Results of Operations.

 

ITEM 3. DEFAULTS UPON SENIOR SECURITIES

 

None

 

ITEM 4. MINE SAFETY DISCLOSURES

 

None

 

ITEM 5. OTHER INFORMATION

 

None

 

ITEM 6. EXHIBITS

 

31.1

 

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

 

 

 

31.2

 

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

 

 

 

32.1

 

Certification pursuant to Section 906 of the Sarbanes-Oxley Act of 2002

 

 

 

32.2

 

Certification pursuant to Section 906 of the Sarbanes-Oxley Act of 2002

 

 

 

101.INS‡

 

XBRL Instance Document ‡XBRL Instance Document ‡XBRL Instance Document ‡The following financial statements from the Registrant’s Quarterly Report on Form 10-Q for the quarter ended September 30, 2013, as filed with the SEC on October 25, 2013, formatted in XBRL, as follows:

 

 

(i)             the condensed consolidated balance sheets

(ii)          the condensed consolidated statements of operations

(iii)       the condensed consolidated statements of comprehensive Income

(iv)      the condensed consolidated statements of cash Flows

(v)         the notes to the condensed consolidated financial statements, tagged in summary and detail

 


                      XBRL information is furnished and not filed for purposes of Sections 11 and 12 of the Securities Act of 1933 and Section 18 of the Securities Exchange Act of 1934, and is not subject to liability under those sections, is not part of any registration statement or prospectus to which it relates and is not incorporated or deemed to be incorporated by reference into any registration statement, prospectus or other document.

 

23



 

Signatures

 

Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized, in the City of Hawthorne, State of California on the 25th day of October 2013.

 

 

OSI SYSTEMS, INC.

 

 

 

By:

/s/ Deepak Chopra

 

 

Deepak Chopra

 

 

President and Chief Executive Officer

 

 

 

By:

/s/ Alan Edrick

 

 

Alan Edrick

 

 

Executive Vice President and

 

 

Chief Financial Officer

 

24


EX-31.1 2 a13-20248_1ex31d1.htm EX-31.1

Exhibit 31.1

 

CERTIFICATION

Certification required by Rule 13a-14(a) or Rule 15d-14(a)

and under Section 302 of the Sarbanes-Oxley Act of 2002

 

I, Deepak Chopra, certify that:

 

1.         I have reviewed this Quarterly Report on Form 10-Q of OSI Systems, Inc.;

 

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 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 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 25, 2013

 

 

/s/ Deepak Chopra

 

Deepak Chopra

 

Chief Executive Officer

 


EX-31.2 3 a13-20248_1ex31d2.htm EX-31.2

Exhibit 31.2

 

CERTIFICATION

Certification required by Rule 13a-14(a) or Rule 15d-14(a)

and under Section 302 of the Sarbanes-Oxley Act of 2002

 

I, Alan Edrick, certify that:

 

1.         I have reviewed this Quarterly Report on Form 10-Q of OSI Systems, Inc.;

 

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 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 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 25, 2013

 

 

/s/ Alan Edrick

 

Alan Edrick

 

Chief Financial Officer

 


EX-32.1 4 a13-20248_1ex32d1.htm EX-32.1

Exhibit 32.1

 

CERTIFICATION OF CHIEF EXECUTIVE OFFICER PURSUANT TO 18 U.S.C. SECTION 1350

AS ADOPTED PURSUANT TO SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

 

In connection with the Quarterly Report of OSI Systems, Inc. (the “Company”) on Form 10-Q for the quarter ended September 30, 2013, as filed with the Securities and Exchange Commission on the date hereof (the “Report”), I, Deepak Chopra, Chief Executive Officer of the Company, certify, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that:

 

(1)         The Report fully complies with the requirements of Section 13(a) or 15(d), as applicable, of the Securities Exchange Act of 1934, as amended; and

 

(2)         The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company at the dates and for the periods presented in the Report.

 

Date: October 25, 2013

 

 

/s/ Deepak Chopra

 

Deepak Chopra

 

Chief Executive Officer

 

The foregoing certification is being furnished solely pursuant to 18 U.S.C. Section 1350, is not being filed as part of the Report or as a separate disclosure document, and is not being incorporated by reference into any filing of the Company under the Securities Act of 1933, as amended, or the Securities Exchange Act of 1934, as amended, (whether made before or after the date of the Report) irrespective of any general incorporation language contained in such filing. The signed original of this written statement required by Section 906 of the Sarbanes-Oxley Act of 2002 has been provided to the Company and will be retained by the Company and furnished to the Securities and Exchange Commission or its staff upon request.

 


EX-32.2 5 a13-20248_1ex32d2.htm EX-32.2

Exhibit 32.2

 

CERTIFICATION OF CHIEF FINANCIAL OFFICER PURSUANT TO 18 U.S.C. SECTION 1350

AS ADOPTED PURSUANT TO SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

 

In connection with the Quarterly Report of OSI Systems, Inc. (the “Company”) on Form 10-Q for the quarter ended September 30, 2013, as filed with the Securities and Exchange Commission on the date hereof (the “Report”), I, Alan Edrick, Chief Financial Officer of the Company, certify, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that:

 

(1)         The Report fully complies with the requirements of Section 13(a) or 15(d) , as applicable, of the Securities Exchange Act of 1934, as amended; and

 

(2)         The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company at the dates and for the periods presented in the Report.

 

Date: October 25, 2013

 

 

/s/ Alan Edrick

 

Alan Edrick

 

Chief Financial Officer

 

The foregoing certification is being furnished solely pursuant to 18 U.S.C. Section 1350, is not being filed as part of the Report or as a separate disclosure document, and is not being incorporated by reference into any filing of the Company under the Securities Act of 1933, as amended, or the Securities Exchange Act of 1934, as amended, (whether made before or after the date of the Report) irrespective of any general incorporation language contained in any such filing. The signed original of this written statement required by Section 906 of the Sarbanes-Oxley Act of 2002 has been provided to the Company and will be retained by the Company and furnished to the Securities and Exchange Commission or its staff upon request.

 


