0001104659-14-055472.txt : 20140731 0001104659-14-055472.hdr.sgml : 20140731 20140731160505 ACCESSION NUMBER: 0001104659-14-055472 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 11 CONFORMED PERIOD OF REPORT: 20140629 FILED AS OF DATE: 20140731 DATE AS OF CHANGE: 20140731 FILER: COMPANY DATA: COMPANY CONFORMED NAME: GLOBAL POWER EQUIPMENT GROUP INC. CENTRAL INDEX KEY: 0001136294 STANDARD INDUSTRIAL CLASSIFICATION: FABRICATED PLATE WORK (BOILER SHOPS) [3443] IRS NUMBER: 731541378 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 001-16501 FILM NUMBER: 141006289 BUSINESS ADDRESS: STREET 1: 400 E. LAS COLINAS BLVD. STREET 2: SUITE 400 CITY: IRVING STATE: TX ZIP: 75039 BUSINESS PHONE: 214-574-2700 MAIL ADDRESS: STREET 1: 400 E. LAS COLINAS BLVD. STREET 2: SUITE 400 CITY: IRVING STATE: TX ZIP: 75039 FORMER COMPANY: FORMER CONFORMED NAME: GLOBAL POWER EQUIPMENT GROUP INC/ DATE OF NAME CHANGE: 20010309 FORMER COMPANY: FORMER CONFORMED NAME: GEEG INC DATE OF NAME CHANGE: 20010306 10-Q 1 a14-13898_110q.htm QUARTERLY REPORT PURSUANT TO SECTIONS 13 OR 15(D)

Table of Contents

 

 

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 


 

FORM 10-Q

 


 

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

 

For the quarterly period ended June 29, 2014

 

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 No. 001-16501

 


 

Global Power Equipment Group Inc.

(Exact name of registrant as specified in its charter)

 


 

Delaware

 

73-1541378

(State or other jurisdiction of

incorporation or organization)

 

(I.R.S. Employer

Identification No.)

 

400 E. Las Colinas Blvd., Suite 400

Irving, TX 75039

(Address of principal executive offices) (Zip code)

 

(214) 574-2700

(Registrant’s telephone number, including area code)

 


 

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 website, 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

o

 

Accelerated filer

x

 

 

 

 

 

Non-accelerated filer

o

(Do not check if a smaller reporting company)

Smaller reporting company

o

 

Indicate by check mark whether the registrant is a shell company (as defined in Rule12b-2 of the Exchange Act).    Yes  o    No  x

 

Indicate by check mark whether the registrant has filed all documents and reports required to be filed by Section 12, 13 or 15(d) of the Securities Exchange Act of 1934 subsequent to the distribution of securities under a plan confirmed by a court.    Yes  x    No  o

 

As of July 23, 2014 there were 17,122,735 shares of common stock of Global Power Equipment Group Inc. outstanding.

 

 

 



Table of Contents

 

GLOBAL POWER EQUIPMENT GROUP INC. AND SUBSIDIARIES

 

Form 10-Q

 

For the quarter ended June 30, 2014

 

Table of Contents

 

Part I—FINANCIAL INFORMATION

 

 

 

Item 1. Financial Statements (unaudited)

3

 

 

Condensed Consolidated Balance Sheets as of June 30, 2014 (unaudited) and December 31, 2013

3

 

 

Condensed Consolidated Statements of Operations for the Three and Six Months Ended June 30, 2014 and 2013 (unaudited)

4

 

 

Condensed Consolidated Statements of Comprehensive Income for the Three and Six Months Ended June 30, 2014 and 2013 (unaudited)

5

 

 

Condensed Consolidated Statement of Stockholders’ Equity for the Six Months Ended June 30, 2014 (unaudited)

6

 

 

Condensed Consolidated Statements of Cash Flows for the Six Months Ended June 30, 2014 and 2013 (unaudited)

7

 

 

Notes to Condensed Consolidated Financial Statements (unaudited)

8

 

 

Item 2. Management’s Discussion and Analysis of Financial Condition and Results of Operations

22

 

 

Item 3. Quantitative and Qualitative Disclosures about Market Risk

36

 

 

Item 4. Controls and Procedures

36

 

 

Part II—OTHER INFORMATION

 

 

 

Item 1. Legal Proceedings

37

 

 

Item 1A. Risk Factors

37

 

 

Item 2. Unregistered Sales of Equity Securities and Use of Proceeds

37

 

 

Item 3. Defaults Upon Senior Securities

37

 

 

Item 4. Mine Safety Disclosures

37

 

 

Item 5. Other Information

37

 

 

Item 6. Exhibits

38

 

 

SIGNATURES

39

 



Table of Contents

 

Part I—FINANCIAL INFORMATION

 

Item 1.                                  Financial Statements.

 

GLOBAL POWER EQUIPMENT GROUP INC. AND SUBSIDIARIES

 

CONDENSED CONSOLIDATED BALANCE SHEETS

($ in thousands, except share and per share amounts)

 

 

 

June 30,

 

December 31,

 

 

2014

 

2013

ASSETS

 

(Unaudited)

 

 

 

Current assets:

 

 

 

 

 

 

Cash and cash equivalents

 

 $

15,559

 

 

 $

13,942

 

Restricted cash

 

71

 

 

120

 

Accounts receivable, net of allowance of $573 and $557, respectively

 

73,761

 

 

93,484

 

Inventories

 

8,456

 

 

6,476

 

Costs and estimated earnings in excess of billings

 

61,495

 

 

41,804

 

Deferred tax assets

 

3,301

 

 

3,301

 

Other current assets

 

8,475

 

 

8,215

 

 

 

 

 

 

 

 

Total current assets

 

171,118

 

 

167,342

 

Property, plant and equipment, net

 

19,896

 

 

20,644

 

Goodwill

 

106,884

 

 

109,930

 

Intangible assets, net

 

61,833

 

 

60,594

 

Deferred tax assets

 

7,471

 

 

7,630

 

Other long-term assets

 

980

 

 

1,258

 

 

 

 

 

 

 

 

Total assets

 

 $

368,182

 

 

 $

367,398

 

 

 

 

 

 

 

 

LIABILITIES AND STOCKHOLDERS’ EQUITY

 

 

 

 

 

 

Current liabilities:

 

 

 

 

 

 

Accounts payable

 

 $

17,233

 

 

 $

19,664

 

Accrued compensation and benefits

 

16,198

 

 

14,798

 

Billings in excess of costs and estimated earnings

 

11,323

 

 

12,757

 

Accrued warranties

 

1,683

 

 

3,261

 

Other current liabilities

 

6,852

 

 

8,483

 

 

 

 

 

 

 

 

Total current liabilities

 

53,289

 

 

58,963

 

Long-term debt

 

31,000

 

 

23,000

 

Other long-term liabilities

 

5,950

 

 

5,844

 

 

 

 

 

 

 

 

Total liabilities

 

90,239

 

 

87,807

 

Commitments and contingencies (Note 7)

 

 

 

 

 

 

Stockholders’ equity:

 

 

 

 

 

 

Common stock, $0.01 par value, 170,000,000 shares authorized and 18,386,443 and 18,294,998 shares issued, respectively, and 17,071,780 and 17,059,943 shares outstanding, respectively

 

184

 

 

183

 

Paid-in capital

 

70,228

 

 

69,049

 

Accumulated other comprehensive income

 

3,039

 

 

3,473

 

Retained earnings

 

204,504

 

 

206,898

 

Treasury stock, at par (1,263,708 and 1,235,055 common shares, respectively)

 

(12

)

 

(12

)

 

 

 

 

 

 

 

Total stockholders’ equity

 

277,943

 

 

279,591

 

 

 

 

 

 

 

 

Total liabilities and stockholders’ equity

 

 $

368,182

 

 

 $

367,398

 

 

See accompanying notes to condensed consolidated financial statements (unaudited).

 

3



Table of Contents

 

GLOBAL POWER EQUIPMENT GROUP INC. AND SUBSIDIARIES

 

CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS

($ in thousands, except share and per share amounts)

 

 

 

 

Three Months Ended

 

Six Months Ended

 

 

 

June 30,

 

June 30,

 

 

 

2014

 

2013

 

2014

 

2013

 

Revenues

 

(Unaudited)

 

(Unaudited)

 

Product Solutions

 

 $

59,171

 

 

 $

35,930

 

 

 $

98,102

 

 

 $

 74,824

 

 

Nuclear Services

 

41,430

 

 

66,435

 

 

98,492

 

 

131,448

 

 

Energy Services 

 

14,138

 

 

13,600

 

 

23,027

 

 

26,403

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 Consolidated

 

114,739

 

 

115,965

 

 

219,621

 

 

232,675

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Cost of Sales

 

 

 

 

 

 

 

 

 

 

 

 

 

Product Solutions

 

47,588

 

 

27,368

 

 

76,648

 

 

60,305

 

 

Nuclear Services

 

35,686

 

 

58,070

 

 

85,727

 

 

114,597

 

 

Energy Services 

 

11,203

 

 

11,724

 

 

18,506

 

 

23,004

 

 

 Consolidated

 

94,477

 

 

97,162

 

 

180,881

 

 

197,906

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 Gross profit 

 

20,262

 

 

18,803

 

 

38,740

 

 

34,769

 

 

 Selling and marketing expenses 

 

2,474

 

 

2,462

 

 

4,297

 

 

4,685

 

 

 General and administrative expenses 

 

14,179

 

 

12,812

 

 

27,933

 

 

27,366

 

 

 Depreciation and amortization expense

 

2,141

 

 

1,559

 

 

4,455

 

 

2,632

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Operating income 

 

1,468

 

 

1,970

 

 

2,055

 

 

86

 

 

 Interest expense, net

 

340

 

 

190

 

 

753

 

 

276

 

 

 Other expense (income), net

 

(94

)

 

154

 

 

176

 

 

4

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Income (loss) from continuing operations before income tax

 

1,222

 

 

1,626

 

 

1,126

 

 

(194

)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 Income tax expense

 

358

 

 

884

 

 

334

 

 

265

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Income (loss) from continuing operations

 

864

 

 

742

 

 

792

 

 

(459

)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Discontinued operations:

 

 

 

 

 

 

 

 

 

 

 

 

 

Loss from discontinued operations, net of tax

 

(90

)

 

(1

)

 

(97

)

 

(41

)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net income (loss)

 

 $

774

 

 

 $

741

 

 

 $

695

 

 

 $

 (500

)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Basic income (loss) per weighted average common share:

 

 

 

 

 

 

 

 

 

 

 

 

 

Income (loss) from continuing operations 

 

 $

0.06

 

 

 $

0.04

 

 

 $

0.05

 

 

$

 (0.03

)

 

Loss from discontinued operations 

 

(0.01

)

 

—   

 

 

(0.01

)

 

—   

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Income (loss) per common share - basic 

 

 $

0.05

 

 

 $

0.04

 

 

 $

0.04

 

 

$

 (0.03

)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 Weighted average number of shares of common stock outstanding - basic 

 

17,070,615

 

 

16,956,925

 

 

17,033,816

 

 

16,865,070

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Diluted income (loss) per weighted average common share:

 

 

 

 

 

 

 

 

 

 

 

 

 

Income (loss) from continuing operations 

 

 $

0.06

 

 

 $

0.04

 

 

 $

0.05

 

 

 $

 (0.03

)

 

Loss from discontinued operations 

 

(0.01

)

 

—   

 

 

(0.01

)

 

—   

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Income (loss) per common share - diluted 

 

 $

0.05

 

 

 $

0.04

 

 

 $

0.04

 

 

 $

 (0.03

)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 Weighted average number of shares of common stock outstanding - diluted 

 

17,075,189

 

 

16,967,356

 

 

17,040,130

 

 

16,865,070

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 Cash dividends per share

 

 $

0.09

 

 

 $

0.09

 

 

 $

0.18

 

 

 $

 0.18

 

 

 

 

See accompanying notes to condensed consolidated financial statements (unaudited).

