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Note 16 - Working Capital Line of Credit and Overdraft Facility (Tables)
3 Months Ended
Mar. 31, 2018
Notes Tables  
Schedule of Line of Credit Facilities [Table Text Block]
(in thousands)
       
Credit Limit
   
March 31,
2018
Balance
 
Expiration Date
 
Interest rate
$ 4,000     $
0
(1)
June 1, 2019
 
Fixed rate at 2.25% above the LIBOR in effect on the first day of the applicable fixed-rate term, or
         
 
 
 
 
Variable rate at 2.25% above the daily one-month LIBOR rate.
(in thousands)
       
Credit Limit
 
March 31,
2018
Balance
 
Expiration Date
 
Interest rate
£1,500
pounds
sterling
($2,100 at
March 31,
2018)
  $
837
 
October 5, 2021.
 
Base rate plus a 2.25% margin (2.5% as of March 31, 2018)
Schedule of Collateral Security Agreement [Table Text Block]
CUI Inc. and CUI-Canada General intangibles, net
  $
8,906
 
CUI Inc. and CUI-Canada Accounts receivable, net
  $
6,903
 
CUI Inc. and CUI-Canada Inventory, net
  $
7,646
 
CUI Inc. and CUI-Canada Equipment, net
  $
1,589