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The Company recognizes deferred tax assets and liabilities for temporary differences between the financial reporting basis and the tax basis of its assets and liabilities along with net operating loss and tax credit carryovers. The Company records a valuation allowance against its deferred tax assets to reduce the net carrying value to an amount that it believes is more likely than not to be realized. When the Company establishes or reduces the valuation allowance against its deferred tax assets, the provision for income taxes will increase or decrease, respectively, in the period such determination is made.</font></p> <p style="MARGIN: 0in 0in 0pt;">&#160;</p> </div> <div style="font-size:10.0pt;font-family:Times New Roman;"> <p style="MARGIN: 0in 0in 0pt;"><b><font style="FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold;" size="2">10. 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Customer [Axis] Chairman and Chief Executive Officer, and Executive Vice President and President of the Company's Security Division Management [Member] Maximum Maximum [Member] Minimum Minimum [Member] Money market Money Market Funds [Member] Changes in warranty provisions Movement in Standard and Extended Product Warranty, Increase (Decrease) [Roll Forward] Changes in provision for warranties Movement in Standard Product Warranty Accrual [Roll Forward] Valuation and Qualifying accounts Movement in Valuation Allowances and Reserves [Roll Forward] Customer [Domain] Net increase (decrease) in cash and cash equivalents Net Cash Provided by (Used in) Continuing Operations Net cash provided by financing activities Net Cash Provided by (Used in) Financing Activities, Continuing Operations Cash flows from financing activities: Net Cash Provided by (Used in) Financing Activities, Continuing Operations [Abstract] Net cash used in investing activities Net cash used in investing activities Net 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[Table] Schedule of stock-based compensation expense recorded in the condensed consolidated statements of operations Schedule of Employee Service Share-based Compensation, Allocation of Recognized Period Costs [Table Text Block] Investment, Name [Axis] Schedule of estimated benefits payments, based upon the same assumptions used to measure the benefit obligation and net pension cost Schedule of Expected Benefit Payments [Table Text Block] Summary of the inputs used in valuing investments carried at fair value Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Table Text Block] Schedule of estimated future amortization expense Schedule of Finite-Lived Intangible Assets, Future Amortization Expense [Table Text Block] Schedule of Goodwill [Table] Schedule of Goodwill [Table Text Block] Schedule of carrying amount of goodwill Schedule of geographical breakdown of income before the provision (benefit) for income taxes Schedule of Income before Income Tax, Domestic 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assets by geographical area Schedule of Revenue from External Customers and Long-Lived Assets, by Geographical Areas [Table Text Block] Schedule of Revenues from External Customers and Long-Lived Assets [Table] Schedule of Segment Reporting Information, by Segment [Table] Schedule of operations and identifiable assets by industry segment Schedule of Segment Reporting Information, by Segment [Table Text Block] Schedule of stock-based compensation activity Schedule of Share-based Compensation, Activity [Table Text Block] Schedule of Share-based Compensation Arrangements by Share-based Payment Award [Table] Summary of stock option activity Schedule of Share-based Compensation, Stock Options, Activity [Table Text Block] Schedule of weighted average assumptions used to determine the fair value calculations for stock options issued Schedule of Share-based Payment Award, Stock Options, Valuation Assumptions [Table Text Block] Summary of activity of unrecognized tax benefits Schedule of 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period (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Nonvested, Number of Shares [Roll Forward] Shares Nonvested at the end of the period (in dollars per share) Nonvested at the beginning of the period (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Nonvested, Weighted Average Grant Date Fair Value Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Nonvested, Weighted Average Grant Date Fair Value [Abstract] Weighted-Average Fair Value Vested (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Vested in Period Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Vested in Period, Fair Value Total fair value of shares vested Vested (in dollars per share) Share-based 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Arrangement by Share-based Payment Award [Line Items] Number of additional shares of common stock subject to awards outstanding under the 2006 Plan authorized Share-based Compensation Arrangement by Share-based Payment Award, Number of Additional Shares Authorized Number of shares of common stock authorized Share-based Compensation Arrangement by Share-based Payment Award, Number of Shares Authorized Balance at the end of the period (in shares) Shares available for grant Share-based Compensation Arrangement by Share-based Payment Award, Number of Shares Available for Grant Securities available for grant Balance at the beginning of the period (in shares) Stock-based compensation, other disclosures Share-based Compensation Arrangement by Share-based Payment Award, Options, Additional Disclosures [Abstract] Exercisable at the end of the period Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercisable, Intrinsic Value Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercisable, Number Exercisable at the end of the period (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercisable, Weighted Average Exercise Price Exercisable at the end of the period (in dollars per share) Exercisable at the end of the period Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercisable, Weighted Average Remaining Contractual Term Total intrinsic value of options exercised Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercises in Period, Intrinsic Value Expired or forfeited (in shares) Stock options forfeited and cancelled (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Options, Forfeitures and Expirations in Period Share-based Compensation Arrangement by Share-based Payment Award, Options, Forfeitures and Expirations in Period, Weighted Average Exercise Price Expired or forfeited (in dollars per share) Stock options granted (in shares) Granted (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Options, Grants in Period, Gross Weighted-average grant-date fair value of stock options (in dollars per share) Share-based Compensation Arrangement by Share-based Payment Award, Options, Grants in Period, Weighted Average Grant Date Fair Value Outstanding at the end of the period Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Intrinsic Value Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding, Number Outstanding at the beginning of the period (in shares) Outstanding at the end of the period (in shares) Number of Options Share-based Compensation Arrangement by Share-based Payment Award, Options, Outstanding [Roll Forward] Outstanding at the end of the period (in dollars per share) Outstanding at the beginning of the period (in dollars per share) Share-based Compensation Arrangement by 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Share-based Compensation Arrangements by Share-based Payment Award, Options, Grants in Period, Weighted Average Exercise Price Share-based Compensation, Option and Incentive Plans Policy [Policy Text Block] Stock-Based Compensation Taxes paid related to net share settlement of equity awards (in shares) Shares Paid for Tax Withholding for Share Based Compensation Freight Shipping and Handling Cost, Policy [Policy Text Block] Computer software Software development costs Software and Software Development Costs [Member] Balance at beginning of period Balance at end of period Standard Product Warranty Accrual Reductions for warranty repair costs Standard Product Warranty Accrual, Payments Additions and adjustments Standard Product Warranty Accrual, Warranties Issued Provision for Warranties Standard Product Warranty, Policy [Policy Text Block] State Domestic State and Local Jurisdiction [Member] Segments [Axis] Equity Components [Axis] Geographical [Axis] Statement Statement [Line Items] CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS CONDENSED CONSOLIDATED BALANCE SHEETS CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY Statement [Table] Total stockholders' equity Balance Balance Stockholders' Equity Attributable to Parent Stockholders' equity: Stockholders' Equity Attributable to Parent [Abstract] STOCKHOLDERS' EQUITY STOCKHOLDERS' EQUITY Stockholders' Equity Note Disclosure [Text Block] Stockholders' Equity, Period Increase (Decrease) Shares issued under employee stock purchase program (in shares) Shares purchased Stock Issued During Period, Shares, Employee Stock Purchase Plans Shares issued and sold in private placement Stock Issued During Period, Shares, New Issues Stock Issued During Period, Shares, Period Increase (Decrease) Vesting of restricted shares (in shares) Stock Issued During Period, Shares, Restricted Stock Award, Net of Forfeitures Stock options exercised (in shares) Exercised (in shares) Share-based Compensation Arrangement by Share-based Payment Award, Options, Exercises in Period Shares issued under employee stock purchase program Stock Issued During Period, Value, Employee Stock Purchase Plan Other Stock Issued During Period, Value, Other Vesting of restricted shares Stock Issued During Period, Value, Restricted Stock Award, Net of Forfeitures Exercise of stock options Stock Issued During Period, Value, Stock Options Exercised Repurchase of common stock (in shares) Number of shares repurchased Stock Repurchased During Period, Shares Repurchase of common stock Stock Repurchased During Period, Value Number of shares available for additional repurchase Stock Repurchase Program, Remaining Number of Shares Authorized to be Repurchased Balance Sheet Details Supplemental Balance Sheet Disclosures [Text Block] Supplemental disclosure of cash flow information: Supplemental Cash Flow Information [Abstract] Tax credit carry forwards Tax Credit Carryforward, Amount Tax credit carry forward Tax Credit Carryforward [Line Items] Tax Credit Carryforward [Table] Title of Individual [Axis] Relationship to Entity [Domain] Trade receivables Trade Accounts Receivable [Member] Accounts Receivable Trade and Other Accounts Receivable, Policy [Policy Text Block] Trademarks Trademarks [Member] Type of Restructuring [Domain] Unbilled receivables Unbilled Contracts Receivable Unbilled receivables Unbilled Revenues [Member] Undistributed earnings of the foreign subsidiaries Undistributed Earnings of Foreign Subsidiaries Balance at the beginning of the period Balance at the end of the period Unrecognized Tax Benefits Liability for uncertain tax positions Reduction in tax position from prior year Unrecognized Tax Benefits, Decrease Resulting from Prior Period Tax Positions Accrued interest and penalties Unrecognized Tax Benefits, Income Tax Penalties and Interest Accrued Additions on tax positions for the current year Unrecognized Tax Benefits, Increase Resulting from Current Period Tax Positions Additions on tax positions from prior years Unrecognized Tax Benefits, Increase Resulting from Prior Period Tax Positions Reductions as a result of a lapse of statute of limitations Unrecognized Tax Benefits, Reduction Resulting from Lapse of Applicable Statute of Limitations Unrecognized tax benefits that, if recognized, would affect the effective tax rate Unrecognized Tax Benefits that Would Impact Effective Tax Rate Use of Estimates Use of Estimates, Policy [Policy Text Block] Increase in valuation allowance Valuation Allowance, Deferred Tax Asset, Change in Amount Balance at beginning of period Balance at end of period Valuation Allowances and Reserves, Balance Charged to costs and expenses Valuation Allowances and Reserves, Charged to Cost and Expense Deductions - Write-offs Valuation Allowances and Reserves, Deductions Valuation Allowances and Reserves [Domain] Valuation Allowances and Reserves Type [Axis] SCHEDULE II-VALUATION AND QUALIFYING ACCOUNTS VALUATION AND QUALIFYING ACCOUNTS Valuation and Qualifying Accounts Disclosure [Line Items] Valuation and Qualifying Accounts Disclosure [Table] Variable Rate [Axis] Variable Rate [Domain] Warrants Warrants and Rights Note Disclosure [Abstract] Warranty reserve Warranty Reserves [Member] Weighted average Weighted Average [Member] Dilutive effect of stock awards Weighted Average Number Diluted Shares Outstanding Adjustment Diluted (in shares) Weighted average shares for diluted earnings per share calculation Weighted Average Number of Shares Outstanding, Diluted Shares used in per share calculation: Weighted Average Number of Shares Outstanding, Diluted [Abstract] Basic (in shares) Weighted average shares for basic earnings per share calculation Weighted Average Number of Shares Outstanding, Basic Amendment Description Amendment Flag Current Fiscal Year End Date Document Fiscal Period Focus Document Fiscal Year Focus Document Period End Date Document Type Entity Central Index Key Entity Common Stock, Shares Outstanding Entity Current Reporting Status Entity [Domain] Entity Filer Category Entity Public Float Entity Registrant Name Entity Voluntary Filers Entity Well-known Seasoned Issuer Legal Entity [Axis] Outstanding foreign currency forward contracts Derivative, Notional Amount Amended and Restated Equity Participation Plan 2006 [Member] 2006 Plan Represents the details pertaining to the Amended and Restated 2006 Equity Participation Plan. Balance Sheet Details Business Combination, Maximum Measurement Period in which Provisional Amounts can be Adjusted Maximum measurement period in which provisional amounts can be adjusted Represents the maximum measurement period in which provisional amounts recognized for a business combination can be adjusted. Business Description [Abstract] Description of business Chairman and Chief Executive Officer [Member] Chairman and Chief Executive Officer Represents Chairman and Chief Executive Officer of the entity. Chief Executive Officer and Immediate Family [Member] Chief Executive Officer and/or his family members Represents the chief executive officer including immediate family members of chief executive officer. Represents the collective voting power, as a percent, held by the entity and various related parties of the entity in an equity method investee of the reporting entity. Collective Voting Power Controlling Interest Percentage Collective voting power control, by entity and related parties, in equity method investment of entity (as a percent) Concentration Risk Amount Amount of benchmark derived from specified source For an entity that discloses a concentration risk in relation to quantitative amount, which serves as the benchmark (or denominator) in the equation, this concept represents the concentration amount derived from the division. Contingent Consideration Royalty Payments [Member] Royalty payments Represents contingent consideration activity related to royalty payments. Contingent Consideration, Sales and Profitability Milestone [Member] Sales and Profitability Milestones Represents activity related to contingent consideration based on sales and profitability milestones. Core Technology [Member] Core technology Represents core technology which may be defined as those skills present or creatable upon which the organization bases its operations and services and from which it creates its desired future. Customer One [Member] One customer Represents information pertaining to one customer. Customer Relationships Order or Production Backlog [Member] Customer relationships/backlog Represents activity related to customer relationships including order or backlog information. CXR Limited [Member] CXR Limited Represents activity related to CXR Limited. Percentage of bonuses which can be deferred by eligible employees Deferred Compensation Plan, Percentage of Bonus Deferred by Participants Represents the percentage of bonus, which can be deferred by participants. Percentage of salaries which can be deferred by eligible employees Deferred Compensation Plan, Percentage of Salary Deferred by Participants Represents the percentage of salary, which can be deferred by participants. Deferred Tax Assets, Customer Advances Customer advances Amount before allocation of valuation allowances of deferred tax asset attributable to deductible temporary differences from customer advances. Deferred Tax Assets, Inventory Capitalization Amount before allocation of valuation allowances of deferred tax asset attributable to deductible temporary differences from the inventory capitalization. Inventory capitalization Deferred Tax Assets, Inventory Reserve Amount before allocation of valuation allowances of deferred tax asset attributable to deductible temporary differences from the inventory reserve. Inventory reserve Deferred Tax Liabilities, State Taxes Amount of deferred tax liability attributable to taxable temporary differences from state income taxes. State income taxes Benefits paid Defined Benefit Plan, Benefits Paid from Plan Assets The amount of payments made from plan assets for which participants are entitled under a pension or other post-retirement plan. This item may differ from the periodic decrease to the plan obligations. Total Defined Benefit Plan, Estimated Future Benefit Payments Due Represents the total amount of benefits expected to be paid following the latest fiscal year from a defined benefit plan. Represents the amount of benefits expected to be paid in the fourth and fifth fiscal year following the latest fiscal year from a defined benefit plan. 4-5 years Defined Benefit Plan, Expected Future Benefit Payments, Year Four and Five Represents the amount of benefits expected to be paid in the second and third fiscal year following the latest fiscal year from a defined benefit plan. 2-3 years Defined Benefit Plan, Expected Future Benefit Payments, Year Two and Three Defined Benefit Plan, Investments Investments Represents the investment amount recognized in balance sheet associated with the plan. Defined Benefit Plan, Percentage of Significant Holdings in Single Company as Percentage of Plan Assets Percentage of significant holdings in any single company of the total assets Represents the percentage of significant holdings in any single company of the total plan assets. Description of Business [Policy Text Block] Description of Business Disclosure of accounting policy for description of business. Document and Entity Information ECIL Rapiscan Security Products Limited [Member] ECIL-Rapiscan Security Products Limited Represents information pertaining to ECIL-Rapiscan Security Products Limited, a joint venture. Impact upon tax rate as a result of accelerating depreciation of certain foreign assets The portion of the difference between the effective income tax rate and domestic federal statutory income tax rate attributable to accelerating depreciation of foreign assets. Effective Income Tax Rate Reconciliation, Nondeductible Expense, Depreciation of Foreign Assets Entities Owned by Related Party [Member] Entities Owned by Related Party Definition: Represents activity with entities owned by a related party of the reporting entity. Environmental Contingencies [Abstract] Environmental Contingencies Equipment and Tooling [Member] Equipment and tooling Tangible personal property used to produce goods and services. Also includes equipment commonly used to cut, shape, and form metal and other materials into goods for sale. Executive Vice President and President of Security Division Represents Executive Vice President and President of the entity. Executive Vice President and President [Member] Finite Lived and Indefinite Lived Intangible Assets [Line Items] Intangible assets Represents the amount of goodwill acquired or adjusted in the period and allocated to the reportable segment. Goodwill Acquired or Adjusted During Period Goodwill acquired or adjusted during the period Healthcare division Represents Healthcare division, the identifiable industry segment of the entity. Healthcare Division [Member] Healthcare Division Restructuring and other charges Impairment Restructuring and Other Charges This element represents the amount charged against earnings resulting from the aggregate write down of all assets from their carrying value to their fair value and the amount of incurred and estimated costs, excluding asset retirement obligations, associated with exit from or disposal of business activities or restructurings pursuant to a program that is planned and controlled by management, and materially changes either the scope of a business undertaken by an entity, or the manner in which that business is conducted. This also includes the total amount of other operating cost and expense items that are associated with the entity's normal revenue producing operation. Impairment, Restructuring and Other Charges [Line Items] Impairment, Restructuring And Other Charges Impairment Restructuring and Related Activities Disclosure [Text Block] The entire disclosure for impairment, restructuring and related activities. Description of impairment costs and restructuring activities such as exit and disposal activities, include facts and circumstances leading to the plan, the expected plan completion date, the major types of costs associated with the plan activities, total expected costs, the accrual balance at the end of the period, and the periods over which the remaining accrual will be settled. IMPAIRMENT, RESTRUCTURING AND OTHER CHARGES Incentive Award Plan 2012 [Member] 2012 Plan Represents details pertaining to 2012 Incentive Award Plan. Income Taxes, Other Disclosures [Abstract] Income taxes, other disclosures Individual Customer [Member] No individual customer Represents information pertaining to individual customer. Insurance Company Contracts Fair Value Insurance company contracts Represents the fair value as of the balance sheet date of insurance company contracts. Investment in Common Stock Fair Value Common stock Represents the fair value as of the balance sheet date of common stock held as investment. Lease Expense [Member] Leasing Represents the expenses related to leasing arrangement. Line of Credit Facility, Borrowing Capacity Available Increase Increase in the credit agreement's borrowing capacity available under certain circumstances Represents the available increase in borrowing capacity of the debt instrument under certain circumstances. Line of Credit Facility, Remaining Borrowing Capacity Sublimit for Cash Borrowings Total cash borrowing sub-limit The remaining borrowing capacity sublimit that is available for cash borrowings. Line of Credit Facility, Sublimit Available for Letters of Credit Sub-limit available for letters of credit The sublimit within the overall line of credit capacity that is available for letters of credit. Long lived tangible assets Represents the amount of long lived tangible assets as of balance sheet date of the entity. Long Lived Tangible Assets Total debt Long Term Debt and Line of Credit Facility Carrying amount of long-term debt and bank line of credit facility. Messenger Services and Auto Rental Expense [Member] Messenger services and auto rental Represents the expenses related to messenger services and auto rental. Mexican Government [Member] Mexican government Represents activity related to Mexican government. Nonqualified Options [Member] Nonqualified options Represents the details pertaining to nonqualified stock options. Number of Investigations Discovering Soil and Groundwater Contamination Number of investigations discovering soil and groundwater contamination at Hawthorne, CA facility The number of investigations in which soil and groundwater contamination was discovered. Number of Purchase Agreements Including Royalty Payment Terms The number of purchase agreements which included royalty payment terms. Purchase agreements containing royalty payments, number Optoelectronics and Manufacturing division, including intersegment revenues Represents Optoelectronics and Manufacturing division, the identifiable industry segment of the entity. Optoelectronics and Manufacturing Division [Member] Optoelectronics and Manufacturing Division Other Americas Represents information pertaining to Other Americas, a geographical segment of the entity. Other Americas Europe [Member] Other Comprehensive Income (Loss), Reclassification Adjustment on Investments and Derivatives Included in Net Income, Net of Tax Reclassification adjustment for unrealized gains or losses realized upon the sale of investments and derivatives, after tax. Reclassification of net realized loss on investments and derivatives Other Comprehensive income, Unrealized Gain (Loss) on Investments and Derivatives Arising During Period, Net of Tax Appreciation or loss in value (before reclassification adjustment) of the total of unsold investments and derivatives during the period being reported on, net of tax. Net unrealized gain (loss) on investments and derivatives Other EMEA Represents information pertaining to Other Americas. Other Europe Middle East and Africa [Member] Other Plan Assets [Member] Other Represents other plan assets not otherwise defined in the taxonomy. Percentage Ownership of Equity Method Investee by Related Party Related party ownership percentage in equity method investee of the reporting entity Represents the percentage of ownership of common stock or equity participation owned by a related party in an equity method investee of the reporting entity. Performance Based Restricted Stock Units [Member] Performance-based restricted stock units Represents information pertaining to the performance-based restricted stock units. Period to Classify Liabilities under Funded Plans as Noncurrent Period to classify liabilities underfunded plans as noncurrent Represents the period to classify liabilities underfunded plans as noncurrent, except to the extent the fair value of the plan's assets is less than the plan's estimated benefit payments. Person who Owned More than 10 Percent of Voting Power [Member] Any person who owned more than 10% of the voting power of all classes of stock Represents any person who owned more than 10 percent of the voting power. Printing services Represents the expense related to printing services. Printing Services Expense [Member] Restricted Stock and Restricted Stock Units [Member] Restricted stock and restricted stock units awarded by a company to its non-employee directors and certain key employees as a form of incentive compensation. Restricted stock and restricted stock unit Restructuring and Other Charges [Abstract] Restructuring and Other Charges Paid during the period Schedule of Balance Sheet Accounts [Table Text Block] Schedule of selected balance sheet accounts Tabular disclosure of selected balance sheet accounts related to inventories, accounts receivable and property and equipment. Tabular disclosure of components of net deferred income tax asset. Schedule of Components of Net Deferred Income Tax Asset [Table Text Block] Schedule of components of net deferred income tax asset Schedule of Finite and Indefinite Lived Intangible Assets by Major Class [Table Text Block] Schedule of intangible assets Tabular disclosure of the carrying value of finite-lived and indefinite-lived intangible assets, excluding goodwill, in total and by major class. A major class is composed of intangible assets that can be grouped together because they are similar, either by their nature or by their use in the operations of the company. Schedule of Finite Lived and Indefinite Lived Intangible Assets by Major Class [Table] Disclosure of the carrying value of amortizable and non amortizable intangibles assets, in total and by major class. A major class is composed of intangible assets that can be grouped together because they are similar, either by their nature or by their use in the operations of the company. Schedule of Impairment Restructuring and Other Charges [Table] Table presenting the description of the impairment costs, restructuring costs and other charges, such as the expected cost; the costs incurred during the period; the cumulative costs incurred as of the balance sheet date; the income statement caption within which the restructuring charges recognized for the period are included; and the amount of and periodic changes to the entity's restructuring reserve that occurred during the period associated with the exit from or disposal of business activities or restructurings for each major type of cost by type of restructuring. Security division Represents Security division, the identifiable industry segment of the entity. Security Division [Member] Security Division Share Based Compensation Arrangement by Share Based Payment Award, Number of Plans Number of share-based employee compensation plans The number of share-based compensation plans approved by the entity's shareholders. Represents the number of shares increased in the pool of shares available for grant for each share forfeited and returned. Share Based Compensation Arrangement by Share Based Payment Award Number of Shares Available for Grant Increased for Each Share Forfeited and Returned Number of shares available for grant increased for each share forfeited and returned Number of shares available for grant reduced for each share granted Represents the number of shares reduced from the pool of shares available for grant for each share granted. Share Based Compensation Arrangement by Share Based Payment Award, Number of Shares Available for Grant Reduced for Each Share Granted Share Based Compensation, Arrangement by Share Based Payment, Award, Number of Shares Available For Grant [Roll Forward] Shares Available for Grant Aggregate Intrinsic Value Share Based Compensation Arrangement by Share Based Payment Award, Options Aggregate Intrinsic Value [Abstract] Represents the percentage of voting power owned by a person on the date of the grant. Share Based Compensation Arrangement by Share Based Payment Award, Percentage of Voting Power Owned Percentage of voting power owned Weighted-Average Remaining Contractual Term Share Based Compensation Arrangement by Share Based Payment Award, Weighted Average Remaining Contractual Term [Abstract] Share Based Compensation by Share Based Payment Award Performance Based Awards Payout Percentage Payout as a percentage of the original number of shares awarded or units awarded, which are converted into shares of the Company's common stock Represents the percentage of payout depending on achievement of the goals. Share Based Employee Compensation Plans [Member] OSI Plans Represents details pertaining to the share-based employee compensation plans. Stock Issued During Period Shares Stock Options, Exercised which are used for Net Settlement to Cover Option Cost and Tax Obligation Stock options exercised (in shares) Number of share options (or share units) exercised and used for net settlement to cover option cost and tax obligation during the current period. Number of warrants exercised during the current period. Stock Issued During Period, Shares, Warrants Exercised Shares issued-exercise of warrants (in shares) Stock Issued During Period, Value, Warrants Exercised Shares issued-exercise of warrants Value of stock issued as a result of the exercise of warrants. Stock Repurchase Program [Abstract] Stock Repurchase Program Supplemental Cash Flow Information Cash Paid Refunded During Period [Abstract] Cash paid, net during the period for: Total Debt Maturing in Years Four and Five Amount of total debt, sinking fund requirements, and other securities redeemable at fixed or determinable prices and dates maturing in the fourth and fifth fiscal year following the latest fiscal year. 4-5 years 2-3 years Total Debt Maturing in Years Two and Three Amount of total debt, sinking fund requirements, and other securities redeemable at fixed or determinable prices and dates maturing in the second and third fiscal year following the latest fiscal year. After 5 years Total Debt Maturities Repayments of Principal after Year Five Amount of total debt, sinking fund requirements, and other securities redeemable at fixed or determinable prices and dates maturing after the fifth fiscal year following the latest fiscal year. Total Debt Maturities Repayments of Principal in Next Twelve Months Amount of total debt, sinking fund requirements, and other securities redeemable at fixed or determinable prices and dates maturing in the next fiscal year following the latest fiscal year. Less than 1 year United Kingdom [Member] United Kingdom Represents information pertaining to United Kingdom. United States Represents information pertaining to United States. United States [Member] EX-101.PRE 11 osis-20130930_pre.xml XBRL TAXONOMY EXTENSION PRESENTATION LINKBASE DOCUMENT XML 12 R17.htm IDEA: XBRL DOCUMENT v2.4.0.8
Basis of Presentation (Policies)
3 Months Ended
Sep. 30, 2013
Basis of Presentation  
Description of Business