 

4



Table of Contents

 

GLOBAL POWER EQUIPMENT GROUP INC. AND SUBSIDIARIES

 

CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME

($ in thousands)

 

 

 

 

Three Months Ended June 30,

 

Six Months Ended June 30,

 

 

 

2014

 

2013

 

2014

 

2013

 

 

 

(Unaudited)

 

(Unaudited)

 

Net income (loss)

 

 $

774

 

 

 $

741

 

 

 $

695

 

 

 $

(500

)

 

Foreign currency translation adjustment

 

(346

)

 

825

 

 

(434

)

 

19

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Comprehensive income (loss)

 

 $

428

 

 

 $

1,566

 

 

 $

261

 

 

 $

(481

)

 

 

 

See accompanying notes to condensed consolidated financial statements (unaudited).

 

5



Table of Contents

 

GLOBAL POWER EQUIPMENT GROUP INC. AND SUBSIDIARIES

 

CONDENSED CONSOLIDATED STATEMENTS OF STOCKHOLDERS’ EQUITY

($ in thousands, except share and per share amounts)

 

 

 

 

 

 

 

 

 

 

 

 

Accumulated

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Common Shares

 

 

 

 

Other

 

 

 

 

 

 

 

 

 

 

 

 

 

 

$0.01 Per Share

 

Paid-in

 

Comprehensive

 

Retained

 

Treasury Shares

 

 

 

 

 

Shares

 

Amount

 

Capital

 

Income

 

Earnings

 

Shares

 

Amount

 

Total

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Balance, December 31, 2013

 

18,294,998

 

 

$

184

 

 

$

69,050

 

 

$

3,473

 

 

$

206,897

 

 

(1,235,055

)

 

$

(12

)

 

$

279,592

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Stock-based compensation

 

91,445

 

 

 

 

 

1,178

 

 

 

 

 

 

(28,653

)

 

 

 

1,178

 

Dividends declared

 

 

 

 

 

 

 

 

 

(3,088

)

 

 

 

 

 

(3,088

)

Net income

 

 

 

 

 

 

 

 

 

695

 

 

 

 

 

 

695

 

Foreign currency translation adjustment

 

 

 

 

 

 

 

(434

)

 

 

 

 

 

 

 

(434

)

Balance, June 30, 2014

 

18,386,443

 

 

$

184

 

 

$

70,228

 

 

$

3,039

 

 

$

204,504

 

 

(1,263,708

)

 

$

(12

)

 

$

277,943

 

 

See accompanying notes to condensed consolidated financial statements (unaudited).

 

6



Table of Contents

 

GLOBAL POWER EQUIPMENT GROUP INC. AND SUBSIDIARIES

 

CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS

($ in thousands)

 

 

 

 

Six Months Ended June 30,

 

 

 

2014

 

2013

 

Operating activities:

 

(Unaudited)

 

Net income (loss) 

 

 $

695

 

 

 $

(500

)

 

Adjustments to reconcile net income (loss) to net cash provided by (used in) operating activities:

 

 

 

 

 

 

 

Deferred income tax benefit provision

 

(970

)

 

(974

)

 

Depreciation and amortization on plant, property and equipment and intangible assets

 

5,044

 

 

3,281

 

 

Amortization on deferred financing costs

 

113

 

 

91

 

 

Stock-based compensation 

 

1,744

 

 

2,504

 

 

Changes in operating assets and liabilities, net of businesses acquired and sold

 

(7,743

)

 

23,870

 

 

 

 

 

 

 

 

 

 

Net cash (used in) provided by operating activities 

 

(1,117

)

 

28,272

 

 

 

 

 

 

 

 

 

 

Investing activities:

 

 

 

 

 

 

 

Acquisitions, net of cash acquired

 

—   

 

 

(32,970

)

 

Net transfers of restricted cash 

 

49

 

 

—   

 

 

Proceeds from sale of equipment 

 

—   

 

 

66

 

 

Purchase of property, plant and equipment 

 

(1,236

)

 

(2,489

)

 

 

 

 

 

 

 

 

 

Net cash used in investing activities 

 

(1,187

)

 

(35,393

)

 

 

 

 

 

 

 

 

 

Financing activities:

 

 

 

 

 

 

 

Repurchase of stock-based awards for payment of statutory taxes due on

 

 

 

 

 

 

 

stock-based compensation

 

(566

)

 

(1,531

)

 

Debt issuance costs

 

9

 

 

—   

 

 

Dividends paid

 

(3,088

)

 

(3,141

)

 

Proceeds from long-term debt

 

30,000

 

 

30,000

 

 

Payments of long-term debt 

 

(22,000

)

 

(10,000

)

 

 

 

 

 

 

 

 

 

Net cash provided by financing activities 

 

4,355

 

 

15,328

 

 

Effect of exchange rate changes on cash 

 

(434

)

 

(31

)

 

Net change in cash and cash equivalents 

 

1,617

 

 

8,176

 

 

 

 

 

 

 

 

 

 

Cash and cash equivalents, beginning of period

 

13,942

 

 

31,951

 

 

 

 

 

 

 

 

 

 

Cash and cash equivalents, end of period

 

 $

15,559

 

 

 $

40,127

 

 

 

 

See accompanying notes to condensed consolidated financial statements (unaudited).

 

7



Table of Contents

 

GLOBAL POWER EQUIPMENT GROUP INC. AND SUBSIDIARIES

NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

(UNAUDITED)

 

NOTE 1—BUSINESS AND ORGANIZATION

Global Power Equipment Group Inc. (“Global Power,” “we,” “us,” “our,” or “the Company”) is a comprehensive provider of customer-engineered equipment, and modification and maintenance services for customers in the power generation, oil & gas, natural gas, infrastructure and process and industrial markets.  Our customers are in and outside the United States (“U.S.”) in both developed and emerging economies.

We design, engineer and manufacture a comprehensive range of gas and steam turbine auxiliary products, control houses and generator enclosures primarily used to enhance the efficiency and facilitate the operation of gas turbine power plants, sub-base and stand-alone tanks meeting UL listings UL142, UL2085 and ULC-S 601 and for other industrial pipeline compression stations, electric power transmissions and distribution systems.  With a strong competitive position in our product lines due to our technology, skilled work force and experience, we benefit from a large installed base of equipment throughout the world which provides us strong brand recognition and value.

We provide on-site specialty modification and maintenance services, outage management, facility upgrade services, specialty repair, brazed aluminum heat exchanger repair and maintenance, and other industrial and safety services to nuclear, fossil-fuel, industrial gas, and liquefied natural gas, petrochemical and other industrial operations in the U.S. We have the capability to combine our services and equipment resources to offer turn-key solutions for aftermarket repair applications for the North American gas turbine power generation, energy infrastructure, and process and cogeneration markets.

Our operations are grouped into three reportable segments:  Product Solutions, Nuclear Services and Energy Services.  Our Product Solutions segment is comprised of two primary product categories:  Electrical Solutions and Auxiliary Products.

·                  Our Electrical Solutions product category is comprised of Koontz-Wagner Custom Controls Holdings, LLC (“Koontz-Wagner”), including, following its merger with and into Koontz-Wagner (the “Merger”), the former operations of IBI, LLC (“IBI Power” or “IBI”). This product category focuses on manufacturing and integrating engineered packaged control house solutions and manufacturing custom power packaging and integration solutions, including control house systems, generator enclosures, and industrial tanks, for the energy, oil & gas and electrical industries.

·                  Our Auxiliary Products category is comprised of Braden Manufacturing, L.L.C. (“Braden”) which engineers and manufactures filter houses, inlet and exhaust systems, diverter dampers, selective catalytic emission reduction systems (commonly referred to as “SCR”) used in the power generation market.  Consolidated Fabricators Inc. (“CFI”), which engineers and manufactures complex equipment to support gas turbines and other power generation equipment, and, TOG Manufacturing Company, Inc. (“TOG”), which manufactures highly-engineered precision components for critical applications across a variety of industries including:  Power Generation, U.S. Defense Department and Off-Shore Drilling.

·                  Our Nuclear Services segment is comprised of the operations of Williams Plant Services, LLC and Williams Specialty Services, LLC (together, the “Williams business”).  Our Nuclear Services segment is focused on the nuclear maintenance and specialty services business.

·                  Our Energy Services segment is comprised Hetsco, Inc. (“Hetsco”) and the operations of Construction & Maintenance Professionals, LLC and Williams Industrial Services, LLC.  Our Energy Services segment is focused on providing mission critical brazed aluminum heat exchanger repair, maintenance, and safety services to the industrial gas, liquefied natural gas and petrochemical industries and maintenance and specialty services to the industrial and fossil business.

 

Effective as of January 1, 2013, our Board of Directors decided to change from a traditional month-end calendar close cycle to a 4-4-5 calendar close methodology during interim periods. Our fiscal year will continue to end on December 31. Under this methodology, each interim period is comprised of 13 weeks, which includes two 4-week months and one 5-week month, and begins on Monday and ends on Sunday. The 4-4-5 close methodology will change the accounting periods to month-end dates that may be different than the traditional last day of the standard month end. We will label our quarterly information using a calendar convention, that is, first quarter will be labeled as ending on March 31, second quarter as ending on June 30, and third quarter as ending on September 30. This change in methodology aligns our financial calendar to our payroll cycle, simplifying our close process. The effects of this practice are modest and only exist within a reporting year. The reporting periods and applicable reports for 2014 are:

 

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Fiscal Period

 

Reporting Period

 

Report to be Filed

First quarter of fiscal 2014

 

January 1, 2014 to March 30, 2014

 

Quarterly Report on Form 10-Q

Second quarter of fiscal 2014

 

March 31, 2014 to June 29, 2014

 

Quarterly Report on Form 10-Q

Third quarter of fiscal 2014

 

June 30, 2014 to September 28, 2014

 

Quarterly Report on Form 10-Q

Fourth quarter of fiscal 2014

 

September 29, 2014 to December 31, 2014

 

Annual Report on Form 10-K

 

Acquisitions: During 2013, we completed the following acquisitions:

Business Acquired

 

Date of Closing

 

Net Assets 
Acquired 
(in millions)

 

Primary Form of 
Consideration

IBI, LLC

 

July 9, 2013

 

$

18.6

 

Cash

Hetsco Holdings, Inc.

 

April 30, 2013

 

$

32.4

 

Cash

 

Each of the acquired businesses has been included in our results of operations since the date of closing. Due to the timing of these acquisitions and related operating results, our 2014 and 2013 operating results are not entirely comparable. See Note 3—Acquisitions.

 

NOTE 2—SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES

 

Basis of Presentation: These unaudited condensed consolidated financial statements have been prepared by us in accordance with accounting principles generally accepted in the U.S.  The information in the condensed consolidated financial statements, in the opinion of management, includes normal recurring adjustments and reflects all adjustments that are necessary for a fair presentation of such financial statements.  We believe that the disclosures presented are adequate to represent materially correct interim financial statements.  These condensed consolidated financial statements should be read in conjunction with our audited consolidated financial statements and related notes for the year ended December 31, 2013 included in our Annual Report on Form 10-K filed with the U.S. Securities and Exchange Commission on March 17, 2014.