Description of Business

 

OSI Systems, Inc., together with its subsidiaries (the “Company”), is a vertically integrated designer and manufacturer of specialized electronic systems and components for critical applications and provider of security screening services. The Company sells its products and services in diversified markets, including homeland security, healthcare, defense and aerospace.

 

The Company has three reporting segments: (i) Security, providing security inspection systems, turnkey security screening solutions and related services; (ii) Healthcare, providing patient monitoring, diagnostic cardiology and anesthesia systems, and related services and (iii) Optoelectronics and Manufacturing, providing specialized electronic components and electronic manufacturing services for the Security and Healthcare divisions as well as to external original equipment manufacturing clients for applications in the defense, aerospace, medical and industrial markets, among others.

 

Through its Security division, the Company designs, manufactures and markets security inspections systems and security screening, threat detection and non-intrusive inspection products and related services globally. These products fall into the following categories: baggage and parcel inspection systems; cargo and vehicle inspection systems; hold (checked) baggage screening systems; people screening systems and radiation detection systems. In addition to these products, the Company provides site design, installation, training and technical support services to its customers. The Company also provides turnkey security screening solutions, which can include the construction, staffing and long term operation of security screening checkpoints for its customers.

 

Through its Healthcare division, the Company designs, manufactures and markets patient monitoring, diagnostic cardiology and anesthesia delivery and ventilation systems, and related services worldwide. These products are used by care providers in critical care, emergency and perioperative areas within hospitals as well as physicians’ offices, medical clinics and ambulatory surgery centers.

 

Through its Optoelectronics and Manufacturing division, the Company designs, manufactures and markets optoelectronic devices and provides electronics manufacturing services worldwide for use in a broad range of applications, including aerospace and defense electronics, security and inspection systems, medical imaging and diagnostic products, telecommunications, test and measurement devices, industrial automation systems, automotive diagnostic products and consumer products. This division provides products and services to original equipment manufacturers and end users as well as to the Company’s own Security and Healthcare divisions.

 

Basis of Presentation

Basis of Presentation

 

The condensed consolidated financial statements include the accounts of OSI Systems, Inc. and its subsidiaries. All significant intercompany accounts and transactions have been eliminated in consolidation. The condensed consolidated financial statements have been prepared by the Company, without audit, pursuant to interim financial reporting guidelines and the rules and regulations of the Securities and Exchange Commission. Certain information and footnote disclosures normally included in annual financial statements prepared in accordance with accounting principles generally accepted in the United States of America have been condensed or omitted pursuant to such rules and regulations. In the opinion of the Company’s management, the condensed consolidated financial statements include all adjustments, consisting of only normal and recurring adjustments, necessary for a fair presentation of the financial position and the results of operations for the periods presented. These condensed consolidated financial statements and the accompanying notes should be read in conjunction with the audited consolidated financial statements and accompanying notes included in the Company’s Annual Report on Form 10-K for the fiscal year ended June 30, 2013, filed with the Securities and Exchange Commission on August 16, 2013. The results of operations for the three months ended September 30, 2013 are not necessarily indicative of the operating results to be expected for the full 2014 fiscal year or any future periods.

 

Per Share Computations

Per Share Computations

 

The Company computes basic earnings per share by dividing net income available to common stockholders by the weighted average number of common shares outstanding during the period. The Company computes diluted earnings per share by dividing net income available to common stockholders by the sum of the weighted average number of common and dilutive potential common shares outstanding. Potential common shares consist of the shares issuable upon the exercise of stock options and stock awards or units under the treasury stock method.  There were no stock options or stock awards or units excluded from the calculations for the three months ended September 30, 2012 or September 30, 2013.

 

The following table sets forth the computation of basic and diluted earnings per share (in thousands, except per share amounts):

 

 

 

Three Months Ended
September 30,

 

 

 

2012

 

2013

 

Net income for diluted earnings per share calculation

 

$

6,339

 

$

6,394

 

 

 

 

 

 

 

Weighted average shares for basic earnings per share calculation

 

19,906

 

19,971

 

Dilutive effect of stock awards

 

665

 

649

 

Weighted average shares for diluted earnings per share calculation

 

20,571

 

20,620

 

 

 

 

 

 

 

Basic net income per share

 

$

0.32

 

$

0.32

 

Diluted net income per share

 

$

0.31

 

$

0.31

 

Cash Equivalents

Cash Equivalents

 

The Company considers all highly liquid investments purchased with maturities of approximately three months or less as of the acquisition date to be cash equivalents.

 

Fair Value of Financial Instruments

Fair Value of Financial Instruments

 

The Company’s financial instruments consist primarily of cash, marketable securities, derivative instruments, accounts receivable, accounts payable and debt instruments. The carrying values of financial instruments, other than debt instruments, are representative of their fair values due to their short-term maturities. The carrying values of the Company’s long-term debt instruments are considered to approximate their fair values because the interest rates of these instruments are variable or comparable to current rates offered to the Company.

 

Fair value 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. “Level 1” category includes assets and liabilities at the quoted prices in active markets for identical assets and liabilities.  “Level 2” category includes assets and liabilities from observable inputs other than quoted market prices. “Level 3” category includes assets and liabilities whose valuation techniques are unobservable and significant to the fair value measurement.  There were no assets or liabilities where “Level 3” valuation techniques were used, and there were no assets and liabilities measured at fair value on a non-recurring basis.

 

The following is a summary of the inputs used in valuing investments carried at fair value (in thousands):

 

 

 

Level 1

 

Level 2

 

June 30,
2013

 

Level 1

 

Level 2

 

September 30,
2013

 

Equity securities

 

316

 

 

316

 

304

 

 

304

 

Insurance company contracts

 

 

13,914

 

13,914

 

 

14,978

 

14,978

 

Interest rate contract

 

 

66

 

66

 

 

39

 

39

 

Total

 

$

316

 

$

13,980

 

$

14,296

 

$

304

 

$

15,017

 

$

15,321

 

Derivative Instruments and Hedging Activity

Derivative Instruments and Hedging Activity

 

The Company’s use of derivatives consists primarily of foreign exchange contracts and interest rate swap agreements. As of September 30, 2013, the Company had outstanding foreign currency forward contracts of approximately $4.0 million.  The foreign exchange contracts do not meet the criteria as an effective cash flow hedge.  Therefore, the net gain (loss) from these contracts is reported in Interest and other expense, net in the condensed consolidated statement of operations.  The interest rate swap agreement was entered into to improve the predictability of cash flows from interest payments related to variable, LIBOR-based debt for the duration of the term loan.

 

An interest rate swap matures in October 2019.  The interest rate swap is considered an effective cash flow hedge, and, as a result, the net gains or losses on such instrument were reported as a component of Other comprehensive income in the condensed consolidated financial statements and are reclassified as net income when the hedge transaction settles.

 

Revenue Recognition

Revenue Recognition

 

The Company recognizes revenue from sales of products upon shipment when title and risk of loss passes, and when terms are fixed and collection is probable. Revenue from services includes after-market services, installation and implementation of products, and turnkey security screening services. The portion of revenue for the sale attributable to installation is deferred and recognized when the installation service is provided. In an instance where terms of sale include subjective customer acceptance criteria, revenue is deferred until the Company has achieved the acceptance criteria. Concurrent with the shipment of the product, the Company accrues estimated product return reserves and warranty expenses. Critical judgments made by management related to revenue recognition include the determination of whether or not customer acceptance criteria are perfunctory or inconsequential. The determination of whether or not customer acceptance terms are perfunctory or inconsequential impacts the amount and timing of revenue recognized. Critical judgments also include estimates of warranty reserves, which are established based on historical experience and knowledge of the product under warranty.

 

Revenue from certain turnkey services agreements is included in revenue from services and is recognized based upon proportional performance, measured by the actual number of hours incurred divided by the total estimated number of hours for the project. The impact of changes in the estimated hours to service the agreement is reflected in the period during which the change becomes known.

 

Revenues from out of warranty service maintenance contracts are recognized ratably over the term of such contract. For services not derived from specific maintenance contracts, revenues are recognized as the services are performed. Deferred revenue for such services arises from payments received from customers for services not yet performed. On occasion, the Company receives advances from customers that are amortized against future customer payments pursuant to the underlying agreements. Such advances are classified in the condensed consolidated balance sheets as either a current or long term liability dependent upon when the Company estimates the corresponding amortization to occur.

 

Business Combinations

Business Combinations

 

During the normal course of business the Company makes acquisitions.  In the event that an individual acquisition (or an aggregate of acquisitions) is material, appropriate disclosure of such acquisition activity is disclosed.  During the three months ended September 30, 2013, the Company completed acquisitions that were immaterial both individually and in the aggregate.

 

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CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS (USD $)
In Thousands, except Per Share data, unless otherwise specified
3 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Net revenues:    
Products $ 143,476 $ 148,864
Services 62,798 32,830
Total net revenues 206,274 181,694
Cost of goods sold:    
Products 103,593 98,932
Services 34,735 21,407
Total cost of goods sold 138,328 120,339
Gross profit 67,946 61,355
Operating expenses:    
Selling, general and administrative 42,214 39,925
Research and development 11,020 11,316
Restructuring and other charges 4,239  
Total operating expenses 57,473 51,241
Income from operations 10,473 10,114
Interest and other expense, net (1,470) (1,097)
Income before income taxes 9,003 9,017
Provision for income taxes 2,609 2,678
Net income $ 6,394 $ 6,339
Net income per share:    
Basic (in dollars per share) $ 0.32 $ 0.32
Diluted (in dollars per share) $ 0.31 $ 0.31
Shares used in per share calculation:    
Basic (in shares) 19,971 19,906
Diluted (in shares) 20,620 20,571

XML 15 R10.htm IDEA: XBRL DOCUMENT v2.4.0.8
Borrowings
3 Months Ended
Sep. 30, 2013
Borrowings  
Borrowings

4. Borrowings

 

The Company has a $425 million credit agreement maturing November 2016. The credit agreement consists of a $425 million revolving credit facility, including a $375 million sub-limit for letters of credit. The Company has the ability to increase the facility by $100 million under certain circumstances. Borrowings under this facility bear interest at the London Interbank Offered Rate (LIBOR) plus a margin of 1.5% as of September 30, 2013. This margin is determined by the Company’s consolidated leverage ratio and may range from 1.5% to 2.0%. Letters of credit reduce the amount available to borrow by their face value. The unused portion of the facility bears a commitment fee of 0.25%. The Company’s borrowings under the credit agreement are guaranteed by the Company’s U.S.-based subsidiaries and are secured by substantially all of the Company’s and certain subsidiaries’ assets. The agreement contains various representations and warranties, affirmative and negative and financial covenants, and events of default customary for financing agreements of this type. As of September 30, 2013, there was $79.0 million outstanding under the revolving credit facility and $120.4 million outstanding under the letters-of-credit sub-facility.

 

Several of the Company’s foreign subsidiaries maintain bank lines-of-credit, denominated in local currencies, to meet short-term working capital requirements and for the issuance of letters-of-credit. As of September 30, 2013, $5.3 million was outstanding under these letter-of-credit facilities, while no debt was outstanding. As of September 30, 2013, the total amount available under these credit facilities was $40.8 million, with a total cash borrowing sub-limit of $3.2 million.

 

In September 2012, the Company entered into a term loan agreement for $11.1 million to fund the acquisition of land and a building in the state of Washington.  The loan, which bears interest at LIBOR plus 1.25%, is payable on a monthly basis over seven years.  Concurrent with entering into the floating rate loan, the Company entered into an interest rate swap agreement that effectively locks the interest rate of the loan to 2.2% per annum for the term of the loan.

 

Long-term debt consisted of the following (in thousands):

 

 

 

June 30,
2013

 

September 30,
2013

 

Term loans

 

$

12,470

 

$

12,138

 

Other long-term debt

 

 

3,091

 

 

 

12,470

 

15,229

 

Less current portion of long-term debt

 

1,797

 

2,956

 

Long-term portion of debt

 

$

10,673

 

$

12,273

 

XML 16 Show.js IDEA: XBRL DOCUMENT /** * Rivet Software Inc. * * @copyright Copyright (c) 2006-2011 Rivet Software, Inc. All rights reserved. * Version 2.4.0.3 * */ var Show = {}; Show.LastAR = null, Show.hideAR = function(){ Show.LastAR.style.display = 'none'; }; Show.showAR = function ( link, id, win ){ if( Show.LastAR ){ Show.hideAR(); } var ref = link; do { ref = ref.nextSibling; } while (ref && ref.nodeName != 'TABLE'); if (!ref || ref.nodeName != 'TABLE') { var tmp = win ? win.document.getElementById(id) : document.getElementById(id); if( tmp ){ ref = tmp.cloneNode(true); ref.id = ''; link.parentNode.appendChild(ref); } } if( ref ){ ref.style.display = 'block'; Show.LastAR = ref; } }; Show.toggleNext = function( link ){ var ref = link; do{ ref = ref.nextSibling; }while( ref.nodeName != 'DIV' ); if( ref.style && ref.style.display && ref.style.display == 'none' ){ ref.style.display = 'block'; if( link.textContent ){ link.textContent = link.textContent.replace( '+', '-' ); }else{ link.innerText = link.innerText.replace( '+', '-' ); } }else{ ref.style.display = 'none'; if( link.textContent ){ link.textContent = link.textContent.replace( '-', '+' ); }else{ link.innerText = link.innerText.replace( '-', '+' ); } } }; XML 17 R24.htm IDEA: XBRL DOCUMENT v2.4.0.8
Retirement Benefit Plans (Tables)
3 Months Ended
Sep. 30, 2013
Retirement Benefit Plans  
Schedule of components of net periodic pension expense

The components of net periodic pension expense are as follows (in thousands):

 

 

 

Three Months Ended
September 30,

 

 

 

2012

 

2013

 

Service cost

 

$

278

 

$

293

 

Amortization of prior service cost

 

230

 

202

 

Net periodic pension expense

 

$

508

 

$

495

 

XML 18 R18.htm IDEA: XBRL DOCUMENT v2.4.0.8
Basis of Presentation (Tables)
3 Months Ended
Sep. 30, 2013
Basis of Presentation  
Schedule of computation of basic and diluted earnings per share

The following table sets forth the computation of basic and diluted earnings per share (in thousands, except per share amounts):

 

 

 

Three Months Ended
September 30,

 

 

 

2012

 

2013

 

Net income for diluted earnings per share calculation

 

$

6,339

 

$

6,394

 

 

 

 

 

 

 

Weighted average shares for basic earnings per share calculation

 

19,906

 

19,971

 

Dilutive effect of stock awards

 

665

 

649

 

Weighted average shares for diluted earnings per share calculation

 

20,571

 

20,620

 

 

 

 

 

 

 

Basic net income per share

 

$

0.32

 

$

0.32

 

Diluted net income per share

 

$

0.31

 

$

0.31

 

Summary of the inputs used in valuing investments carried at fair value

The following is a summary of the inputs used in valuing investments carried at fair value (in thousands):

 

 

 

Level 1

 

Level 2

 

June 30,
2013

 

Level 1

 

Level 2

 

September 30,
2013

 

Equity securities

 

316

 

 

316

 

304

 

 

304

 

Insurance company contracts

 

 

13,914

 

13,914

 

 

14,978

 

14,978

 

Interest rate contract

 

 

66

 

66

 

 

39

 

39

 

Total

 

$

316

 

$

13,980

 

$

14,296

 

$

304

 

$

15,017

 

$

15,321

 

XML 19 R38.htm IDEA: XBRL DOCUMENT v2.4.0.8
Commitments and Contingencies (Details) (USD $)
3 Months Ended 3 Months Ended
Sep. 30, 2013
Item
Sep. 30, 2012
Jun. 30, 2013
Sep. 30, 2013
Mexican government
Jun. 30, 2012
Mexican government
Sep. 30, 2013
Maximum
Sep. 30, 2013
Royalty payments
Item
Contingent Acquisition Obligations              
Maximum amount of future payments under contingent consideration           $ 52,000,000  
Purchase agreements containing royalty payments, number             1
Advances from Customers              
Advances from customers       95,800,000 100,000,000    
Fair value of contingent payment obligations 21,400,000   15,400,000        
Environmental Contingencies              
Number of investigations discovering soil and groundwater contamination at Hawthorne, CA facility 1            
Changes in provision for warranties              
Balance at beginning of period 12,890,000 17,562,000          
Additions and adjustments 1,254,000 709,000          
Reductions for warranty repair costs (785,000) (1,352,000)          
Balance at end of period $ 13,359,000 $ 16,919,000          
XML 20 R27.htm IDEA: XBRL DOCUMENT v2.4.0.8
Basis of Presentation (Details) (USD $)
In Thousands, except Share data, unless otherwise specified
3 Months Ended
Sep. 30, 2013
Item
Sep. 30, 2012
Item
Description of business    
Number of operating divisions 3 3
Earnings per Share    
Antidilutive shares associated with stock options or stock awards or units 0 0
Computation of basic and diluted earnings per share    
Net income for diluted earnings per share calculation $ 6,394 $ 6,339
Weighted average shares for basic earnings per share calculation 19,971,000 19,906,000
Dilutive effect of stock awards 649,000 665,000
Weighted average shares for diluted earnings per share calculation 20,620,000 20,571,000
Basic net income per share (in dollars per share) $ 0.32 $ 0.32
Diluted net income per share (in dollars per share) $ 0.31 $ 0.31
XML 21 R26.htm IDEA: XBRL DOCUMENT v2.4.0.8
Segment Information (Tables)
3 Months Ended
Sep. 30, 2013
Segment Information  
Schedule of operations and identifiable assets by industry segment

The following tables present the operations and identifiable assets by industry segment (in thousands):

 

 

 

Three Months Ended
September 30,

 

 

 

2012

 

2013

 

Revenues — by Segment:

 

 

 

 

 

Security division

 

$

82,916

 

$

97,153

 

Healthcare division

 

51,581

 

45,787

 

Optoelectronics and Manufacturing division, including intersegment revenues

 

57,147

 

71,311

 

Intersegment revenues elimination

 

(9,950

)

(7,977

)

Total

 

$

181,694

 

$

206,274

 

 

 

 

Three Months Ended
September 30,

 

 

 

2012

 

2013

 

Operating income (loss) — by Segment:

 

 

 

 

 

Security division

 

$

4,465

 

$

11,622

 

Healthcare division

 

3,881

 

(1,998

)

Optoelectronics and Manufacturing division

 

4,833

 

4,765

 

Corporate

 

(3,249

)

(4,045

)

Eliminations(1)

 

184

 

129

 

Total

 

$

10,114

 

$

10,473

 

 

 

 

June 30,
 2013

 

September 30,
 2013

 

Assets — by Segment:

 

 

 

 

 

Security division

 

$

499,539

 

$

512,063

 

Healthcare division

 

190,963

 

175,757

 

Optoelectronics and Manufacturing division

 

158,584

 

190,861

 

Corporate

 

75,496

 

78,758

 

Eliminations(1)

 

(4,786

)

(4,657

)

Total

 

$

919,796

 

$

952,782

 

 

 

(1)      Eliminations within operating income primarily reflect the change in the elimination of intercompany profit in inventory not-yet-realized. Eliminations in assets reflect the amount of intercompany profits in inventory as of the balance sheet date. Such intercompany profit will be realized when inventory is shipped to the external customers of the Security and Healthcare divisions.

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    Restructuring and Other Charges (Details) (USD $)
    In Thousands, unless otherwise specified
    3 Months Ended
    Sep. 30, 2013
    Restructuring and other charges  
    Accrued balance at the beginning of the period $ 2,748
    Total expensed during the period 4,239
    Paid during the period 2,245
    Accrued balance at the end of the period 4,742
    Facility closure costs related to a facility relocation
     
    Restructuring and other charges  
    Total expensed during the period 2,009
    Employee termination costs related to facility consolidations
     
    Restructuring and other charges  
    Total expensed during the period 637
    Charges related to contract settlement
     
    Restructuring and other charges  
    Total expensed during the period 1,593
    Security Division
     
    Restructuring and other charges  
    Accrued balance at the beginning of the period 1,043
    Total expensed during the period 1,593
    Paid during the period 1,378
    Accrued balance at the end of the period 1,258
    Security Division | Charges related to contract settlement
     
    Restructuring and other charges  
    Total expensed during the period 1,593
    Healthcare Division
     
    Restructuring and other charges  
    Accrued balance at the beginning of the period 1,639
    Total expensed during the period 2,009
    Paid during the period 639
    Accrued balance at the end of the period 3,009
    Healthcare Division | Facility closure costs related to a facility relocation
     
    Restructuring and other charges  
    Total expensed during the period 2,009
    Optoelectronics and Manufacturing Division
     
    Restructuring and other charges  
    Accrued balance at the beginning of the period 66
    Total expensed during the period 637
    Paid during the period 228
    Accrued balance at the end of the period 475
    Optoelectronics and Manufacturing Division | Employee termination costs related to facility consolidations
     
    Restructuring and other charges  
    Total expensed during the period $ 637

    XML 24 R40.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Segment Information (Details 2) (USD $)
    In Thousands, unless otherwise specified
    3 Months Ended
    Sep. 30, 2013
    Sep. 30, 2012
    Jun. 30, 2013
    Operations and identifiable assets by industry segment      
    Revenues $ 206,274 $ 181,694  
    Operating income (loss) 10,473 10,114  
    Assets 952,782   919,796
    Corporate
         
    Operations and identifiable assets by industry segment      
    Operating income (loss) (4,045) (3,249)  
    Assets 78,758   75,496
    Operating Segments | Security division
         
    Operations and identifiable assets by industry segment      
    Revenues 97,153 82,916  
    Operating income (loss) 11,622 4,465  
    Assets 512,063   499,539
    Operating Segments | Healthcare division
         
    Operations and identifiable assets by industry segment      
    Revenues 45,787 51,581  
    Operating income (loss) (1,998) 3,881  
    Assets 175,757   190,963
    Operating Segments | Optoelectronics and Manufacturing division, including intersegment revenues
         
    Operations and identifiable assets by industry segment      
    Revenues 71,311 57,147  
    Operating income (loss) 4,765 4,833  
    Assets 190,861   158,584
    Eliminations
         
    Operations and identifiable assets by industry segment      
    Revenues (7,977) (9,950)  
    Operating income (loss) 129 184  
    Assets $ (4,657)   $ (4,786)
    XML 25 R31.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Goodwill and Intangible Assets (Details) (USD $)
    In Thousands, unless otherwise specified
    3 Months Ended
    Sep. 30, 2013
    Changes in the carrying amount of goodwill  
    Balance at the beginning of the period $ 83,743
    Goodwill acquired or adjusted during the period 6,591
    Foreign currency translation adjustment 684
    Balance at the end of the period 91,018
    Security Division
     
    Changes in the carrying amount of goodwill  
    Balance at the beginning of the period 28,546
    Foreign currency translation adjustment 142
    Balance at the end of the period 28,688
    Healthcare Division
     
    Changes in the carrying amount of goodwill  
    Balance at the beginning of the period 35,827
    Goodwill acquired or adjusted during the period 1,018
    Foreign currency translation adjustment 175
    Balance at the end of the period 37,020
    Optoelectronics and Manufacturing Division
     
    Changes in the carrying amount of goodwill  
    Balance at the beginning of the period 19,370
    Goodwill acquired or adjusted during the period 5,573
    Foreign currency translation adjustment 367
    Balance at the end of the period $ 25,310
    XML 26 R25.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Commitments and Contingencies (Tables)
    3 Months Ended
    Sep. 30, 2013
    Commitments and Contingencies  
    Schedule of changes in warranty provisions

    The following table presents changes in warranty provisions (in thousands):

     

     

     

    Three Months Ended
     September 30,

     

     

     

    2012

     

    2013

     

    Balance at beginning of period

     

    $

    17,562

     

    $

    12,890

     

    Additions and adjustments

     

    709

     

    1,254

     

    Reductions for warranty repair costs

     

    (1,352

    )

    (785

    )

    Balance at end of period

     

    $

    16,919

     

    $

    13,359

     