 

Principles of Consolidation: The accompanying consolidated financial statements include the accounts of Global Power and its wholly owned subsidiaries. All intercompany accounts and transactions have been eliminated in consolidation.

 

Use of Estimates: The preparation of financial statements in conformity with U.S. Generally Accepted Accounting Principles (“GAAP”) requires management to make estimates and assumptions that affect the amounts reported in the financial statements and accompanying footnotes. Actual results could vary materially from those estimates.

 

Reclassifications: Certain reclassifications have been made to prior years’ consolidated balances to conform with the current year presentation.

 

Discontinued Operations Presentation: In August 2011, we completed the sale of substantially all of the operating assets of our Deltak L.L.C. (“Deltak”) business unit. Discontinued operations are presented net of tax. The following notes relate to our continuing operations only, unless otherwise noted.

 

Dollar Amounts: All dollar amounts (except share and per share amounts) presented in the tabulations within the notes to our consolidated financial statements are stated in thousands of dollars, unless otherwise noted.

 

Long-Lived Assets: Long-lived assets, such as property, plant, and equipment, and purchased intangible assets subject to amortization, are reviewed for impairment whenever events or changes in circumstances indicate that the carrying amount of an asset may not be recoverable. If circumstances require a long-lived asset to be tested for possible impairment, we first compare undiscounted cash flows expected to be generated by an asset to the carrying value of the asset. If the carrying value of the long-lived asset is not recoverable on an undiscounted cash flow basis, impairment is recognized to the extent that the carrying value exceeds its fair value. Fair value is determined through various valuation techniques including discounted cash flow models, quoted market values and third-party independent appraisals, as considered necessary. We group long-lived assets by legal entity for purposes of recognition and measurement of an impairment loss as this is the lowest level for which cash flows are independent.

 

Goodwill and Other Intangible Assets:   Goodwill is not amortized to expense, but rather, we test goodwill for impairment annually and more frequently if circumstances warrant. Impairment write-downs are charged to results of operations in the period in which the impairment is determined.

 

During the three months ended September 30, 2013, we changed our annual impairment testing date from December 31 to the first day of the fourth quarter, which we label as October 1.

 

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In 2012, the Financial Accounting Standards Board (“FASB”) issued Accounting Standards Update (“ASU”) 2012-02, “Intangibles—Goodwill and Other (Topic 350): Testing Indefinite-Lived Intangible Assets for Impairment,” which provides entities with the option to assess qualitative factors to determine whether the existence of events and circumstances indicates that it is more likely than not that the indefinite-lived intangible asset is impaired. The Company elected to bypass the qualitative assessment option and continue performing the first step of the goodwill impairment test.

 

In connection with our reportable segments, we also assess our reporting units that are operating segments or one level below the operating segment for impairment testing. We consider the management of operating activities, discrete financial information, similarities of economic characteristics, and the nature of the products, production processes, customers, distribution and regulatory environments. For impairment testing of goodwill and other indefinite-lived assets we test TOG as a separate reporting unit from Product Solutions with the remainder tested as the Auxiliary Products and Electrical Solutions product lines.  We test Hetsco as a separate reporting unit from Energy Solutions with the remainder tested as the Industrial Solutions reporting unit, and we test the Nuclear Solutions segment as a reporting unit.

 

We did not identify any impairment of our recorded goodwill from our most recent annual testing, which was performed as of October 1, 2013. If certain events occur which might indicate goodwill has been impaired, the goodwill is tested for impairment when such events occur. We have not identified any such events and, accordingly, have not tested goodwill for impairment during the six months ended June 30, 2014.

 

Adoption of New Accounting Pronouncements:

 

In March 2014, the FASB issued ASU Update 2014-06 “Technical Corrections and Improvements Related to Glossary Terms” (the “Update”). The amendments in the Update relate to glossary terms and cover a wide range of Topics in the Codification.  These amendments are presented in four sections – Deletion of Master Glossary Terms (Section A), Addition of Master Glossary Term Links (Section B), Duplicate Master Glossary Terms (Section C), and Other Technical Corrections Related to Glossary Terms (Section D).  The amendments in this Update represent changes to clarify the Master Glossary of the Codification, or make improvements to the Master Glossary that are not expected to result in substantive changes to the application of existing guidance or create a significant administrative cost to most entities.  Additionally, the amendments will make the Master Glossary easier to understand, as well as reduce the number of terms that appear in the Master Glossary.  The amendments resulting from this Update do not have transition guidance and will be effective upon issuance for both public and private companies.  The immediate adoption of this standard in March 2014 did not have an impact on our consolidated financial statements, and there was no material impact to our financial statement disclosures.

 

In May 2014, the FASB issued ASU 2014-09 “Revenue from Contracts with Customers” (“ASU 2014-09”).  ASU 2014-09 takes effect in 2017 and establishes a comprehensive revenue recognition standard for virtually all industries in U.S. GAAP, including those that previously followed industry-specific guidance such as the real estate, construction and software industries.  The revenue standard’s core principle is built on the contract between a vendor and a customer for the provision of goods and services.  It attempts to depict the exchange of rights and obligations between the parties in the pattern of revenue recognition based on the consideration to which the vendor is entitled.  To accomplish this objective, the standard requires five basic steps:  (i)  identify the contract with the customer, (ii)  identify the performance obligations in the contract, (iii)  determine the transaction price, (iv)  allocate the transaction price to the performance obligations in the contract, and (v)  recognize revenue when (or as) the entity satisfies a performance obligation.  There are three basic transition methods available:  full retrospective, retrospective with certain practical expedients, and a cumulative effect approach.  We are currently evaluating the impact on our consolidated financial statements and financial statement disclosures.

 

In June 2014, the FASB issued ASU 2014-12  Accounting for Share-Based Payments When the Terms of an Award Provide That a Performance Target Could be Achieved after the Requisite Service Period” (“ASU 2014-12”).  On June 29, 2014, the FASB issued ASU 2014-12 to clarify that a performance target in a share-based compensation award that could be achieved after an employee completes the requisite service period should be treated as a performance condition that affects the vesting of the award.  As such, the performance target should not be reflected in estimating the grant-date fair value of the award.  The Company has reviewed its accounting of these types of share-based payments and has determined that we are in compliance with the stated guidelines.

 

NOTE 3—ACQUISITIONS

 

During 2013, we acquired 100% equity in two businesses, which included one products company and one industrial gas services company, both based in the U.S. These acquisitions allow us to expand our products and service offerings internationally and in the U.S.  A summary of the acquisitions is as follows:

 

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Business Acquired

 

Date of Closing

 

Net Assets
Acquired

(in millions)

 

Segment

 

Primary Form of
Consideration

 

IBI, LLC

 

July 9, 2013

 

$

18.6

 

Product Solutions

 

Cash

 

Hetsco Holdings, Inc.

 

April 30, 2013

 

$

32.4

 

Energy Services

 

Cash

 

 

Each of the acquired businesses has been included in our results of operations since the date of closing. Due to the timing of each acquisition and related operating results, our 2014 and 2013 operating results are not entirely comparable.

 

On July 9, 2013, we acquired IBI Power, a leading manufacturer of custom power packaging and integration solutions, including control house systems, generator enclosures and industrial tanks. The aggregate consideration paid consisted of $18.6 million in cash, after final working capital adjustments and other adjustments of which $0.7 million was paid in January, 2014.  IBI merged with and into Koontz-Wagner and its financial results are included in our Product Solutions segment since the acquisition date.

 

On April 30, 2013, we acquired Hetsco, a global provider of mission critical brazed aluminum heat exchanger repair, maintenance and safety services to the industrial gas, liquefied natural gas and petrochemical industries. The aggregate acquisition price consisted of $32.4 million in cash, after final working capital adjustments. The financial results of the Hetsco acquisition have been included in our Energy Services segment since the acquisition date.

 

We funded the purchase of the IBI Power and Hetsco acquisitions (together, the “2013 Acquisitions”) through a combination of cash on hand and draws on our $150.0 million credit facility (as amended or supplemented from time to time, the “Revolving Credit Facility”).

 

The following table summarizes the consideration paid for the 2013 Acquisitions and presents an allocation of these amounts to the net tangible and identifiable intangible assets based on the estimated fair values as of the respective acquisition dates.

 

 

 

 

2013 Acquisition Activity

 

 

Hetsco Inc.

 

IBI Power

 

Total

 

 

 

 

 

 

 

Current assets

 

$

 7,733

 

$

 8,304

 

$

 16,037

Property, plant and equipment

 

867

 

2,822

 

3,689

Identifiable intangible assets

 

22,800

 

9,300

 

32,100

Goodwill

 

12,997

 

4,542

 

17,539

Total assets acquired

 

44,397

 

24,968

 

69,365

Current liabilities

 

(2,265)

 

(6,327)

 

(8,592)

Long-term deferred tax liability

 

(8,645)

 

 

(8,645)

Other long-term liabilities

 

(1,089)

 

 

(1,089)

Net assets acquired

 

$

 32,398

 

$

 18,641

 

$

 51,039

 

 

The purchase price was preliminarily allocated based on estimated fair values as of each acquisition date.  These allocations require the significant use of estimates and are based on the information that was available to management at the time these consolidated financial statements were prepared.  The estimated fair values and useful lives acquired have been supported by third party valuation.  The IBI fair values remain subject to potential adjustments including, but not limited to, assessment of income tax related assets and liabilities.

 

Acquired intangible assets in 2013 of $32.1 million consisted of customer relationships, trade names and noncompete agreements. The amortization period for these intangible assets, except trade names which are indefinite, ranges from five to seven years. We recorded $1.8 million of amortization expense related to these intangible assets during the six months ended June 30, 2014.  The major classes of intangible assets are as follows:

 

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Weighted Average

 

 

 

($ in thousands)

 

Amortization Years

 

At Date of
Acquisition

 

 Customer Relationships

 

7

 

$

19,200

 

 Trade Names

 

Indefinite

 

11,000

 

 Noncompetes

 

5

 

1,900

 

 

 

 

 

$

32,100

 

 

 

 

The estimated future aggregate amortization expense of intangible assets from the 2013 Acquisitions as of June 30, 2014 is set forth below:

 

 

($ in thousands)

 

 

 

 

 

 

 

For the Fiscal Year Ending December 31 --

 

 

 

 2014 (remainder of year)

 

$

1,033

 

 2015

 

3,123

 

 2016

 

3,123

 

 2017

 

3,123

 

 2018

 

2,894

 

 Thereafter

 

3,814

 

 Total

 

$

17,110

 

 

 

 

The goodwill associated with the IBI Power acquisition is deductible for tax purposes whereas the goodwill associated with the Hetsco acquisition is not deductible for tax purposes.

 

The following unaudited pro forma information has been provided for illustrative purposes only and is not necessarily indicative of results if the 2013 Acquisitions of IBI Power and Hetsco occurred on January 1, 2012, nor are they necessarily indicative of future results.