    XML 27 R6.htm IDEA: XBRL DOCUMENT v2.4.0.8
    CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
    In Thousands, unless otherwise specified
    3 Months Ended
    Sep. 30, 2013
    Sep. 30, 2012
    Cash flows from operating activities:    
    Net income $ 6,394 $ 6,339
    Adjustments to reconcile net income to net cash provided by operating activities:    
    Depreciation and amortization 12,873 4,907
    Stock based compensation expense 5,638 3,533
    Provision for losses on accounts receivable 23 294
    Equity in earnings of unconsolidated affiliates (30) (13)
    Deferred income taxes 72 140
    Other 128 1
    Changes in operating assets and liabilities-net of business acquisitions:    
    Accounts receivable 6,305 11,190
    Inventories (16,092) 2,286
    Prepaid expenses and other assets 832 2,318
    Accounts payable (3,151) 28,055
    Accrued payroll and related expenses (2,308) (4,656)
    Advances from customers (708) (8,954)
    Accrued warranties 77 (831)
    Deferred revenue (3,145) (2,077)
    Other accrued expenses and liabilities (661) (155)
    Net cash provided by operating activities 6,247 42,377
    Cash flows from investing activities:    
    Acquisition of property and equipment (7,971) (62,718)
    Acquisition of businesses (9,302) (1,897)
    Acquisition of intangible and other assets (1,756) (1,416)
    Net cash used in investing activities (19,029) (66,031)
    Cash flows from financing activities:    
    Net borrowings on bank lines of credit 20,000  
    Proceeds from long-term debt 2,769 11,100
    Payments on long-term debt (805) (55)
    Proceeds from exercise of stock options and employee stock purchase plan 1,501 2,951
    Repurchase of common shares (1,514) (835)
    Taxes paid related to net share settlement of equity awards (7,481) (8,596)
    Net cash provided by financing activities 14,470 4,565
    Effect of exchange rate changes on cash 801 1,344
    Net increase (decrease) in cash and cash equivalents 2,489 (17,745)
    Cash and cash equivalents-beginning of period 34,697 91,452
    Cash and cash equivalents-end of period 37,186 73,707
    Cash paid, net during the period for:    
    Interest 1,174 129
    Income taxes $ 4,001 $ 1,450
    XML 28 R8.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Balance Sheet Details
    3 Months Ended
    Sep. 30, 2013
    Balance Sheet Details  
    Balance Sheet Details

    2. Balance Sheet Details

     

    The following tables provide details of selected balance sheet accounts (in thousands):

     

     

     

    June 30,
    2013

     

    September 30,
    2013

     

    Accounts receivable

     

     

     

     

     

    Billed receivables

     

    $

    179,458

     

    $

    164,005

     

    Unbilled receivables

     

    34,636

     

    47,261

     

    Less allowance for doubtful accounts

     

    (7,277

    )

    (5,983

    )

    Total

     

    $

    206,817

     

    $

    205,283

     

     

    Unbilled receivables included earned but unbilled revenue that was billed and collected subsequent to the quarter-end.

     

     

     

    June 30,
    2013

     

    September 30,
    2013

     

    Inventories

     

     

     

     

     

    Raw materials

     

    $

    117,416

     

    $

    120,799

     

    Work-in-process

     

    37,337

     

    49,579

     

    Finished goods

     

    51,460

     

    57,629

     

    Total

     

    $

    206,213

     

    $

    228,007

     

     

     

     

    June 30,
    2013

     

    September 30,
    2013

     

    Property and equipment, net

     

     

     

     

     

    Land

     

    $

    8,365

     

    $

    8,365

     

    Buildings and improvements

     

    102,187

     

    140,650

     

    Leasehold improvements

     

    9,302

     

    9,787

     

    Equipment and tooling

     

    135,437

     

    145,054

     

    Furniture and fixtures

     

    3,551

     

    3,884

     

    Computer equipment

     

    14,309

     

    16,019

     

    Computer software

     

    15,209

     

    15,422

     

    Construction in process

     

    48,713

     

    11,017

     

    Total

     

    337,073

     

    350,198

     

    Less: accumulated depreciation and amortization

     

    (88,044

    )

    (100,792

    )

    Property and equipment, net

     

    $

    249,029

     

    $

    249,406

     

     

    Construction in process consists primarily of costs related to infrastructure in Mexico that will be depreciated when assets are placed into service.

     

    During the three months ended September 30, 2012 and 2013, depreciation expense was approximately $3.7 million and $11.5 million, respectively.

    XML 29 R11.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Restructuring and Other Charges
    3 Months Ended
    Sep. 30, 2013
    Restructuring and Other Charges  
    Restructuring and Other Charges

    5.  Restructuring and Other Charges

     

    The following table summarizes the restructuring and other charges (in thousands):

     

     

     

    Security
    Division

     

    Healthcare
    Division

     

    Optoelectronics
    and
    Manufacturing
    Division

     

    Corporate

     

    Consolidated

     

    Accrued balance as of June 30, 2013

     

    $

    1,043

     

    $

    1,639

     

    $

    66

     

     

    $

    2,748

     

    Expensed during the period:

     

     

     

     

     

     

     

     

     

     

     

    Facility closure costs related to a facility relocation(1)

     

     

    2,009

     

     

     

    2,009

     

    Employee termination costs related to facility consolidations(2)

     

     

     

    637

     

     

    637

     

    Charges related to contract settlement(3)

     

    1,593

     

     

     

     

    1,593

     

    Total expensed during the period

     

    1,593

     

    2,009

     

    637

     

     

    4,239

     

    Paid during the period

     

    1,378

     

    639

     

    228

     

     

    2,245

     

    Accrued balance as of September 30, 2013

     

    $

    1,258

     

    $

    3,009

     

    $

    475

     

     

    $

    4,742

     

     

     

    (1)         The facility relocation began in fiscal 2013 and was completed during the first quarter of fiscal 2014.

    (2)         The facility consolidations began in the first quarter of fiscal 2014 and are expected to be completed during the remainder of the fiscal year.

    (3)         This relates to further costs related to a contract settlement with the Transportation Security Administration (TSA) entered into in fiscal 2013, including costs for removal, storage and refurbishing costs for products previously sold to the TSA, and legal costs.

     

    XML 30 R9.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Goodwill and Intangible Assets
    3 Months Ended
    Sep. 30, 2013
    Goodwill and Intangible Assets  
    Goodwill and Intangible Assets

    3. Goodwill and Intangible Assets

     

    The changes in the carrying value of goodwill for the three-month period ended September 30, 2013 are as follows (in thousands):

     

     

     

    Security
    Division

     

    Healthcare
    Division

     

    Optoelectronics
    and
    Manufacturing
    Division

     

    Consolidated

     

    Balance as of June 30, 2013

     

    $

    28,546

     

    $

    35,827

     

    $

    19,370

     

    $

    83,743

     

    Goodwill acquired or adjusted during the period

     

     

    1,018

     

    5,573

     

    6,591

     

    Foreign currency translation adjustment

     

    142

     

    175

     

    367

     

    684

     

    Balance as of September 30, 2013

     

    $

    28,688

     

    $

    37,020

     

    $

    25,310

     

    $

    91,018

     

     

    Intangible assets consisted of the following (in thousands):

     

     

     

     

     

    June 30, 2013

     

    September 30, 2013

     

     

     

    Weighted
    Average
    Lives

     

    Gross
    Carrying
    Value

     

    Accumulated
    Amortization

     

    Intangibles
    Net

     

    Gross
    Carrying
    Value

     

    Accumulated
    Amortization

     

    Intangibles
    Net

     

    Amortizable assets:

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

    Software development costs

     

    5 years

     

    $

    17,350

     

    $

    5,396

     

    $

    11,954

     

    $

    18,590

     

    $

    5,913

     

    $

    12,677

     

    Patents

     

    13 years

     

    5,400

     

    635

     

    4,765

     

    5,821

     

    668

     

    5,153

     

    Core technology

     

    10 years

     

    2,058

     

    1,728

     

    330

     

    2,161

     

    1,868

     

    293

     

    Developed technology

     

    10 years

     

    20,002

     

    14,620

     

    5,382

     

    15,611

     

    10,643

     

    4,968

     

    Customer relationships/backlog

     

    8 years

     

    9,178

     

    5,624

     

    3,554

     

    11,305

     

    5,985

     

    5,320

     

    Total amortizable assets

     

     

     

    53,988

     

    28,003

     

    25,985

     

    53,488

     

    25,077

     

    28,411

     

    Non-amortizable assets:

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

    Trademarks

     

     

     

    10,618

     

     

    10,618

     

    11,878

     

     

    11,878

     

    Total intangible assets

     

     

     

    $

    64,606

     

    $

    28,003

     

    $

    36,603

     

    $

    65,366

     

    $

    25,077

     

    $

    40,289

     

     

    Amortization expense related to intangibles assets was $1.2 million and $1.4 million for the three months ended September 30, 2012 and 2013, respectively. At September 30, 2013, the estimated future amortization expense was as follows (in thousands):

     

    Fiscal Years

     

     

     

     

     

     

     

    2014 (remaining 9 months)

     

    $

    2,817

     

    2015

     

    2,554

     

    2016

     

    2,025

     

    2017

     

    1,682

     

    2018

     

    1,573

     

    2019

     

    1,471

     

    2020 and thereafter, including assets that have not yet begun to be amortized

     

    16,289

     

    Total

     

    $

    28,411

     

     

    Software development costs for software products incurred before establishing technological feasibility are charged to operations. Software development costs incurred after establishing technological feasibility are capitalized on a product by product basis until the product is available for general release to customers at which time amortization begins. Annual amortization, charged to cost of goods sold, is the greater of (i) the amount computed using the ratio that current gross revenues for a product bear to the total current and anticipated future gross revenues for that product and (ii) the straight line method over the remaining estimated economic life of the product. Amortizable assets that have not yet begun to be amortized are included in thereafter in the table above. During the three months ended September 30, 2012 and 2013, the Company capitalized software development costs in the amount of $1.5 million and $1.2 million, respectively.

     

    XML 31 R28.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Basis of Presentation (Details 2) (USD $)
    In Thousands, unless otherwise specified
    3 Months Ended 12 Months Ended
    Sep. 30, 2013
    Jun. 30, 2013
    Level 3
       
    Fair value of financial instruments    
    Fair value of liabilities $ 0 $ 0
    Fair value of assets 0 0
    Recurring | Level 1
       
    Fair value of financial instruments    
    Total 304 316
    Recurring | Level 1 | Equity securities
       
    Fair value of financial instruments    
    Equity securities 304 316
    Recurring | Level 2
       
    Fair value of financial instruments    
    Insurance company contracts 14,978 13,914
    Interest rate contract 39 66
    Total 15,017 13,980
    Recurring | Total
       
    Fair value of financial instruments    
    Insurance company contracts 14,978 13,914
    Interest rate contract 39 66
    Total 15,321 14,296
    Recurring | Total | Equity securities
       
    Fair value of financial instruments    
    Equity securities 304 316
    Non-recurring
       
    Fair value of financial instruments    
    Fair value of liabilities 0 0
    Fair value of assets $ 0 $ 0
    XML 32 R32.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Goodwill and Intangible Assets (Details 2) (USD $)
    3 Months Ended
    Sep. 30, 2013
    Sep. 30, 2012
    Jun. 30, 2013
    Amortizable assets:      
    Gross Carrying Value $ 53,488,000   $ 53,988,000
    Accumulated Amortization 25,077,000   28,003,000
    Intangibles Net 28,411,000   25,985,000
    Total intangible assets      
    Gross Carrying Value 65,366,000   64,606,000
    Intangibles Net 40,289,000   36,603,000
    Amortization expense 1,400,000 1,200,000  
    Estimated future amortization expense      
    2014 (remaining 9 months) 2,817,000    
    2015 2,554,000    
    2016 2,025,000    
    2017 1,682,000    
    2018 1,573,000    
    2019 1,471,000    
    2020 and thereafter, including assets that have not yet begun to be amortized 16,289,000    
    Intangibles Net 28,411,000   25,985,000
    Trademarks
         
    Non-amortizable assets:      
    Gross Carrying Value 11,878,000   10,618,000
    Software development costs
         
    Intangible assets      
    Weighted Average Lives 5 years    
    Amortizable assets:      
    Gross Carrying Value 18,590,000   17,350,000
    Accumulated Amortization 5,913,000   5,396,000
    Intangibles Net 12,677,000   11,954,000
    Estimated future amortization expense      
    Intangibles Net 12,677,000   11,954,000
    Capitalized software development costs 1,200,000 1,500,000  
    Patents
         
    Intangible assets      
    Weighted Average Lives 13 years    
    Amortizable assets:      
    Gross Carrying Value 5,821,000   5,400,000
    Accumulated Amortization 668,000   635,000
    Intangibles Net 5,153,000   4,765,000
    Estimated future amortization expense      
    Intangibles Net 5,153,000   4,765,000
    Core technology
         
    Intangible assets      
    Weighted Average Lives 10 years    
    Amortizable assets:      
    Gross Carrying Value 2,161,000   2,058,000
    Accumulated Amortization 1,868,000   1,728,000
    Intangibles Net 293,000   330,000
    Estimated future amortization expense      
    Intangibles Net 293,000   330,000
    Developed technology
         
    Intangible assets      
    Weighted Average Lives 10 years    
    Amortizable assets:      
    Gross Carrying Value 15,611,000   20,002,000
    Accumulated Amortization 10,643,000   14,620,000
    Intangibles Net 4,968,000   5,382,000
    Estimated future amortization expense      
    Intangibles Net 4,968,000   5,382,000
    Customer relationships/backlog
         
    Intangible assets      
    Weighted Average Lives 8 years    
    Amortizable assets:      
    Gross Carrying Value 11,305,000   9,178,000
    Accumulated Amortization 5,985,000   5,624,000
    Intangibles Net 5,320,000   3,554,000
    Estimated future amortization expense      
    Intangibles Net $ 5,320,000   $ 3,554,000
    XML 33 R37.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Retirement Benefit Plans (Details) (USD $)
    3 Months Ended
    Sep. 30, 2013
    Sep. 30, 2012
    Net Periodic Benefit Costs    
    Service cost $ 293,000 $ 278,000
    Amortization of prior service cost 202,000 230,000
    Net periodic pension expense 495,000 508,000
    Contributions made by the entity to the defined benefit plans 100,000 100,000
    Contributions made by the entity to defined contribution plans $ 1,000,000 $ 1,000,000
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    Sep. 30, 2013
    Jun. 30, 2013
    CONDENSED CONSOLIDATED BALANCE SHEETS    
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    Preferred stock, authorized shares 10,000,000 10,000,000
    Preferred stock, shares issued 0 0
    Preferred stock, shares outstanding 0 0
    Common stock, par value (in dollars per share) $ 0.001 $ 0.001
    Common stock, authorized shares 100,000,000 100,000,000
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    Commitments and Contingencies
    3 Months Ended
    Sep. 30, 2013
    Commitments and Contingencies  
    Commitments and Contingencies

    8. Commitments and Contingencies

     

    Legal Proceedings

     

    The Company is involved in various claims and legal proceedings arising in the ordinary course of business. In the Company’s opinion after consultation with legal counsel, the ultimate disposition of such proceedings is not likely to have a material adverse effect on its business, financial condition, results of operations or cash flows.  The Company has not accrued for loss contingencies relating to such matters because the Company believes that, although unfavorable outcomes in the proceedings may be possible, they are not considered by management to be probable or reasonably estimable. If one or more of these matters are resolved in a manner adverse to the Company, the impact on the Company’s business, financial condition, results of operations and/or liquidity could be material.