 

 

 

 

Three months ended June 30,

 

Six months ended June 30,

 

 

 

(unaudited)

 

(unaudited)

 

($ in thousands, except per share data)

 

2014

 

2013

 

2014

 

2013

 

 Consolidated revenues

 

$

114,739

 

$

133,417

 

$

219,621

 

$

265,447

 

 Income (loss) from continuing operations before income tax

 

864

 

(1,900)

 

792

 

(592)

 

 Earnings (loss) per share from continuing operations:

 

 

 

 

 

 

 

 

 

Basic

 

$

0.06

 

$

(0.11)

 

$

0.05

 

$

(0.04)

 

Diluted

 

$

0.06

 

$

(0.11)

 

$

0.05

 

$

(0.04)

 

 

 

The unaudited pro forma consolidated results during the three and six months ended June 30, 2014 and 2013 have been prepared by adjusting our historical results to include the 2013 Acquisitions as if they occurred on January 1, 2012. These unaudited pro forma consolidated historical results were then adjusted for the following:

 

·                  a net increase in interest expense during the three and six months ended June 30, 2013;

·                  an increase in amortization expense due to the incremental intangible assets recorded related to the 2013 Acquisitions;

·                  a change in depreciation expense relating to the net impact of adjusting acquired property and equipment to the acquisition date fair values;

·                  adjustments to reflect the impact of transaction costs related to the acquisition of IBI Power and Hetsco of $0.3 million in the three months ended June 30, 2013 and $1.0 million in the six months ended June 30, 2013;

 

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·                  adjustments to tax effect the pro forma results of the acquisition of IBI Power and Hetsco at Global Power’s estimated domestic statutory tax rate of 39% for all periods and

·                  a net increase in stock compensation expense associated with restricted stock granted as a part of the Hetsco acquisition offset by a reduction in stock compensation expense resulting from the cancellation of Hetsco’s previous stock grants.

 

 

The unaudited pro forma results do not include any adjustments to eliminate the impact of cost savings or other synergies that may have resulted from the 2013 Acquisitions. As noted above, the unaudited pro forma results of operations do not purport to be indicative of the actual results that would have been achieved by the combined company for the periods presented or that may be achieved by the combined company in the future.

 

NOTE 4—EARNINGS PER SHARE

Basic earnings per common share are calculated by dividing net income by the weighted average common shares outstanding during the period. Diluted earnings per common share is based on the weighted average common shares outstanding during the period, adjusted to include the incremental effect of common shares that would be issued upon the conversion of warrants and the vesting and release of restricted stock awards.

 

Basic and diluted earnings per common share are calculated as follows:

 

 

 

Three Months Ended June 30,

 

Six Months Ended June 30,

($ in thousands, except per share data)

 

2014

 

2013

 

2014

 

2013

Net Income (Loss):

 

 

 

 

 

 

 

 

Income (loss) from continuing operations

 

$

864

 

$

742

 

$

792

 

$

(459)

Loss from discontinued operations

 

(90)

 

(1)

 

(97)

 

(41)

Income (loss) available to common shareholders

 

$

774

 

$

741

 

$

695

 

$

(500)

 

 

 

 

 

 

 

 

 

Basic Earnings (Loss) Per Common Share:

 

 

 

 

 

 

 

 

Weighted Average Common Shares Outstanding

 

17,070,615

 

16,956,925

 

17,033,816

 

16,865,070

 

 

 

 

 

 

 

 

 

Basic earnings (loss) per common share from continuing operations

 

$

0.06

 

$

0.04

 

$

0.05

 

$

(0.03)

Basic loss per common share from discontinued operations

 

(0.01)

 

 

(0.01)

 

Basic earnings (loss) per common share

 

$

0.05

 

$

0.04

 

$

0.04

 

$

(0.03)

 

 

 

 

 

 

 

 

 

Diluted Earnings (Loss) Per Common Share:

 

 

 

 

 

 

 

 

Weighted Average Common Shares Outstanding

 

17,070,615

 

16,956,925

 

17,033,816

 

16,865,070

Effect of Dilutive Securities:

 

 

 

 

 

 

 

 

Unvested portion of restricted stock awards

 

4,574

 

10,431

 

6,314

 

Warrants to purchase common stock

 

 

 

 

Weighted Average Common Shares Outstanding Assuming Dilution

 

17,075,189

 

16,967,356

 

17,040,130

 

16,865,070

 

 

 

 

 

 

 

 

 

Diluted earnings (loss) per common share from continuing operations

 

$

0.06

 

$

0.04

 

$

0.05

 

$

(0.03)

Diluted loss per common share from discontinued operations

 

(0.01)

 

 

(0.01)

 

Diluted earnings (loss) per common share

 

$

0.05

 

$

0.04

 

$

0.04

 

$

(0.03)

 

During the three and six months ended June 30, 2014, there were 145,525 and 116,655 outstanding stock equivalents, respectively that were anti-dilutive and excluded from the computations of diluted earnings per common share.  During the three and six months ended June 30, 2013, there were 179,609 and 262,404 outstanding stock equivalents, respectively that were anti-dilutive and excluded from the computations of diluted earnings per common share.  Excluded from the calculation of both basic and diluted earnings per common share are the unvested performance-based, both Operating Margin and Relative TSR Performance Objective, restricted stock awards of 317,303 for which achieving performance targets had not been determined by the Board of Directors as of June 30, 2014.  There were 273,959 performance-based stock awards outstanding as of June 30, 2013.

 

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NOTE 5—INCOME TAXES

 

The overall effective income tax rate for continuing operations during the three and six months ended June 30, 2014 and 2013 was as follows:

 

 

 

Three Months Ended June 30,

 

Six Months Ended June 30,

 

 

2014

 

2013

 

2014

 

2013

Effective income tax rate

 

29.3%

 

54.4%

 

29.7%

 

-136.6%

 

 

The effective income tax rate differs from the statutory federal income tax rate of 35% primarily because of state and foreign income taxes and permanent differences.  The amount of the income tax provision for continuing operations during the three months ended June 30, 2014 and 2013 differs from the statutory federal income tax rate of 35% as follows:

 

 

 

Three Months Ended June 30,

 

 

2014

 

2014

 

2013

 

2013

 

 

Amount

 

Percent

 

Amount

 

Percent

Tax expense computed at the maximum U.S. statutory rate

 

$

428

 

35.0%

 

$

569

 

35.0%

Difference resulting from state income taxes, net of federal income tax benefits

 

(73)

 

-5.9%

 

36

 

2.2%

Foreign tax rate differences

 

(56)

 

-4.6%

 

(30)

 

-1.7%

Non-deductible business acquisition costs

 

 

 

309

 

19.0%

Non-deductible meals and entertainment

 

24

 

1.9%

 

15

 

0.9%

Non-deductible expenses, other

 

8

 

0.7%

 

28

 

1.7%

Net change in accrual for uncertain tax positions

 

87

 

7.1%

 

(27)

 

-1.7%

Tax credit carryforwards

 

(60)

 

-4.9%

 

 

Other, net

 

 

 

(16)

 

-1.0%

Total

 

$

358

 

29.3%

 

$

884

 

54.4%

 

 

The amount of the income tax provision for continuing operations during the six months ended June 30, 2014 and 2013 differs from the statutory federal income tax rate of 35% as follows:

 

 

 

Six Months Ended June 30,

 

 

2014

 

2014

 

2013

 

2013

 

 

Amount

 

Percent

 

Amount

 

Percent

Tax expense computed at the maximum U.S. statutory rate

 

$

394

 

35.0%

 

$

(68)

 

35.0%

Difference resulting from state income taxes, net of federal income tax benefits

 

(75)

 

-6.6%

 

(24)

 

12.2%

Foreign tax rate differences

 

(53)

 

-4.7%

 

8

 

-4.0%

Non-deductible business acquisition costs

 

 

 

309

 

-159.3%

Non-deductible meals and entertainment

 

22

 

2.0%

 

(3)

 

1.4%

Non-deductible expenses, other

 

8

 

0.7%

 

(6)

 

3.1%

Net change in accrual for uncertain tax positions

 

98

 

8.6%

 

42

 

-21.6%

Tax credit carryforwards

 

(60)

 

-5.3%

 

 

Other, net

 

 

 

7

 

-3.4%

Total

 

$

334

 

29.7%

 

$

265

 

-136.6%

 

 

As of June 30, 2014 and June 30, 2013, we would need to generate approximately $85.8 million and $104.1 million, respectively, of future financial taxable income to realize our deferred tax assets.

 

As of both June 30, 2014 and December 31, 2013, we provided for a liability of $4.7 million and $4.7 million, respectively, for unrecognized tax benefits related to various federal, foreign and state income tax matters, which was included in long-term deferred tax assets and other long-term liabilities.  If recognized, the entire amount of the liability would affect the effective tax rate.  As of June 30, 2014, we had accrued approximately $2.6 million in other long-term liabilities for potential payment of interest and penalties related to uncertain income tax positions.

 

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NOTE 6—DEBT

 

Revolving Credit Facility.  As of June 30, 2014, we had $31.0 million outstanding under our Revolving Credit Facility and we were in compliance with all financial and other covenants under the Revolving Credit Facility.  During the six months ended June 30, 2014, we borrowed $30.0 million on our Revolving Credit and we repaid $22.0 million.  The weighted average interest rates on borrowings were 1.49%.

 

The Revolving Credit Facility allows for borrowings up to $150.0 million, subject to outstanding standby letters of credit and other restrictions.  The facility has a $75.0 million revolving letter of credit facility and provides access to multi-currency funds.  The Revolving Credit Facility has a maturity date of February 21, 2017.

 

We are subject to interest rate changes on our LIBOR-based variable interest rate under our Revolving Credit Facility.  As of June 30, 2014, a maximum of $107.2 million was available under our Revolving Credit Facility.  Our ability to borrow this maximum amount is governed by a number of provisions of our Revolving Credit Facility, some of which have the effect of limiting the amount that we can borrow based upon such factors as the Company’s compliance with certain leverage ratios and other financial covenants or the use of the proceeds of the relevant drawdown, in each case as of a particular date or time.  In practice, these provisions of our Revolving Credit Facility mean that we may not be permitted to borrow the full $150.0 million of our Revolving Credit Facility and the amount we are allowed to borrow under our Revolving Credit Facility will likely be materially less than the difference between our actual borrowings and $150.0 million for the foreseeable future.  As of June 30, 2014, we pay an unused line fee of 0.20% pursuant to the terms of our Revolving Credit Facility.

 

Letters of Credit and Bonds.  In line with industry practice, we are often required to provide letters of credit, surety and performance bonds to customers.  These letters of credit and bonds provide credit support and security for the customer if we fail to perform our obligations under the applicable contract with such customer.

 

The interest rate on letters of credit issued under the Revolving Credit Facility letter of credit was 1.25% per annum as of June 30, 2014.  Should we need to borrow additional amounts against the Revolving Credit Facility, we would incur an interest rate of LIBOR or a specified base rate, plus in each case, an additional margin based on our consolidated leverage ratio.  The Revolving Credit Facility includes additional margin ranges on base rate loans between 0.25% and 1.25% and between 1.25% and 2.25% on LIBOR-based loans.

 

As of June 30, 2014, our outstanding stand-by letters of credit totaled approximately $11.8 million for our U.S. entities and $11.1 million for non-U.S. entities.  Currently there are no amounts drawn upon these letters of credit.  In addition, as of June 30, 2014, we had outstanding surety bonds on projects of approximately $24.7 million.

 

Deferred Financing Costs.  As of June 30, 2014, we had unamortized deferred financing fees on our Revolving Credit Facility of $0.6 million and interest expense associated with the amortization of $0.1 million for the six months ending June 30, 2014 and $0.1 million for the six months ended June 30, 2013.

 

NOTE 7—COMMITMENTS AND CONTINGENCIES

 

Litigation and Claims: We are from time to time party to various lawsuits, claims and other proceedings that arise in the ordinary course of our business. With respect to all such lawsuits, claims and proceedings, we record a reserve when it is probable that a liability has been incurred and the amount of loss can be reasonably estimated. We do not believe that the resolution of any currently pending lawsuits, claims and proceedings, either individually or in the aggregate, will have a material adverse effect on our financial position, results of operations or liquidity. However, the outcomes of any currently pending lawsuits, claims and proceedings cannot be predicted, and therefore, there can be no assurance that this will be the case.

 

Deltak Claims: By purchase agreement dated August 5, 2011, referred to as the 2011 Purchase Agreement, we sold substantially all of the assets of our Deltak business unit to Hamon Acquisitions, Inc. (n/k/a Hamon Deltak, Inc.) (an indirect wholly owned subsidiary of Hamon & Compagnie International SA) (the “Buyer”). Under the 2011 Purchase Agreement, we retained certain liabilities relating to the assets sold to the Buyer. The 2011 Purchase Agreement established escrow accounts totaling $7.0 million set aside for contingencies, of which $6.2 million was initially subject to a five year escrow term and $0.8 million was subject to scheduled releases.  We previously recorded $3.1 million in short-term restricted cash and $3.8 million, which was subject to a five year escrow term, was previously recorded in other long-term assets.   During 2013, we received two claims for indemnification from the Buyer in connection with the activities of our Deltak business unit.  Under the terms of the settlement agreement, $0.1 million of the remaining escrow was classified as short-term restricted cash as of December 31, 2013.  On February 4, 2014, less than $0.1 million of the purchase price held in escrow related to the sale of the assets of Deltak was released to Global Power.

 

Asbestos Cases: A former operating unit of Global Power has been named as a defendant in a limited number of asbestos personal injury lawsuits. Neither we nor our predecessors ever mined, manufactured, produced or distributed asbestos fiber, the material that allegedly caused the injury underlying these actions. The bankruptcy court’s discharge order issued upon emergence from bankruptcy extinguished the claims made by all plaintiffs who had filed asbestos claims against us before that time. We also believe the bankruptcy court’s discharge order should serve as a bar against any later claim filed against us, including any of our subsidiaries, based on alleged injury from asbestos at any time before emergence from bankruptcy. In any event in all of the asbestos cases finalized post-bankruptcy, we have been successful in having such cases dismissed without liability. Moreover, during 2012, we secured insurance coverage that will help to reimburse the defense costs and potential indemnity obligations of our former operating unit relating to these claims. We intend to vigorously defend all currently active actions, just as we defended the other actions that have since been dismissed, all without liability, and we do not anticipate that any of these actions will have a material adverse effect on our financial position, results of operations or liquidity. However, the outcomes of any legal action cannot be predicted and, therefore, there can be no assurance that this will be the case.

 

Contingencies: On June 28, 2013, we announced a change in senior leadership in our Nuclear and Energy Services segments.  We subsequently filed a Form 8-K disclosing anticipated separation costs of approximately $0.5 million pursuant to a Separation Agreement relating to this change in leadership. On July 17, 2013, we rescinded the Separation Agreement and therefore have not accrued any of the previously disclosed separation costs in the consolidated balance sheet and statement of operations as of June 30, 2014 and December 31, 2013.

 

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NOTE 8—STOCKHOLDERS’ EQUITY

 

Dividends:  In May 2012, our Board of Directors approved a quarterly cash dividend policy. The terms of our Revolving Credit Facility limit the amount of cash dividends we can pay and such terms are defined in the Revolving Credit Facility. The following table sets forth certain information relating to the Company’s cash dividends declared to common stockholders of the Company during the six months ended June 30, 2014:

 

 

 

 

Dividend
Declaration Date

 

Dividend
per Share

 

Date of Record for
Dividend Payment

 

Dividend Cash
Payment Date

Fiscal year 2014:

 

May 1, 2014

 

$

0.09

 

June 13, 2014

 

June 27, 2014

 

 

March 7, 2014

 

$

0.09

 

March 18, 2014

 

March 28, 2014

 

 

 

Dividend equivalents equal to the dividends payable on the same number of shares of our common stock were accrued on unvested restricted stock awards. No dividend equivalents are paid on any unvested restricted stock awards that are forfeited prior to the vesting date. Dividend equivalents are paid out in cash at the vesting date on restricted stock awards. A non-cash accrual of $0.2 million for unpaid dividend equivalents for unvested restricted stock awards was included in the accompanying consolidated balance sheet as of June 30, 2014. In addition, accumulated dividend equivalents of less than $0.1 million were paid upon the vesting and release of 86,934 restricted stock awards during the six months ended June 30, 2014.

 

Stock Repurchase Program:  In May 2012, our Board of Directors authorized a program to repurchase up to two million shares of our common stock until the earlier of June 30, 2014 or a determination by the Board of Directors to discontinue the repurchase program.  We repurchased 421,731 shares of common stock during the year ended December 31, 2012 for $6.8 million under the repurchase program.  During the three and six months ended June 30, 2014 and 2013, we did not repurchase any shares of common stock.  As of the date of this report, the Board of Directors has not extended this program.

 

Foreign Currency Translation:  Foreign assets and liabilities are translated using the exchange rate in effect at the balance sheet date, and results of operations are translated using an average rate during the period. Translation adjustments are accumulated and reported as a component of accumulated other comprehensive income. We had foreign currency translation adjustments resulting in less than $0.4 million and $0.1 million of unrealized loss for the six months ended June 30, 2014 and 2013, respectively. Our foreign earnings are considered permanently reinvested and, therefore, we do not have any corresponding deferred taxes for our unremitted earnings.

 

Stock-Based Compensation: During the six months ended June 30, 2014, we vested 66,167 shares of stock-based compensation to employees and recorded a $0.5 million non-cash accrual related to the payment of statutory taxes due on the awards that was paid as of June 30, 2014.

 

We granted 110,903 shares of restricted stock awards subject only to service conditions to employees and directors during the six months ended June 30, 2014 at a weighted-average fair value price per share of $19.66.  These service-based restricted stock awards will vest ratably over one, three or four years.

 

We also granted 90,623 restricted stock awards subject to performance conditions during the six months ended June 30, 2014 at a weighted-average fair value price per share of $19.89.  Of these, 10,000 performance-based restricted stock awards will vest at the end of a one-year performance period subject to meeting or exceeding a $30.0 million EBITDA target.  The remaining 80,623 performance-based restricted stock awards will cliff vest at the end of a three-year performance period subject to multiple target levels of operating margin. If the minimum target set in the agreement is not met, none of the shares would vest and no compensation expense would be recognized and any previously recognized compensation expense would be reversed. The actual number of shares that will ultimately vest is dependent on achieving fixed thresholds between the minimum and maximum performance condition and ranges between 0% and 200% the number of units originally granted. We recognize stock-based compensation expense related to performance awards based upon our determination of the potential likelihood of achievement of the performance target at each reporting date, net of estimated forfeitures.

 

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We also granted 80,624 market-based restricted stock awards during the six months ended June 30, 2014 which, in addition to being subject to continuing employment requirements are subject to a market condition in the form of a total shareholder return (“TSR”) modifier. The actual number of shares that cliff vest at the end of the three-year vesting period is determined based on our TSR relative to the Russell 2000 over the related three-year performance period. Depending on the level of achievement, the actual number of shares that vest may range from 0% to 200% of the awards originally granted.

 

We estimate the fair value of our market-based restricted stock awards on the date of grant using a Monte Carlo simulation valuation model. This pricing model uses multiple simulations to evaluate our probability of achieving various stock price levels to determine our expected TSR performance ranking. Expense is only recorded for the number of market-based restricted stock awards granted, net of estimated forfeitures. The assumptions used to estimate the fair value of market-based restricted stock awards granted during the six months ended June 30, 2014 were as follows:

 

 

 

 

 

Six Months Ended

 

 

 

 

 

June 30,

 

 

 

 

 

2014

 

Expected term (years) 

 

 

 

2.75

 

Expected volatility 

 

 

 

34.7%

 

Expected dividend yield 

 

 

 

0.0%

 

Risk-free interest rate 

 

 

 

0.79%

 

Weighted-average grant date fair value

 

 

 

$

  25.71

 

 

NOTE 9—OTHER SUPPLEMENTAL INFORMATION

 

Other current assets consist of the following:

 

 

 

 

June 30,

 

December 31,

 

($ in thousands)

 

2014

 

2013

 

 Prepaid expenses

 

$

  3,618

 

$

  2,735

 

 VAT receivable

 

3,487

 

3,216

 

 Prepaid taxes

 

677

 

872

 

 Other Receivables

 

 

55

 

 Other

 

693

 

1,337

 

Total 

 

$

  8,475

 

$

  8,215

 

 

 

Other long-term assets consist of the following:

 

 

 

 

June 30,

 

December 31,

 

($ in thousands)

 

2014

 

2013

 

 Debt issuance costs, net

 

$

  629

 

$

  751

 

 Other

 

351

 

507

 

Total 

 

$

  980

 

$

  1,258

 

 

Other current liabilities consist of the following:

 

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June 30,

 

December 31,

 

($ in thousands)

 

2014

 

2013

 

 Accrued workers compensation

 

$

1,451

 

$

1,659

 

 Accrued taxes

 

1,092

 

1,524

 

 Accrued contract obligation

 

801

 

1,030

 

 Accrued job reserves

 

622

 

1,387

 

 Accrued legal and professional fees

 

537

 

1,036

 

 Other

 

2,349

 

1,847

 

Total 

 

$

6,852

 

$

8,483

 

 

Other long-term liabilities consist of the following:

 

 

 

 

June 30,

 

December 31,

 

($ in thousands)

 

2014

 

2013

 

 Uncertain tax liabilities

 

$

5,151

 

$

5,054

 

 Other

 

799

 

790

 

Total 

 

$

5,950

 

$

5,844

 

 

 

Supplemental cash flow disclosures are as follows:

 

 

 

 

Six Months Ended June 30,

 

 

2014

 

2013

 SUPPLEMENTAL DISCLOSURES OF CASH FLOW INFORMATION:

 

 

 

 

Cash paid for the period for:

 

 

 

 

Interest 

 

$

313

 

$

233

Income taxes 

 

$

217

 

$

2,470

 

 

 

 

 

Net effect of changes in operating activities

 

 

 

 

Decrease in accounts receivable

 

$

19,722

 

$

37,711

Increase in inventories

 

(1,980)

 

(581)

(Increase) decrease in costs and estimated earnings in excess of billings 

 

(19,691)

 

3,576

Increase in other current assets 

 

(261)

 

(948)

Decrease (increase) in other assets 

 

157

 

(190)

Decrease in accounts payable 

 

(2,431)

 

(8,423)

Decrease in accrued and other liabilities 

 

(247)

 

(819)

(Decrease) increase in accrued warranties

 

(1,578)

 

50

Decrease in billings in excess of costs and estimated earnings 

 

(1,434)

 

(6,506)

Changes in operating assets and liabilities

 

$

(7,743)

 

$

23,870

 

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NOTE 10—MAJOR CUSTOMERS AND CONCENTRATION OF CREDIT RISK

 

We have certain customers that represent more than 10 percent of consolidated accounts receivable. The balance for these customers as a percentage of the consolidated accounts receivable is as follows:

 

 

 

As of

 

As of

 

 

 

 

 

 

 

 

 

June 30,

 

December 31,

 

 

 

 

 

 

 

Customer

 

2014

 

2013

 

Siemens Energy, Inc.

 

15%

 

21%

 

General Electric Company

 

14%

 

25%

 

 

 

We have certain customers that represent more than 10 percent of consolidated revenue. The revenue for these customers as a percentage of the consolidated revenue is as follows:

 

 

 

Three Months Ended June 30,

 

Six Months Ended June 30,

 

Customer

 

2014

 

2013

 

2014

 

2013

 

Southern Nuclear Operating Company

 

10%

 

13%

 

19%

 

21%

 

Siemens Energy, Inc.