     

    Contingent Acquisition Obligations

     

    Under the terms and conditions of the purchase agreements associated with certain acquisitions, the Company may be obligated to make additional payments based on the achievement by the acquired operations of certain sales or profitability milestones. The maximum amount of such future payments under arrangements with contingent consideration caps is $52 million as of September 30, 2013. In addition, one of the purchase agreements the Company entered into requires royalty payments through 2022 based on the license of, or sales of products containing the technology of CXR Limited, a company acquired in 2004. For acquisitions that occurred prior to fiscal year 2010, the Company accounts for such contingent payments as an addition to the purchase price of the acquired business. Otherwise, the estimated fair value of these obligations is recorded as a liability in the Condensed Consolidated Balance Sheets with subsequent revisions reflected in the Condensed Consolidated Statements of Operations. As of June 30, 2013 and September 30, 2013, $15.4 million and $21.4 million of contingent payment obligations, respectively, are included in Other long term liabilities in the accompanying condensed consolidated balance sheets.

     

    Advances from Customers

     

    The Company receives advances from customers associated with certain projects.  In fiscal 2012, the Company entered into an agreement with the Mexican government to provide a turnkey security screening solution along the country’s borders, and in its ports and airports.  Associated with the agreement, the Company was provided an advance totaling $100 million.  The Company is obligated to provide a guarantee until the advance has been amortized.  As of September 30, 2013, $95.8 million of this advance remains outstanding.

     

    Environmental Contingencies

     

    The Company is subject to various environmental laws. The Company’s practice is to conduct appropriate environmental investigations for each of its properties in the United States at which the Company manufactures products in order to identify, as of the date of such report, potential areas of environmental concern related to past and present activities or from nearby operations. In certain cases, the Company has conducted further environmental assessments consisting of soil and groundwater testing and other investigations deemed appropriate by independent environmental consultants.

     

    During one investigation, the Company discovered soil and groundwater contamination at its Hawthorne, California facility that the Company believes was the result of unspecified historical releases prior to our occupancy. This site had been used since the mid 1960’s by other companies for semiconductor manufacturing similar to our present operations and was part of a large aircraft manufacturing complex during World War II. It is not presently known when the releases occurred or by whom they were caused. The groundwater contamination is a known regional problem, not limited to our premises or our immediate surroundings. The Company filed the requisite reports concerning this problem with the appropriate environmental authorities in fiscal 2001. We were recently contacted by the local governing agency with a request to provide additional historical information and further characterization of the site. Historical reports and site characterization work plans were completed in fiscal 2013 and further site characterization studies, including soil and groundwater investigations, are scheduled for fiscal 2014. These studies are necessary to determine the extent of the on-site releases and if any remediation of such contamination will be required.

     

    The Company has not accrued for loss contingencies relating to the Hawthorne facility or any other environmental matters because it believes that, although unfavorable outcomes may be possible, they are not considered by the Company’s management to be probable and reasonably estimable. If one or more of environmental matters are resolved in a manner adverse to the Company, the impact on the Company’s business, financial condition, results of operations, financial position and/or liquidity could be material.

     

    Indemnifications

     

    In the normal course of business, the Company has agreed to indemnify certain parties with respect to certain matters. The Company has agreed to hold certain parties harmless against losses arising from a breach of representations or covenants, or out of intellectual property infringement or other claims made by third parties. These agreements may limit the time within which an indemnification claim can be made and the amount of the claim. In addition, the Company has entered into indemnification agreements with its officers and directors. It is not possible to determine the maximum potential amount under these indemnification agreements due to the limited history of prior indemnification claims and the unique facts and circumstances involved in each particular agreement. The Company has not recorded any liability for costs related to indemnification as of September 30, 2013.

     

    Product Warranties

     

    The Company offers its customers warranties on many of the products that it sells. These warranties typically provide for repairs and maintenance of the products if problems arise during a specified time period after original shipment. Concurrent with the sale of products, the Company records a provision for estimated warranty expenses with a corresponding increase in cost of goods sold. The Company periodically adjusts this provision based on historical experience and anticipated expenses. The Company charges actual expenses of repairs under warranty, including parts and labor, to this provision when incurred.

     

    The following table presents changes in warranty provisions (in thousands):

     

     

     

    Three Months Ended
     September 30,

     

     

     

    2012

     

    2013

     

    Balance at beginning of period

     

    $

    17,562

     

    $

    12,890

     

    Additions and adjustments

     

    709

     

    1,254

     

    Reductions for warranty repair costs

     

    (1,352

    )

    (785

    )

    Balance at end of period

     

    $

    16,919

     

    $

    13,359

     

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    In Thousands, unless otherwise specified
    3 Months Ended
    Sep. 30, 2013
    Sep. 30, 2012
    CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME    
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    Foreign currency translation adjustment 1,308 5,311
    Other 92 (454)
    Other comprehensive income 1,400 4,857
    Comprehensive income $ 7,794 $ 11,196
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    In Thousands, unless otherwise specified
    Sep. 30, 2013
    Jun. 30, 2013
    Current assets:    
    Cash and cash equivalents $ 37,186 $ 34,697
    Accounts receivable, net 205,283 206,817
    Inventories 228,007 206,213
    Prepaid expenses and other current assets 77,151 78,972
    Total current assets 547,627 526,699
    Property and equipment, net 249,406 249,029
    Goodwill 91,018 83,743
    Intangible assets, net 40,289 36,603
    Other assets 24,442 23,722
    Total assets 952,782 919,796
    Current liabilities:    
    Bank lines of credit 79,000 59,000
    Current portion of long-term debt 2,956 1,797
    Accounts payable 97,334 97,050
    Accrued payroll and related expenses 26,432 28,503
    Advances from customers 42,979 37,432
    Accrued warranties 13,359 12,890
    Deferred revenue 15,549 18,131
    Other accrued expenses and current liabilities 28,311 26,610
    Total current liabilities 305,920 281,413
    Long-term debt 12,273 10,673
    Advances from customers 68,750 75,000
    Other long-term liabilities 81,449 74,259
    Total liabilities 468,392 441,345
    Commitments and contingencies (Note 8)      
    Stockholders' equity:    
    Preferred stock, $0.001 par value, 10,000,000 shares authorized; no shares issued or outstanding      
    Common stock, $0.001 par value, 100,000,000 shares authorized; 19,914,089 shares issued and outstanding at June 30, 2013 and 20,053,538 shares at September 30, 2013 283,146 285,001
    Retained earnings 206,180 199,786
    Accumulated other comprehensive loss (4,936) (6,336)
    Total stockholders' equity 484,390 478,451
    Total liabilities and stockholders' equity $ 952,782 $ 919,796
    XML 40 R29.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Basis of Presentation (Details 3) (Foreign exchange contracts, Not designated as hedge, USD $)
    In Millions, unless otherwise specified
    Sep. 30, 2013
    Foreign exchange contracts | Not designated as hedge
     
    Derivative Instruments and Hedging Activity  
    Outstanding foreign currency forward contracts $ 4.0
    XML 41 R23.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Stock-based Compensation (Tables)
    3 Months Ended
    Sep. 30, 2013
    Stock-based Compensation  
    Schedule of stock-based compensation expense recorded in the condensed consolidated statements of operations

    The Company recorded stock-based compensation expense in the condensed consolidated statements of operations as follows (in thousands):

     

     

     

    Three Months Ended
    September 30,

     

     

     

    2012

     

    2013

     

    Cost of goods sold

     

    $

    136

     

    $

    269

     

    Selling, general and administrative

     

    3,332

     

    5,303

     

    Research and development

     

    63

     

    66

     

    Stock-based compensation expense before taxes

     

    $

    3,531

     

    $

    5,638

     

    Less: related income tax benefit

     

    1,335

     

    2,174

     

    Stock-based compensation expense, net of estimated taxes

     

    $

    2,196

     

    $

    3,464

     

    Summary of stock option activity

     

     

     

    Number of
    Options

     

    Weighted-
    Average
    Exercise
    Price

     

    Weighted-Average
    Remaining Contractual
    Term

     

    Aggregate
    Intrinsic Value
    (in thousands)

     

    Outstanding at June 30, 2013

     

    1,019,733

     

    $

    26.33

     

     

     

     

     

    Granted

     

    6,500

     

    $

    69.88

     

     

     

     

     

    Exercised

     

    (1,169

    )

    $

    39.97

     

     

     

     

     

    Expired or forfeited

     

    (330

    )

    $

    54.50

     

     

     

     

     

    Outstanding at September 30, 2013

     

    1,024,734

     

    $

    26.58

     

    6.4 years

     

    $

    48,983

     

    Exercisable at September 30, 2013

     

    826,793

     

    $

    20.67

     

    5.9 years

     

    $

    43,269

    Summary of restricted stock and restricted stock unit award activity

     

     

     

    Shares

     

    Weighted-
    Average
    Fair Value

     

    Nonvested at June 30, 2013

     

    627,124

     

    $

    43.13

     

    Granted

     

    312,398

     

    63.45

     

    Vested

     

    (231,359

    )

    40.72

     

    Forfeited

     

    (1,429

    )

    47.94

     

    Nonvested at September 30, 2013

     

    706,734

     

    $

    52.95

     

    XML 42 R39.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Segment Information (Details)
    3 Months Ended
    Sep. 30, 2013
    Item
    Sep. 30, 2012
    Item
    Segment Information    
    Number of identifiable industry segments 3 3
    XML 43 R35.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Stock-based Compensation (Details) (USD $)
    3 Months Ended
    Sep. 30, 2013
    Item
    Sep. 30, 2012
    Stock-based Compensation    
    Number of share-based employee compensation plans 2  
    Stock based compensation expense    
    Stock-based compensation expense before taxes $ 5,638,000 $ 3,531,000
    Less: related income tax benefit 2,174,000 1,335,000
    Stock-based compensation expense, net of estimated taxes 3,464,000 2,196,000
    Stock Options
       
    Stock-based compensation, other disclosures    
    Unrecognized compensation cost 1,900,000  
    Weighted-average period 1 year 9 months 18 days  
    Restricted stock and restricted stock unit
       
    Stock-based compensation, other disclosures    
    Unrecognized compensation cost 29,900,000  
    Weighted-average period 1 year 10 months 24 days  
    Cost of goods sold
       
    Stock based compensation expense    
    Stock-based compensation expense before taxes 269,000 136,000
    Selling, general and administrative
       
    Stock based compensation expense    
    Stock-based compensation expense before taxes 5,303,000 3,332,000
    Research and development
       
    Stock based compensation expense    
    Stock-based compensation expense before taxes $ 66,000 $ 63,000
    XML 44 R36.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Stock-based Compensation (Details 2) (USD $)
    In Thousands, except Share data, unless otherwise specified
    3 Months Ended
    Sep. 30, 2013
    Sep. 30, 2012
    2012 Plan
       
    Weighted-Average Fair Value    
    Securities available for grant 3,308,870  
    Stock Options
       
    Number of Options    
    Outstanding at the beginning of the period (in shares) 1,019,733  
    Granted (in shares) 6,500  
    Exercised (in shares) (1,169)  
    Expired or forfeited (in shares) (330)  
    Outstanding at the end of the period (in shares) 1,024,734  
    Exercisable at the end of the period (in shares) 826,793  
    Weighted-Average Exercise Price    
    Outstanding at the beginning of the period (in dollars per share) $ 26.33  
    Granted (in dollars per share) $ 69.88  
    Exercised (in dollars per share) $ 39.97  
    Expired or forfeited (in dollars per share) $ 54.50  
    Outstanding at the end of the period (in dollars per share) $ 26.58  
    Exercisable at the end of the period (in dollars per share) $ 20.67  
    Weighted-Average Remaining Contractual Term    
    Outstanding at the end of the period (in years) 6 years 4 months 24 days  
    Exercisable at the end of the period 5 years 10 months 24 days  
    Aggregate Intrinsic Value    
    Outstanding at the end of the period $ 48,983  
    Exercisable at the end of the period $ 43,269  
    Restricted stock and restricted stock unit
       
    Shares    
    Nonvested at the beginning of the period (in shares) 627,124  
    Granted (in shares) 312,398  
    Vested (in shares) (231,359)  
    Forfeited (in shares) (1,429)  
    Nonvested at the end of the period (in shares) 706,734  
    Weighted-Average Fair Value    
    Nonvested at the beginning of the period (in dollars per share) $ 43.13  
    Granted (in dollars per share) $ 63.45  
    Vested (in dollars per share) $ 40.72  
    Forfeited (in dollars per share) $ 47.94  
    Nonvested at the end of the period (in dollars per share) $ 52.95  
    Restricted stock and restricted stock unit | 2012 Plan
       
    Weighted-Average Fair Value    
    Number of shares available for grant reduced for each share granted 1.87  
    Number of shares available for grant increased for each share forfeited and returned 1.87  
    Performance-based restricted stock units
       
    Shares    
    Granted (in shares) 160,922 178,500
    Performance-based restricted stock units | Minimum
       
    Weighted-Average Fair Value    
    Payout as a percentage of the original number of shares awarded or units awarded, which are converted into shares of the Company's common stock 0.00%  
    Performance-based restricted stock units | Maximum
       
    Weighted-Average Fair Value    
    Payout as a percentage of the original number of shares awarded or units awarded, which are converted into shares of the Company's common stock 250.00%  
    XML 45 R13.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Retirement Benefit Plans
    3 Months Ended
    Sep. 30, 2013
    Retirement Benefit Plans  
    Retirement Benefit Plans

    7. Retirement Benefit Plans

     

    The Company sponsors various retirement benefit plans including qualified and nonqualified defined benefit pension plans for its employees. The components of net periodic pension expense are as follows (in thousands):

     

     

     

    Three Months Ended
    September 30,

     

     

     

    2012

     

    2013

     

    Service cost

     

    $

    278

     

    $

    293

     

    Amortization of prior service cost

     

    230

     

    202

     

    Net periodic pension expense

     

    $

    508

     

    $

    495

     

     

    For each of the three months ended September 30, 2012 and 2013, the Company made contributions of $0.1 million to these defined benefit plans.

     

    In addition, the Company maintains various defined contribution plans. For each of the three months ended September 30, 2012 and 2013, the Company made contributions of $1.0 million to these defined contribution plans.

     

    XML 46 R30.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Balance Sheet Details (Details) (USD $)
    3 Months Ended
    Sep. 30, 2013
    Sep. 30, 2012
    Jun. 30, 2013
    Accounts receivable      
    Billed receivables $ 164,005,000   $ 179,458,000
    Unbilled receivables 47,261,000   34,636,000
    Less allowance for doubtful accounts (5,983,000)   (7,277,000)
    Total 205,283,000   206,817,000
    Inventories      
    Raw materials 120,799,000   117,416,000
    Work-in-process 49,579,000   37,337,000
    Finished goods 57,629,000   51,460,000
    Total 228,007,000   206,213,000
    Property and equipment, net      
    Property and equipment, gross 350,198,000   337,073,000
    Less: accumulated depreciation and amortization (100,792,000)   (88,044,000)
    Property and equipment, net 249,406,000   249,029,000
    Depreciation expense 11,500,000 3,700,000  
    Land
         
    Property and equipment, net      
    Property and equipment, gross 8,365,000   8,365,000
    Buildings and improvements
         
    Property and equipment, net      
    Property and equipment, gross 140,650,000   102,187,000
    Leasehold improvements
         
    Property and equipment, net      
    Property and equipment, gross 9,787,000   9,302,000
    Equipment and tooling
         
    Property and equipment, net      
    Property and equipment, gross 145,054,000   135,437,000
    Furniture and fixtures
         
    Property and equipment, net      
    Property and equipment, gross 3,884,000   3,551,000
    Computer equipment
         
    Property and equipment, net      
    Property and equipment, gross 16,019,000   14,309,000
    Computer software
         
    Property and equipment, net      
    Property and equipment, gross 15,422,000   15,209,000
    Construction in process
         
    Property and equipment, net      
    Property and equipment, gross $ 11,017,000   $ 48,713,000
    XML 47 R16.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Segment Information
    3 Months Ended
    Sep. 30, 2013
    Segment Information  
    Segment Information

    10. Segment Information

     

    The Company has determined that it operates in three identifiable industry segments, (a) security and inspection systems (Security division), (b) medical monitoring and anesthesia systems (Healthcare division) and (c) optoelectronic devices and manufacturing (Optoelectronics and Manufacturing division). The Company also has a corporate segment (Corporate) that includes executive compensation and certain other general and administrative expenses, expenses related to stock issuances’ and legal and audit and other professional service fees not allocated to product segments. Both the Security and Healthcare divisions comprise primarily end-user businesses, while the Optoelectronics and Manufacturing division primarily supplies components and subsystems to original equipment manufacturers, including to the Security and Healthcare divisions. Sales between divisions are at transfer prices that approximate market values.  All other accounting policies of the segments are the same as described in Note 1, Summary of Significant Accounting Policies of the Form 10-K for the fiscal year ended June 30, 2013.

     

    The following tables present the operations and identifiable assets by industry segment (in thousands):

     

     

     

    Three Months Ended
    September 30,

     

     

     

    2012

     

    2013

     

    Revenues — by Segment:

     

     

     

     

     

    Security division

     

    $

    82,916

     

    $

    97,153

     

    Healthcare division

     

    51,581

     

    45,787

     

    Optoelectronics and Manufacturing division, including intersegment revenues

     

    57,147

     

    71,311

     

    Intersegment revenues elimination

     

    (9,950

    )

    (7,977

    )

    Total

     

    $

    181,694

     

    $

    206,274

     

     

     

     

    Three Months Ended
    September 30,

     

     

     

    2012

     

    2013

     

    Operating income (loss) — by Segment:

     

     

     

     

     

    Security division

     

    $

    4,465

     

    $

    11,622

     

    Healthcare division

     

    3,881

     

    (1,998

    )

    Optoelectronics and Manufacturing division

     

    4,833

     

    4,765

     

    Corporate

     

    (3,249

    )

    (4,045

    )

    Eliminations(1)

     

    184

     

    129

     

    Total

     

    $

    10,114

     

    $

    10,473

     

     

     

     

    June 30,
     2013

     

    September 30,
     2013

     

    Assets — by Segment:

     

     

     

     

     

    Security division

     

    $

    499,539

     

    $

    512,063

     

    Healthcare division

     

    190,963

     

    175,757

     

    Optoelectronics and Manufacturing division

     

    158,584

     

    190,861

     

    Corporate

     

    75,496

     

    78,758

     

    Eliminations(1)

     

    (4,786

    )

    (4,657

    )

    Total

     

    $

    919,796

     

    $

    952,782

     

     

     

    (1)      Eliminations within operating income primarily reflect the change in the elimination of intercompany profit in inventory not-yet-realized. Eliminations in assets reflect the amount of intercompany profits in inventory as of the balance sheet date. Such intercompany profit will be realized when inventory is shipped to the external customers of the Security and Healthcare divisions.

     

    XML 48 R12.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Stock-based Compensation
    3 Months Ended
    Sep. 30, 2013
    Stock-based Compensation  
    Stock-based Compensation

    6. Stock-based Compensation

     

    As of September 30, 2013, the Company maintained two share-based employee compensation plans (the “OSI Plans”): the 2012 Incentive Award Plan (“2012 Plan”) and the 2006 Equity Participation Plan (“2006 Plan”).

     

    The Company recorded stock-based compensation expense in the condensed consolidated statements of operations as follows (in thousands):

     

     

     

    Three Months Ended
    September 30,

     

     

     

    2012

     

    2013

     

    Cost of goods sold

     

    $

    136

     

    $

    269

     

    Selling, general and administrative

     

    3,332

     

    5,303

     

    Research and development

     

    63

     

    66

     

    Stock-based compensation expense before taxes

     

    $

    3,531

     

    $

    5,638

     

    Less: related income tax benefit

     

    1,335

     

    2,174

     

    Stock-based compensation expense, net of estimated taxes

     

    $

    2,196

     

    $

    3,464

     

     

    As of September 30, 2013, total unrecognized compensation cost related to share-based compensation grants were estimated at $1.9 million for stock options and $29.9 million for restricted stock and Restricted Stock Units (“RSU”) under the OSI Plans.  The Company expects to recognize these costs over a weighted-average period of 1.8 years with respect to the options and 1.9 years for grants of restricted stock and RSU’s.

     

    The following summarizes stock option activity during the three months ended September 30, 2013:

     

     

     

    Number of
    Options

     

    Weighted-
    Average
    Exercise
    Price

     

    Weighted-Average
    Remaining Contractual
    Term

     

    Aggregate
    Intrinsic Value
    (in thousands)

     

    Outstanding at June 30, 2013

     

    1,019,733

     

    $

    26.33

     

     

     

     

     

    Granted

     

    6,500

     

    $

    69.88

     

     

     

     

     

    Exercised

     

    (1,169

    )

    $

    39.97

     

     

     

     

     

    Expired or forfeited

     

    (330

    )

    $

    54.50

     

     

     

     

     

    Outstanding at September 30, 2013

     

    1,024,734

     

    $

    26.58

     

    6.4 years

     

    $

    48,983

     

    Exercisable at September 30, 2013

     

    826,793

     

    $

    20.67

     

    5.9 years

     

    $

    43,269

     

     

    A summary of restricted stock and restricted stock unit award activity during the three months ended September 30, 2013 was as follows:

     

     

     

    Shares

     

    Weighted-
    Average
    Fair Value

     

    Nonvested at June 30, 2013

     

    627,124

     

    $

    43.13

     

    Granted

     

    312,398

     

    63.45

     

    Vested

     

    (231,359

    )

    40.72

     

    Forfeited

     

    (1,429

    )

    47.94

     

    Nonvested at September 30, 2013

     

    706,734

     

    $

    52.95

     

     

    As of September 30, 2013, there were 3,308,870 shares available for grant under the 2012 Plan.  Under the terms of that plan, restricted stock and RSU’s granted from the pool of shares available for grant on or after December 12, 2012 reduce the pool by 1.87 shares for each share granted.  Restricted stock and RSU’s forfeited and returned to the pool of shares available for grant increase the pool by 1.87 shares for each share forfeited.

     

    The Company granted 178,500 performance-based awards during the three months ended September 30, 2012 and 160,922 performance-based units during the three months ended September 30, 2013 respectively. These performance-based restricted stock awards and units are contingent on the achievement of certain financial performance metrics. The payout can range from zero to 250% of the original number of shares awarded or units awarded, which are converted into shares of the Company’s common stock.

     

    XML 49 R7.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Basis of Presentation
    3 Months Ended
    Sep. 30, 2013
    Basis of Presentation  
    Basis of Presentation

    1. Basis of Presentation

     

    Description of Business

     

    OSI Systems, Inc., together with its subsidiaries (the “Company”), is a vertically integrated designer and manufacturer of specialized electronic systems and components for critical applications and provider of security screening services. The Company sells its products and services in diversified markets, including homeland security, healthcare, defense and aerospace.

     

    The Company has three reporting segments: (i) Security, providing security inspection systems, turnkey security screening solutions and related services; (ii) Healthcare, providing patient monitoring, diagnostic cardiology and anesthesia systems, and related services and (iii) Optoelectronics and Manufacturing, providing specialized electronic components and electronic manufacturing services for the Security and Healthcare divisions as well as to external original equipment manufacturing clients for applications in the defense, aerospace, medical and industrial markets, among others.

     

    Through its Security division, the Company designs, manufactures and markets security inspections systems and security screening, threat detection and non-intrusive inspection products and related services globally. These products fall into the following categories: baggage and parcel inspection systems; cargo and vehicle inspection systems; hold (checked) baggage screening systems; people screening systems and radiation detection systems. In addition to these products, the Company provides site design, installation, training and technical support services to its customers. The Company also provides turnkey security screening solutions, which can include the construction, staffing and long term operation of security screening checkpoints for its customers.

     

    Through its Healthcare division, the Company designs, manufactures and markets patient monitoring, diagnostic cardiology and anesthesia delivery and ventilation systems, and related services worldwide. These products are used by care providers in critical care, emergency and perioperative areas within hospitals as well as physicians’ offices, medical clinics and ambulatory surgery centers.

     

    Through its Optoelectronics and Manufacturing division, the Company designs, manufactures and markets optoelectronic devices and provides electronics manufacturing services worldwide for use in a broad range of applications, including aerospace and defense electronics, security and inspection systems, medical imaging and diagnostic products, telecommunications, test and measurement devices, industrial automation systems, automotive diagnostic products and consumer products. This division provides products and services to original equipment manufacturers and end users as well as to the Company’s own Security and Healthcare divisions.

     

    Basis of Presentation

     

    The condensed consolidated financial statements include the accounts of OSI Systems, Inc. and its subsidiaries. All significant intercompany accounts and transactions have been eliminated in consolidation. The condensed consolidated financial statements have been prepared by the Company, without audit, pursuant to interim financial reporting guidelines and the rules and regulations of the Securities and Exchange Commission. Certain information and footnote disclosures normally included in annual financial statements prepared in accordance with accounting principles generally accepted in the United States of America have been condensed or omitted pursuant to such rules and regulations. In the opinion of the Company’s management, the condensed consolidated financial statements include all adjustments, consisting of only normal and recurring adjustments, necessary for a fair presentation of the financial position and the results of operations for the periods presented. These condensed consolidated financial statements and the accompanying notes should be read in conjunction with the audited consolidated financial statements and accompanying notes included in the Company’s Annual Report on Form 10-K for the fiscal year ended June 30, 2013, filed with the Securities and Exchange Commission on August 16, 2013. The results of operations for the three months ended September 30, 2013 are not necessarily indicative of the operating results to be expected for the full 2014 fiscal year or any future periods.

     

    Per Share Computations

     

    The Company computes basic earnings per share by dividing net income available to common stockholders by the weighted average number of common shares outstanding during the period. The Company computes diluted earnings per share by dividing net income available to common stockholders by the sum of the weighted average number of common and dilutive potential common shares outstanding. Potential common shares consist of the shares issuable upon the exercise of stock options and stock awards or units under the treasury stock method.  There were no stock options or stock awards or units excluded from the calculations for the three months ended September 30, 2012 or September 30, 2013.

     

    The following table sets forth the computation of basic and diluted earnings per share (in thousands, except per share amounts):

     

     

     

    Three Months Ended
    September 30,

     

     

     

    2012

     

    2013

     

    Net income for diluted earnings per share calculation

     

    $

    6,339

     

    $

    6,394

     

     

     

     

     

     

     

    Weighted average shares for basic earnings per share calculation

     

    19,906

     

    19,971

     

    Dilutive effect of stock awards

     

    665

     

    649

     

    Weighted average shares for diluted earnings per share calculation

     

    20,571

     

    20,620

     

     

     

     

     

     

     

    Basic net income per share

     

    $

    0.32

     

    $

    0.32

     

    Diluted net income per share

     

    $

    0.31

     

    $

    0.31

     

     

    Cash Equivalents

     

    The Company considers all highly liquid investments purchased with maturities of approximately three months or less as of the acquisition date to be cash equivalents.

     

    Fair Value of Financial Instruments

     

    The Company’s financial instruments consist primarily of cash, marketable securities, derivative instruments, accounts receivable, accounts payable and debt instruments. The carrying values of financial instruments, other than debt instruments, are representative of their fair values due to their short-term maturities. The carrying values of the Company’s long-term debt instruments are considered to approximate their fair values because the interest rates of these instruments are variable or comparable to current rates offered to the Company.

     

    Fair value 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. “Level 1” category includes assets and liabilities at the quoted prices in active markets for identical assets and liabilities.  “Level 2” category includes assets and liabilities from observable inputs other than quoted market prices. “Level 3” category includes assets and liabilities whose valuation techniques are unobservable and significant to the fair value measurement.  There were no assets or liabilities where “Level 3” valuation techniques were used, and there were no assets and liabilities measured at fair value on a non-recurring basis.