 

13%

 

*     

 

*     

 

12%

 

Tennessee Valley Authority

 

17%

 

14%

 

17%

 

14%

 

General Electric Company

 

12%

 

18%

 

13%

 

14%

 

Energy Northwest

 

*     

 

18%

 

*     

 

10%

 

All others

 

48%

 

37%

 

51%

 

29%

 

Total

 

100%

 

100%

 

100%

 

100%

 

 

 

*         Less than 10% of revenue included in “All others”

 

Customers for the Product Solutions segment include original equipment manufacturers, engineering, procurement and construction contractors, owners and operators of oil and gas pipelines, operators of power generation facilities and firms engaged across several process-related industries. Product Solutions segment customers include Siemens Energy, Inc. and General Electric Company. Customers for the Nuclear Services segment and Energy Services segment are varied, but include some major utility companies within the U.S. Our major customers vary over time due to the relative size and duration of our projects and customer outages.  Nuclear Services segment and Energy Services segment customers include Southern Nuclear Operating Company, Energy Northwest and Tennessee Valley Authority.

 

NOTE 11—SEGMENT INFORMATION

 

We follow ASC 280—Segment Reporting, to present segment information. We considered the way our management team, most notably our chief operating decision maker, makes operating decisions and assesses performance and considered which components of our enterprise have discrete financial information available. As management makes decisions using a products and services group focus, our analysis resulted in three reportable segments:  the Product Solutions segment, the Energy Services segment, and the Nuclear Services segment.  The Product Solutions segment consists of two product categories:  Auxiliary Products and Electrical Solutions.  The financial results of the 2013 Acquisitions have been included in their respective segment as of their respective acquisition dates.

 

For all periods presented, we have excluded the results of operations of our discontinued operations. As a result of our 2011 disposal of the Deltak business unit, certain corporate and other operating costs were reallocated for all periods presented to our continuing operations. In addition, management also reevaluated our primary measure of segment performance and determined that EBITDA should be used as the best measure of segment performance.

 

The accounting policies for our segments are the same as those described in Note 2—Summary of Significant Accounting Policies.

 

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The following tables present information about segment income:

 

($ in thousands)

 

Three months ended June 30,

 

Six months ended June 30,

 

 

 

2014

 

2013

 

2014

 

2013

 

 

 

 

 

 

 

 

 

 

 

Revenues:

 

 

 

 

 

 

 

 

 

Product Solutions

 

 $

59,171

 

 $

35,930

 

 $

98,102

 

 $

74,824

 

Nuclear Services

 

41,430

 

66,435

 

98,492

 

131,448

 

Energy Services

 

14,138

 

13,600

 

23,027

 

26,403

 

Consolidated

 

 $

114,739

 

 $

115,965

 

 $

219,621

 

 $

232,675

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

($ in thousands)

 

Three months ended June 30,

 

Six months ended June 30,

 

 

 

2014

 

2013

 

2014

 

2013

 

Depreciation and Amortization: (1)

 

 

 

 

 

 

 

 

 

Product Solutions

 

 $

1,684

 

 $

1,284

 

 $

3,340

 

 $

2,508

 

Nuclear Services

 

175

 

192

 

389

 

389

 

Energy Services

 

657

 

374

 

1,528

 

384

 

Consolidated

 

 $

2,516

 

 $

1,850

 

 $

5,257

 

 $

3,281

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

($ in thousands)

 

Three months ended June 30,

 

Six months ended June 30,

 

 

 

2014

 

2013

 

2014

 

2013

 

Operating Income (Loss):

 

 

 

 

 

 

 

 

 

Product Solutions

 

 $

1,799

 

 $

1,125

 

 $

2,782

 

 $

(2,269)

 

Nuclear Services

 

343

 

2,786

 

1,738

 

4,061

 

Energy Services

 

(674)

 

(1,941)

 

(2,465)

 

(1,706)

 

Consolidated

 

 $

1,468

 

 $

1,970

 

 $

2,055

 

 $

86

 

 

 

(1)  Depreciation and Amortization includes $0.4 million and $0.3 million in cost of sales for the three months ended June 30, 2014 and 2013, respectively.  Depreciation and Amortization for the six months ended June 30, 2014 and 2013 included in cost of sales was $0.8 million and $0.6 million, respectively.

 

 

The following table presents information which reconciles segment assets to consolidated total assets:

 

 

 

 

As of

 

 

 

 

 

 

 

 

 

June 30,

 

December 31,

 

 

 

 

 

 

 

($ in thousands)

 

2014

 

2013

 

 

 

 

 

 

 

Assets:

 

 

 

 

 

Product Solutions

 

 $

223,062

 

 $

232,070

 

Nuclear Services

 

74,973

 

63,897

 

Energy Services

 

50,384

 

49,782

 

Non allocated corporate headquarters assets

 

19,763

 

21,649

 

Total consolidated assets

 

 $

368,182

 

 $

367,398

 

 

 

Corporate assets consist primarily of cash and deferred tax assets.

 

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The following presents the Product Solutions segment revenue by geographical region based on our operating locations. Products are often shipped to other geographical areas but revenue is listed in the region in which the revenue is recognized:

 

 

 

 

Three Months Ended June 30,

 

 

 

 

 

 

 

 

 

 

 

 

 

2014

 

2013

 

 

 

 

 

 

 

 

 

 

 

 

 

Revenue

 

Product

 

Revenue

 

Product

 

 

 

 

 

 

 

 

 

 

 

($ in thousands)

 

Recognized In

 

Shipped To

 

Recognized In

 

Shipped To

 

 

 

 

 

 

 

 

 

 

 

United States

 

 $

37,820

 

 $

29,624

 

 $

26,663

 

 $

14,560

 

Canada

 

—  

 

284

 

—  

 

79

 

Europe

 

19,676

 

1,280

 

6,735

 

2,280

 

Mexico

 

1,073

 

592

 

2,077

 

37

 

Asia

 

602

 

3,062

 

455

 

1,315

 

Middle East

 

—  

 

14,021

 

—  

 

14,615

 

South America

 

—  

 

1,319

 

—  

 

1,325

 

Other

 

—  

 

8,989

 

—  

 

1,719

 

Total

 

 $

59,171

 

 $

59,171

 

 $

35,930

 

 $

35,930

 

 

 

 

 

Six Months Ended June 30,

 

 

 

 

 

 

 

 

 

 

 

 

 

2014

 

2013

 

 

 

 

 

 

 

 

 

 

 

 

 

Revenue

 

Product

 

Revenue

 

Product

 

 

 

 

 

 

 

 

 

 

 

($ in thousands)

 

Recognized In

 

Shipped To

 

Recognized In

 

Shipped To

 

 

 

 

 

 

 

 

 

 

 

United States

 

 $

66,490

 

 $

53,850

 

 $

54,830

 

 $

35,049

 

Canada

 

—  

 

907

 

—  

 

230

 

Europe

 

25,674

 

3,924

 

14,554

 

3,238

 

Mexico

 

5,190

 

592

 

4,840

 

316

 

Asia

 

748

 

7,255

 

600

 

5,444

 

Middle East

 

—  

 

14,387

 

—  

 

23,680

 

South America

 

—  

 

4,039

 

—  

 

4,993

 

Other

 

—  

 

13,148

 

—  

 

1,874

 

Total

 

 $

98,102

 

 $

98,102

 

 $

74,824

 

 $

74,824

 

 

 

Our Nuclear Services segment revenue, all of which is derived in the U.S., was $41.4 million and $66.4 million during the three months ended June 30, 2014 and 2013, respectively and was $98.5 million and $131.4 million during the six months ended June 30, 2014 and 2013, respectively.  Our Energy Services segment revenue, virtually all of which is derived in the U.S., was $14.1 million and $13.6 million during the three months ended June 30, 2014 and 2013, respectively and was $23.0 million and $26.4 million during the six months ended June 30, 2014 and 2013, respectively.

 

NOTE 12—SUBSEQUENT EVENT

 

On July 31, 2014, our Board of Directors declared a cash dividend of $0.09 per share of common stock to the holders of record of our common stock as of the close of business on September 12, 2014 to be paid on or about September 26, 2014.

 

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Item 2.                          Management’s Discussion and Analysis of Financial Condition and Results of Operations.

 

Cautionary Statement Regarding Forward-Looking Statements

 

This Quarterly Report on Form 10-Q (this “Form 10-Q”) contains or incorporates by reference various forward-looking statements that express a belief, expectation or intention or are otherwise not statements of historical fact. Forward-looking statements generally use forward-looking words, such as “may,” “will,” “could,” “project,” “believe,” “anticipate,” “expect,” “estimate,” “continue,” “potential,” “plan,” “forecast” and other words that convey the uncertainty of future events or outcomes. Forward-looking statements include information concerning possible or assumed future results of our operations, including the following:

 

·                  business strategies;

 

·                  operating and growth initiatives and opportunities;

 

·                  competitive position;

 

·                  market outlook and trends in our industry;

 

·                  contract backlog and related amounts to be recognized as revenue;

 

·                  expected financial condition;

 

·                  future cash flows;

 

·                  financing plans;

 

·                  expected results of operations;

 

·                  future capital and other expenditures;

 

·                  availability of raw materials and inventories;

 

·                  plans and objectives of management;

 

·                  future exposure to currency devaluations or exchange rate fluctuations;

 

·                  future income tax payments and utilization of net operating losses and foreign tax credit carryforwards;

 

·                  future compliance with orders and agreements with regulatory agencies;

 

·                  expected outcomes of legal or regulatory proceedings and their expected effects on our results of operations; and

 

·                  any other statements regarding future growth, future cash needs, future operations, business plans and future financial results.

 

These forward-looking statements represent our intentions, plans, expectations, assumptions and beliefs about future events and are subject to risks, uncertainties and other factors, including unpredictable or unanticipated factors that we have not discussed in this Form 10-Q. Many of those factors are outside of our control and could cause actual results to differ materially from the results expressed or implied by the forward-looking statements.

 

In light of these risks, uncertainties and assumptions, the events described in the forward-looking statements might not occur or might occur to a different extent or at a different time than we have described. You should consider the areas of risk and uncertainty described above, as well as those discussed in our Annual Report on Form 10-K, filed with the Securities and Exchange Commission (“SEC”) on March 17, 2014, under the heading “Risk Factors.” Except as may be required by applicable law, we undertake no obligation to update or revise any forward-looking statements, whether as a result of new information, future events or otherwise and we caution you not to rely upon them unduly.

 

The following discussion provides an analysis of the results of operations for each of our business segments, an overview of our liquidity and capital resources and other items related to our business. This discussion and analysis should be read in conjunction with our unaudited condensed consolidated financial statements and notes thereto included in this Form 10-Q and our audited consolidated financial statements and notes thereto included in our Annual Report on Form 10-K, filed with the SEC on March 17, 2014.

 

Overview

 

Global Power Equipment Group Inc. (“Global Power,” “we,” “us,” “our,” or “the Company”) is a comprehensive provider of customer-engineered equipment, and modification and maintenance services for customers in the power generation, oil & gas, natural gas, infrastructure and process and industrial markets.  Our customers are in and outside the United States (“U.S.”) in both developed and emerging economies.

 

We design, engineer and manufacture a comprehensive range of gas and steam turbine auxiliary products, control houses and generator enclosures primarily used to enhance the efficiency and facilitate the operation of gas turbine power plants, sub-base and stand-alone tanks meeting UL listings UL142, UL2085 and ULC-S 601 and for other industrial, energy and power-related applications.  With a strong competitive position in our product lines due to our technology, skilled work force and experience, we benefit from a large installed base of equipment throughout the world.

 

We provide on-site specialty modification and maintenance services, outage management, facility upgrade services, specialty repair, brazed aluminum heat exchanger repair and maintenance, and other industrial and safety services to nuclear, fossil-fuel, industrial gas, and liquefied natural gas, petrochemical and other industrial operations in the U.S. We have the capability to combine our services and equipment resources to offer turn-key solutions for aftermarket repair applications for the North American gas turbine power generation, process and cogeneration markets.

 

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Our operations are grouped into three reportable segments:  Product Solutions, Nuclear Services and Energy Services.  Our Product Solutions segment is comprised of two primary product categories:  Electrical Solutions and Auxiliary Products.

 

·                  Our Electrical Solutions product category is comprised of Koontz-Wagner Custom Controls Holdings, LLC (“Koontz-Wagner”), including, following its merger with and into Koontz-Wagner (the “Merger”), the former operations of IBI, LLC (“IBI Power” or “IBI”). This product category focuses on manufacturing and integrating engineered packaged control house solutions and manufacturing custom power packaging and integration solutions, including control house systems, generator enclosures, and industrial tanks, for the energy, oil & gas and electrical industries.

 

·                  Our Auxiliary Products category is comprised of Braden Manufacturing, L.L.C. (“Braden”) which engineers and manufactures filter houses, inlet and exhaust systems, diverter dampers, selective catalytic emission reduction systems (commonly referred to as “SCR”) used in the power generation market.  Consolidated Fabricators Inc. (“CFI”) engineers and manufactures complex equipment to support gas turbines and other power generation equipment.  TOG Manufacturing (“TOG”) manufactures highly engineered precision components for critical applications across a variety of industries including:  power generation, U.S. Defense Department and off-shore drilling.

 

·                  Our Nuclear Services segment is comprised of the operations of Williams Plant Services, LLC and Williams Specialty Services, LLC (together, the “Williams business”).  Our Nuclear Services segment is focused on the nuclear maintenance and specialty services business.

 

·                  Our Energy Services segment is comprised Hetsco, Inc. (“Hetsco”) and the operations of Construction & Maintenance Professionals, LLC and Williams Industrial Services, LLC (part of Williams business).  Our Energy Services segment is focused on providing mission critical brazed aluminum heat exchanger repair, maintenance, and safety services to the industrial gas, liquefied natural gas and petrochemical industries and maintenance and specialty services to the industrial and fossil business.

 

For information about our segments, see Note 11—Segment Information to our unaudited condensed consolidated financial statements included in this Form 10-Q.

 

Our operations are based on discrete projects subject to contract awards of varying scopes and values. Business volume fluctuates due to many factors, including the mix of work and project schedules, which are dependent on the level and timing of customer releases of new projects. Significant fluctuations may occur from period to period in revenue, gross profit and operating results and such fluctuations are discussed below.

 

Acquisitions

 

On July 9, 2013, we acquired IBI Power, a leading manufacturer of custom power packaging and integration solutions, including control house systems, generator enclosures and industrial tanks.  The addition of IBI Power’s packaged control house solutions broadens our customer base to switchgear original equipment manufacturers and adds backup power and distributed power applications to our products portfolio. The aggregate consideration, following a working capital adjustment and other adjustments, consisted of $18.6 million, of which $17.9 million was paid in the third quarter of 2013, and $0.7 million payable as of the fourth quarter of 2013 and paid in January 2014. We funded the purchase of IBI Power through a combination of cash on hand and a draw on our $150.0 million credit facility (as amended or supplemented from time to time, the “Revolving Credit Facility”). Following our fiscal year end, on January 1, 2014, IBI Power merged with and into Koontz-Wagner, with Koontz-Wagner surviving the merger.  IBI Power’s financial results have been included in the results of our Product Solutions segment as of the acquisition date.

 

On April 30, 2013, we acquired Hetsco, a global provider of mission critical brazed aluminum heat exchanger repair, maintenance, and safety services to the industrial gas, liquefied natural gas (“LNG”) and petrochemical industries. The addition of Hetsco increases our exposure to the macro natural gas growth trend with a focus on adjacent technologies in air and gas separation, heat exchangers and LNG. Hetsco’s repair and maintenance work further expands our scope of high-margin aftermarket services. The aggregate consideration paid, following a working capital adjustment, consisted of $32.4 million. We funded the purchase of the Hetsco acquisition through a combination of cash on hand and a draw on our Revolving Credit Facility. The financial results of Hetsco have been included in the results of our Energy Services segment as of the acquisition date.

 

The acquisition of IBI Power and Hetsco are collectively referred to as the “2013 Acquisitions.”

 

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Business Strategy

 

Product Solutions Segment:

 

Our Product Solutions segment designs, engineers and manufactures two primary product categories, Auxiliary Products and Electrical Solutions, for the worldwide power generation and cogeneration, oil & gas process and industrial markets.  Our principal customers are utility-scale gas turbine, distributed power, switchgear and large drives OEMs, Owner/Operators (including Oil & Gas Midstream), Electric Utilities and EPC firms as well as providers and distributors of backup and distributed power. We also provide precision parts, replacement parts, filter elements and aftermarket retrofit equipment to both OEMs and end users. Our products are critical to the efficient operation of gas turbine power plants and steam turbine systems and are custom engineered to meet customer-specific requirements.

 

Gas Turbine Auxiliary Products. Our technical and engineering capabilities enable us to design and manufacture what we believe are among the broadest ranges of gas turbine power plant and other power-related equipment to meet each customer’s specific performance requirements. We provide the following comprehensive range of products critical to the operation of gas turbine power plants:

 

·                  Inlet Systems. Inlet systems are comprised of filter houses and air intake ducts that condition the air that enters the turbine and provide silencing for the noise emanating from the gas turbine.

 

·                  Exhaust Systems. Exhaust systems and diverter dampers direct the hot exhaust from the turbine to the atmosphere in the case of simple cycle operation or into a heat recovery steam generator when the power plant is operated as a combined cycle facility and provides silencing as well.

 

·                  Selective Catalytic Emission Reduction Systems. SCR systems are used in gas turbine facilities and are focused on removing oxides of nitrogen and carbon monoxide from exhaust gas.

 

·                  (PCH) Control Houses.  (PCH) control houses are comprised of fabricated metal buildings to house electrical power and control equipment, namely switchgear, motor control centers, variable frequency drives, utilities for the gas turbine Power Generation, Oil & Gas, Utility and Renewables market segments.

 

·                  Generator Enclosures and Sub-Base Tanks. Generator enclosures are sound attenuated, acoustical buildings fabricated from metal and sound dampening materials to meet site sound requirements.  The enclosures are used to house both prime and standby diesel/natural gas generators that range from 30KW — 4000KW in a wide range of environments from desert to arctic.  Offered are sub-base and stand-alone tanks meeting UL listings UL142, UL2085 and ULC-S 601.

 

The contracts under which we sell our products are generally fixed-price contracts, most of which are “lump sum bid” contracts. Under lump sum bid contracts, we bid against other contractors based on customer or project specifications. A significant portion of our Product Solutions segment project destinations are outside of the U.S.

 

Supply Chain Structure. We fabricate our equipment through a combination of in-house manufacturing at our own facilities in the U.S. and Mexico and outsourced manufacturing in other countries around the world. Our network of high-quality international manufacturing partners, located in more than 20 countries, allows us to manufacture equipment worldwide and maintain a competitive cost structure. Outsourcing the majority of our gas turbine auxiliary product manufacturing enables us to meet increasing demand without being restricted by internal manufacturing capacity limitations and also reduces our capital expenditure requirements. Our employees work closely with our international manufacturing partners to supervise the fabrication of our products at their facilities to ensure high levels of quality and workmanship. Our use of manufacturing facilities around the world, whether our own or those of our manufacturing partners, allows us to respond to the particular sourcing initiatives of our customers, whether those initiatives call for global sourcing or for localized supply content. While we generally have proven long-term relationships with our subcontractors, we also routinely search for additional fabricators to enhance our ability to manufacture equipment at the lowest cost while maintaining high-quality standards and on-time delivery.

 

We maintain exclusivity agreements with respect to power generation auxiliary products with key third-party fabricators for OEMs. We conduct regular quality audits of our fabricators and maintain staff onsite. Fabricators can take one to several years to qualify and meet international standards and it can take one to two years to bring a new fabricator online for OEM products. We work with our international manufacturing partners to maintain their OEM certification and approved vendor status.

 

Our Product Solutions segment customers are utility-scale gas turbine, distributed power, switchgear and large drives OEMs, Owner/Operators (including Oil & Gas Midstream), Electric Utilities and EPC firms as well as providers and distributors of backup and distributed power. The end users of most of our products sold to OEMs and EPC firms are owners and operators of gas turbine power plants, process plants, oil & gas pipelines, refineries, data centers and other industrial and commercial facilities such as wastewater treatment plants and hospitals. We focus our sales and marketing efforts on OEMs and EPC firms engaged by end users of our products, including the developers and operators of gas turbine power plants, oil & gas pipelines, industrial and commercial facilities and data centers. We also market our products globally through a sales network consisting of employees and independent representatives in various countries including China, the Netherlands, Egypt, Italy and the U.S. Our sales initiatives focus on highly engineered solutions, excellent performance on existing projects and on-time deliveries that we believe differentiate us from our competitors.

 

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We believe the design and engineering expertise of our Product Solutions segment along with our global manufacturing strategy makes us an industry leader in the products we manufacture. We provide original design, retrofit and upgrade engineering, installation technical services and after-sales maintenance and repair of our products.

 

Our products are custom-designed and engineered to meet the specifications of our customers. We employ a number of degreed engineers specializing in structural, electrical/controls, mechanical, and other technical areas. Our engineers and designers use engineering and drafting programs such as the AutoCAD® and Solidworks® programs and other analytics applications.

 

Nuclear Services and Energy Services Segments

 

Both our Nuclear Services and Energy Services segments provide a comprehensive range of modification, maintenance and construction support services.  The Nuclear Services segment supports nuclear power plants and the Energy Services segment supports a wide range of utilities and industrial customers, including fossil-fuel, industrial gas, liquefied natural gas, petrochemical and other industrial operations. We provide these services in a general contracting capacity where we manage multiple subcontractors in some cases and in other cases we are retained as a subcontractor on the project. Both our Nuclear and Energy Services segments primarily service U.S.-based plants and perform tasks designed to improve or sustain operating efficiencies; a portion of the Energy Services segment generates revenues from off-shore repairs of installed aluminum heat exchangers, primarily in the Middle East, Africa and Asia.

 

Services provided by the Nuclear and Energy Services segments are designed to improve or sustain operating efficiencies and extend the useful lives of process equipment in these facilities. These services are provided both on a constant presence basis and for discrete projects. Our offerings include the following specific services:

 

Nuclear Services Segment:

 

·                  Nuclear Power Plant Modification, Maintenance and Construction.  We perform a full range of critical services for the nuclear facility market, including capital project, facility upgrades, routine modification and maintenance work.

 

·                  Decontamination, Decommissioning and Demolition.  We are at the forefront of nuclear decontamination, decommissioning and demolition projects in the U. S., with experience performing major projects for both the commercial nuclear industry and the U. S. Department of Energy. Our Williams business utilizes proven methods to provide the safest, most cost-effective means to preserve and recover components and physical resources while minimizing personnel exposures.

 

Energy Services Segment:

 

·                  Fossil-fuel, Industrial Gas, Liquefied Natural Gas, and Petrochemical Operations Modification and Construction.  We provide routine maintenance, repair and capital project services designed to extend plant life cycles.