     

    The following is a summary of the inputs used in valuing investments carried at fair value (in thousands):

     

     

     

    Level 1

     

    Level 2

     

    June 30,
    2013

     

    Level 1

     

    Level 2

     

    September 30,
    2013

     

    Equity securities

     

    316

     

     

    316

     

    304

     

     

    304

     

    Insurance company contracts

     

     

    13,914

     

    13,914

     

     

    14,978

     

    14,978

     

    Interest rate contract

     

     

    66

     

    66

     

     

    39

     

    39

     

    Total

     

    $

    316

     

    $

    13,980

     

    $

    14,296

     

    $

    304

     

    $

    15,017

     

    $

    15,321

     

     

    Derivative Instruments and Hedging Activity

     

    The Company’s use of derivatives consists primarily of foreign exchange contracts and interest rate swap agreements. As of September 30, 2013, the Company had outstanding foreign currency forward contracts of approximately $4.0 million.  The foreign exchange contracts do not meet the criteria as an effective cash flow hedge.  Therefore, the net gain (loss) from these contracts is reported in Interest and other expense, net in the condensed consolidated statement of operations.  The interest rate swap agreement was entered into to improve the predictability of cash flows from interest payments related to variable, LIBOR-based debt for the duration of the term loan.

     

    An interest rate swap matures in October 2019.  The interest rate swap is considered an effective cash flow hedge, and, as a result, the net gains or losses on such instrument were reported as a component of Other comprehensive income in the condensed consolidated financial statements and are reclassified as net income when the hedge transaction settles.

     

    Revenue Recognition

     

    The Company recognizes revenue from sales of products upon shipment when title and risk of loss passes, and when terms are fixed and collection is probable. Revenue from services includes after-market services, installation and implementation of products, and turnkey security screening services. The portion of revenue for the sale attributable to installation is deferred and recognized when the installation service is provided. In an instance where terms of sale include subjective customer acceptance criteria, revenue is deferred until the Company has achieved the acceptance criteria. Concurrent with the shipment of the product, the Company accrues estimated product return reserves and warranty expenses. Critical judgments made by management related to revenue recognition include the determination of whether or not customer acceptance criteria are perfunctory or inconsequential. The determination of whether or not customer acceptance terms are perfunctory or inconsequential impacts the amount and timing of revenue recognized. Critical judgments also include estimates of warranty reserves, which are established based on historical experience and knowledge of the product under warranty.

     

    Revenue from certain turnkey services agreements is included in revenue from services and is recognized based upon proportional performance, measured by the actual number of hours incurred divided by the total estimated number of hours for the project. The impact of changes in the estimated hours to service the agreement is reflected in the period during which the change becomes known.

     

    Revenues from out of warranty service maintenance contracts are recognized ratably over the term of such contract. For services not derived from specific maintenance contracts, revenues are recognized as the services are performed. Deferred revenue for such services arises from payments received from customers for services not yet performed. On occasion, the Company receives advances from customers that are amortized against future customer payments pursuant to the underlying agreements. Such advances are classified in the condensed consolidated balance sheets as either a current or long term liability dependent upon when the Company estimates the corresponding amortization to occur.

     

    Business Combinations

     

    During the normal course of business the Company makes acquisitions.  In the event that an individual acquisition (or an aggregate of acquisitions) is material, appropriate disclosure of such acquisition activity is disclosed.  During the three months ended September 30, 2013, the Company completed acquisitions that were immaterial both individually and in the aggregate.

     

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    Borrowings (Details) (USD $)
    3 Months Ended 3 Months Ended 3 Months Ended
    Sep. 30, 2013
    Jun. 30, 2013
    Sep. 30, 2013
    Revolving credit facility
    Sep. 30, 2013
    Revolving credit facility
    LIBOR
    Sep. 30, 2013
    Revolving credit facility
    LIBOR
    Minimum
    Sep. 30, 2013
    Revolving credit facility
    LIBOR
    Maximum
    Sep. 30, 2013
    Bank lines-of-credit
    Sep. 30, 2013
    Seven-year term loan due in fiscal 2020
    Sep. 30, 2012
    Seven-year term loan due in fiscal 2020
    Sep. 30, 2013
    Seven-year term loan due in fiscal 2020
    LIBOR
    Borrowings                    
    Maximum borrowing capacity     $ 425,000,000              
    Sub-limit available for letters of credit     375,000,000              
    Increase in the credit agreement's borrowing capacity available under certain circumstances     100,000,000              
    Variable basis rate       LIBOR           LIBOR
    Interest rate margin (as a percent)       1.50% 1.50% 2.00%       1.25%
    Unused commitment fee (as a percent)     0.25%              
    Amount outstanding 79,000,000 59,000,000 79,000,000       0      
    Amount outstanding under letters-of-credit sub-facility     120,400,000       5,300,000      
    Available credit facility             40,800,000      
    Total cash borrowing sub-limit             3,200,000      
    Principal amount                 11,100,000  
    Term of loan               7 years    
    Effective interest rate (as a percent)               2.20%    
    Term loans 12,138,000 12,470,000                
    Other long-term debt 3,091,000                  
    Long-term debt 15,229,000 12,470,000                
    Less current portion of long-term debt 2,956,000 1,797,000                
    Long-term portion of debt $ 12,273,000 $ 10,673,000                
    XML 52 R19.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Balance Sheet Details (Tables)
    3 Months Ended
    Sep. 30, 2013
    Balance Sheet Details  
    Schedule of selected balance sheet accounts

    The following tables provide details of selected balance sheet accounts (in thousands):

     

     

     

    June 30,
    2013

     

    September 30,
    2013

     

    Accounts receivable

     

     

     

     

     

    Billed receivables

     

    $

    179,458

     

    $

    164,005

     

    Unbilled receivables

     

    34,636

     

    47,261

     

    Less allowance for doubtful accounts

     

    (7,277

    )

    (5,983

    )

    Total

     

    $

    206,817

     

    $

    205,283

     

     

    Unbilled receivables included earned but unbilled revenue that was billed and collected subsequent to the quarter-end.

     

     

     

    June 30,
    2013

     

    September 30,
    2013

     

    Inventories

     

     

     

     

     

    Raw materials

     

    $

    117,416

     

    $

    120,799

     

    Work-in-process

     

    37,337

     

    49,579

     

    Finished goods

     

    51,460

     

    57,629

     

    Total

     

    $

    206,213

     

    $

    228,007

     

     

     

     

    June 30,
    2013

     

    September 30,
    2013

     

    Property and equipment, net

     

     

     

     

     

    Land

     

    $

    8,365

     

    $

    8,365

     

    Buildings and improvements

     

    102,187

     

    140,650

     

    Leasehold improvements

     

    9,302

     

    9,787

     

    Equipment and tooling

     

    135,437

     

    145,054

     

    Furniture and fixtures

     

    3,551

     

    3,884

     

    Computer equipment

     

    14,309

     

    16,019

     

    Computer software

     

    15,209

     

    15,422

     

    Construction in process

     

    48,713

     

    11,017

     

    Total

     

    337,073

     

    350,198

     

    Less: accumulated depreciation and amortization

     

    (88,044

    )

    (100,792

    )

    Property and equipment, net

     

    $

    249,029

     

    $

    249,406

     

    XML 53 R15.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Income Taxes
    3 Months Ended
    Sep. 30, 2013
    Income Taxes  
    Income Taxes

    9. Income Taxes

     

    The provision for income taxes is determined using an effective tax rate that is subject to fluctuations during the year as new information is obtained.  The assumptions used to estimate the annual effective tax rate includes factors such as the mix of pre-tax earnings in the various tax jurisdictions in which the Company operates, valuation allowances against deferred tax assets, increases or decreases in uncertain tax positions, utilization of research and development tax credits, changes in or the interpretation of tax laws in jurisdictions where the Company conducts business and certain tax elections. The Company recognizes deferred tax assets and liabilities for temporary differences between the financial reporting basis and the tax basis of its assets and liabilities along with net operating loss and tax credit carryovers. The Company records a valuation allowance against its deferred tax assets to reduce the net carrying value to an amount that it believes is more likely than not to be realized. When the Company establishes or reduces the valuation allowance against its deferred tax assets, the provision for income taxes will increase or decrease, respectively, in the period such determination is made.

     

    XML 54 R22.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Restructuring and Other Charges (Tables)
    3 Months Ended
    Sep. 30, 2013
    Restructuring and Other Charges  
    Summary of the restructuring and other charges

    The following table summarizes the restructuring and other charges (in thousands):

     

     

     

    Security
    Division

     

    Healthcare
    Division

     

    Optoelectronics
    and
    Manufacturing
    Division

     

    Corporate

     

    Consolidated

     

    Accrued balance as of June 30, 2013

     

    $

    1,043

     

    $

    1,639

     

    $

    66

     

     

    $

    2,748

     

    Expensed during the period:

     

     

     

     

     

     

     

     

     

     

     

    Facility closure costs related to a facility relocation(1)

     

     

    2,009

     

     

     

    2,009

     

    Employee termination costs related to facility consolidations(2)

     

     

     

    637

     

     

    637

     

    Charges related to contract settlement(3)

     

    1,593

     

     

     

     

    1,593

     

    Total expensed during the period

     

    1,593

     

    2,009

     

    637

     

     

    4,239

     

    Paid during the period

     

    1,378

     

    639

     

    228

     

     

    2,245

     

    Accrued balance as of September 30, 2013

     

    $

    1,258

     

    $

    3,009

     

    $

    475

     

     

    $

    4,742

     

     

     

    (1)         The facility relocation began in fiscal 2013 and was completed during the first quarter of fiscal 2014.

    (2)         The facility consolidations began in the first quarter of fiscal 2014 and are expected to be completed during the remainder of the fiscal year.

    (3)         This relates to further costs related to a contract settlement with the Transportation Security Administration (TSA) entered into in fiscal 2013, including costs for removal, storage and refurbishing costs for products previously sold to the TSA, and legal costs.

    XML 55 R20.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Goodwill and Intangible Assets (Tables)
    3 Months Ended
    Sep. 30, 2013
    Goodwill and Intangible Assets  
    Schedule of carrying amount of goodwill

    The changes in the carrying value of goodwill for the three-month period ended September 30, 2013 are as follows (in thousands):

     

     

     

    Security
    Division

     

    Healthcare
    Division

     

    Optoelectronics
    and
    Manufacturing
    Division

     

    Consolidated

     

    Balance as of June 30, 2013

     

    $

    28,546

     

    $

    35,827

     

    $

    19,370

     

    $

    83,743

     

    Goodwill acquired or adjusted during the period

     

     

    1,018

     

    5,573

     

    6,591

     

    Foreign currency translation adjustment

     

    142

     

    175

     

    367

     

    684

     

    Balance as of September 30, 2013

     

    $

    28,688

     

    $

    37,020

     

    $

    25,310

     

    $

    91,018

     

    Schedule of intangible assets

    Intangible assets consisted of the following (in thousands):

     

     

     

     

     

    June 30, 2013

     

    September 30, 2013

     

     

     

    Weighted
    Average
    Lives

     

    Gross
    Carrying
    Value

     

    Accumulated
    Amortization

     

    Intangibles
    Net

     

    Gross
    Carrying
    Value

     

    Accumulated
    Amortization

     

    Intangibles
    Net

     

    Amortizable assets:

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

    Software development costs

     

    5 years

     

    $

    17,350

     

    $

    5,396

     

    $

    11,954

     

    $

    18,590

     

    $

    5,913

     

    $

    12,677

     

    Patents

     

    13 years

     

    5,400

     

    635

     

    4,765

     

    5,821

     

    668

     

    5,153

     

    Core technology

     

    10 years

     

    2,058

     

    1,728

     

    330

     

    2,161

     

    1,868

     

    293

     

    Developed technology

     

    10 years

     

    20,002

     

    14,620

     

    5,382

     

    15,611

     

    10,643

     

    4,968

     

    Customer relationships/backlog

     

    8 years

     

    9,178

     

    5,624

     

    3,554

     

    11,305

     

    5,985

     

    5,320

     

    Total amortizable assets

     

     

     

    53,988

     

    28,003

     

    25,985

     

    53,488

     

    25,077

     

    28,411

     

    Non-amortizable assets:

     

     

     

     

     

     

     

     

     

     

     

     

     

     

     

    Trademarks

     

     

     

    10,618

     

     

    10,618

     

    11,878

     

     

    11,878

     

    Total intangible assets

     

     

     

    $

    64,606

     

    $

    28,003

     

    $

    36,603

     

    $

    65,366

     

    $

    25,077

     

    $

    40,289

     

    Schedule of estimated future amortization expense

    At September 30, 2013, the estimated future amortization expense was as follows (in thousands):

     

    Fiscal Years

     

     

     

     

     

     

     

    2014 (remaining 9 months)

     

    $

    2,817

     

    2015

     

    2,554

     

    2016

     

    2,025

     

    2017

     

    1,682

     

    2018

     

    1,573

     

    2019

     

    1,471

     

    2020 and thereafter, including assets that have not yet begun to be amortized

     

    16,289

     

    Total

     

    $

    28,411

     

    XML 56 R1.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Document and Entity Information
    3 Months Ended
    Sep. 30, 2013
    Oct. 23, 2013
    Document and Entity Information    
    Entity Registrant Name OSI SYSTEMS INC  
    Entity Central Index Key 0001039065  
    Document Type 10-Q  
    Document Period End Date Sep. 30, 2013  
    Amendment Flag false  
    Current Fiscal Year End Date --06-30  
    Entity Current Reporting Status Yes  
    Entity Filer Category Large Accelerated Filer  
    Entity Common Stock, Shares Outstanding   20,053,538
    Document Fiscal Year Focus 2014  
    Document Fiscal Period Focus Q1  
    XML 57 R21.htm IDEA: XBRL DOCUMENT v2.4.0.8
    Borrowings (Tables)
    3 Months Ended
    Sep. 30, 2013
    Borrowings  
    Schedule of long-term debt

    Long-term debt consisted of the following (in thousands):

     

     

     

    June 30,
    2013

     

    September 30,
    2013

     

    Term loans

     

    $

    12,470

     

    $

    12,138

     

    Other long-term debt

     

     

    3,091

     

     

     

    12,470

     

    15,229

     

    Less current portion of long-term debt

     

    1,797

     

    2,956

     

    Long-term portion of debt

     

    $

    10,673

     

    $

    12,273