 

·                  Specialty Welding Services.  We provide the following specialty services to manufacturers and users of aluminum heat exchangers:

 

o                 Brazed Aluminum Heat Exchanger Repair, Maintenance, and Safety Services.  We routinely perform on-site repairs and associated mechanical and safety support services to users of aluminum heat exchangers used in air separation and gas or liquid processing applications.

 

o                 Fabrication.  We have the demonstrated capability to fabricate and assemble complete process systems into integrated solutions for the air and gas processing industries.

 

Common Services by Both our Nuclear Services and Energy Services Segments:

 

·                  Industrial Painting and Coatings.  We perform cleaning, surface preparation, coatings application, quality control and inspection testing, utilizing the Williams Insight® proprietary analysis systems to help our customers schedule and prioritize major coating projects.

 

·                  Insulation.  We provide a variety of industrial insulation services, primarily in process-piping installations. These services are commonly packaged with industrial coating projects.

 

·                  Asbestos and Lead Abatement.  We provide abatement services for the removal of asbestos and removal of heavy metal based coatings such as lead paint. We do not take ownership of hazardous materials and do not assume responsibility for the liability associated with the materials other than for our actions meeting applicable statutory and regulatory requirements.

 

·                  Roofing Systems.  We routinely replace, repair and upgrade industrial facility roofing systems, primarily within the highly corrosive environments of pulp and paper manufacturing facilities. Our suspended modular floor assembly allows our employees to safely work above operational equipment on roofing projects while completely containing all refuse materials.

 

·                  Valve Services.  We provide integrated valve and actuator services that include inspection, preventative maintenance and repair of various types of valves and actuators. We offer a full spectrum of valve services for diagnostic testing and analysis, project management, training and engineering.

 

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We provide these services throughout the U.S. with experienced, temporary craft labor directed and supervised by an experienced team of project managers across our network. Our flexible staffing and equipment model enables us to meet seasonal and outage demand without being restricted by internal capacity limitations, thus minimizing our fixed costs.

 

As of June 30, 2014, service contracts of our Nuclear Services segment consisted of approximately 96% on a cost-plus basis,  which provides for reimbursement of costs incurred plus an amount of profit in the form of a mark-up, and approximately 4% on a fixed-price basis. As of June 30, 2014, service contracts of the Energy Services segment consisted of approximately 69% on a cost-plus basis and approximately 31% on a fixed-price basis.

 

We bid against other contractors based on customer specifications. Fixed-price contracts present certain inherent risks, including the possibility of ambiguities in the specifications received, problems with new technologies and economic and other changes that may occur over the contract period. Alternatively, because of efficiencies that may be realized during the contract term, fixed-price contracts may offer greater profit potential than cost-plus contracts.

 

Our Energy Services segment and Nuclear Services segment customers include major private and government-owned utilities throughout the U.S., as well as leaders in the U.S. paper and industrial sectors.  We depend on a relatively small number of customers for a significant portion of our revenue.  For the six months ended June 30, 2014, Southern Nuclear Operating Company and Tennessee Valley Authority accounted for approximately 19% and 17%, respectively, of our consolidated revenue.  For a listing of our major customers, see Note 10—Major Customers and Concentration of Credit Risk included in our unaudited condensed consolidated financial statements.  We market our services using dedicated sales and marketing personnel as well as our experienced on-site operations personnel. We use our safety and service track record with long-term renewable contracts to expand our services and supplement the existing contracts with small to medium sized capital projects.  Both segments’ sales initiatives directly seek to apply operational strengths to specific facilities within the targeted industries and customers throughout the U.S.

 

Through our Energy Services segment programs, we provide extensive training, certifications and ongoing safety monitoring to all of our project-based employees.

 

For both the Energy Services segment and the Nuclear Services segment we have maintained a safety rating in the top quartile of the industry for over 12 years, benefitting both us and our customers. We also maintain a broad range of professional certifications and memberships in national organizations relevant to the performance of many of the specialized services we provide.

 

Backlog

 

Our backlog consists of firm orders or blanket authorizations from our customers. Backlog may vary significantly from reporting period to reporting period due to the timing of customer commitments. The time between receipt of an order and actual completion, or delivery, of our products varies from a few weeks, in the case of inventoried precision parts, to a year or more, in the case of custom designed gas turbine auxiliary products, SCR system and other major plant components. We add a booking to our backlog for Product Solutions segment orders when we receive a purchase order or other written contractual commitment from a customer. We reduce Product Solutions segment backlog as revenue is recognized, or upon cancellation. The maintenance services we provide through our Nuclear Services segment and Energy Services segment are typically carried out under long-term contracts spanning several years. Upon signing a multi-year maintenance contract with a customer for services, we add to our backlog only the first twelve months of work that we expect to perform under the contract. Additional work that is not identified under the original contract is added to our backlog when we reach an agreement with the customer as to the scope and pricing of that additional work. Capital project awards are typically defined in terms of scope and pricing at the time of contractual commitment from the customer. Upon receipt of a customer commitment, capital project bookings are added to our backlog at full contract value regardless of the time frame anticipated to complete the project. Maintenance services and capital project bookings are removed from our backlog as work is performed and revenue is recognized, or upon cancellation.

 

Backlog is not a measure defined by generally accepted accounting principles, and our methodology for determining backlog may vary from the methodology used by other companies in determining their backlog amounts. Backlog may not be indicative of future operating results and projects in our backlog may be cancelled, modified or otherwise altered by our customers.

 

The following table shows our backlog, by segment, as of the end of the last five quarters:

 

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June 30,

 

March 31,

 

December 31,

 

September 30,

 

June 30,

 

 

 

 

 

 

 

 

 

 

 

 

 

($ in thousands)

 

2014

 

2014

 

2013

 

2013

 

2013

 

Products Solutions

 

 $

164,963

 

 $

187,560

 

 $

176,621

 

 $

174,907

 

 $

145,307

 

Nuclear Services

 

217,911

 

174,503

 

196,674

 

215,389

 

243,331

 

Energy Services

 

51,768

 

20,890

 

17,028

 

18,105

 

20,226

 

 

 

 

 

 

 

 

 

 

 

 

 

Total

 

 $

434,642

 

 $

382,953

 

 $

390,323

 

 $

408,401

 

 $

408,864

 

 

Our Product Solutions segment backlog as of June 30, 2014 decreased compared to March 31, 2014 primarily due to a $20.2 million increase in revenue compared to prior quarter and timing differences related to additional bookings.  We expect an estimated $123.0 million or approximately 75% of our current backlog to convert to revenue in 2014.  Proposal activity is robust for the oil and gas segment, as well as the power generation segment; we expect a heavier mix from the oil and gas and power generation segments to ship in 2014 or later.  For the three months ended June 30, 2014 the backlog was $20.0 million higher than the same quarter last year.  Product Solutions segment has in excess of 100% more in backlog booked for 2015 compared to the amount in backlog booked for the same period last year.  The book-to-bill ratio was 0.6 and 0.9 for the three and six months ended June 30, 2014, respectively.

 

Backlog in our Nuclear Services segment as of June 30, 2014 increased compared to March 31, 2014 primarily due to successfully closing on a large fixed-price contract and inclusion of spring outage work for 2015.  We expect an estimated $104.5 million backlog as of June 30, 2014 to convert to revenue in 2014.  Backlog as of June 30, 2014 compared to June 30, 2013 decreased primarily due to non-recurring projects that were completed in the latter half of 2013 and included in backlog as of June 30, 2013.  The book-to-bill ratio for the three months and six months ended June 30, 2014 was 2.1 and 1.2, respectively.

 

Energy Services segment backlog as of June 30, 2014 increased substantially compared to March 31, 2014 primarily due to new project work awarded as the segment continues to expand the markets served, specifically the oil and gas mid-stream market. We expect an estimated $29.4 million backlog as of June 30, 2014 to convert to revenue in 2014.  Backlog as of June 30, 2014 compared to June 30, 2013 had more than doubled as the segment had been successful in winning contracts due to its focus on transforming from traditional services to value added integrated solutions in the mid-stream oil and gas and natural gas power generation industries.  The book-to-bill ratio for the three and six months ended June 30, 2014 was 3.1 and 2.3, respectively.

 

Results of Operations

 

Effective as of January 1, 2013, our Board of Directors decided to change from a traditional month-end calendar close cycle to a 4-4-5 calendar close methodology during interim periods. Our fiscal year will continue to end on December 31. Under this methodology, each interim period is comprised of 13 weeks, which includes two 4-week months and one 5-week month, and begins on Monday and ends on Sunday. The 4-4-5 close methodology will change the accounting periods to month-end dates that may be different than the traditional last day of the standard month end. We will label our quarterly information using a calendar convention, that is, first quarter will be labeled as ending on March 31, second quarter as ending on June 30, and third quarter as ending on September 30. This change in methodology aligns our financial calendar to our payroll cycle simplifying our close process. The effects of this practice are modest and only exist within a reporting year. The reporting periods and applicable reports for 2014 are:

 

Fiscal Period

 

Reporting Period

 

Report to be Filed

First quarter of fiscal 2014

 

January 1, 2014 to March 30, 2014

 

Quarterly Report on Form 10-Q

Second quarter of fiscal 2014

 

March 31, 2014 to June 29, 2014

 

Quarterly Report on Form 10-Q

Third quarter of fiscal 2014

 

June 30, 2014 to September 28, 2014

 

Quarterly Report on Form 10-Q

Fourth quarter of fiscal 2014

 

September 29, 2014 to December 31, 2014

 

Annual Report on Form 10-K

 

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Our summary financial results during the three and six months ended June 30, 2014 and 2013 were as follows:

 

 

 

 

 

Three Months Ended

 

 

 

 

 

Six Months Ended

 

 

 

 

 

 

June 30,

 

Variance

 

June 30,

 

Variance

($ in thousands)

 

2014

 

2013

 

$

 

%

 

2014

 

2013

 

$

 

%

Revenue

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Product Solutions

 

$

59,171

 

$

35,930

 

23,241

 

64.7

 

$

98,102

 

$

74,824

 

23,278

 

31.1

Nuclear Services

 

41,430

 

66,435

 

(25,005)

 

(37.6)

 

98,492

 

131,448

 

(32,956)

 

(25.1)

Energy Services

 

14,138

 

13,600

 

538

 

4.0

 

23,027

 

26,403

 

(3,376)

 

(12.8)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Consolidated

 

114,739

 

115,965

 

(1,226)

 

(1.1)

 

219,621

 

232,675

 

(13,054)

 

(5.6)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Cost of Sales

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Product Solutions

 

47,588

 

27,368

 

20,220

 

73.9

 

76,648

 

60,305

 

16,343

 

27.1

Nuclear Services

 

35,686

 

58,070

 

(22,384)

 

(38.5)

 

85,727

 

114,597

 

(28,870)

 

(25.2)

Energy Services

 

11,203

 

11,724

 

(521)

 

(4.4)

 

18,506

 

23,004

 

(4,498)

 

(19.6)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Consolidated

 

94,477

 

97,162

 

(2,685)

 

(2.8)

 

180,881

 

197,906

 

(17,025)

 

(8.6)

Gross profit

 

20,262

 

18,803

 

1,459

 

7.8

 

38,740

 

34,769

 

3,971

 

11.4

Gross profit percentage

 

17.7%

 

16.2%

 

 

 

 

 

17.6%

 

14.9%

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Selling and marketing expenses

 

2,474

 

2,462

 

12

 

0.5

 

4,297

 

4,685

 

(388)

 

(8.3)

General and administrative expenses

 

14,179

 

12,812

 

1,367

 

10.7

 

27,933

 

27,366

 

567

 

2.1

Depreciation and amortization expense

 

2,141

 

1,559

 

582

 

37.3

 

4,455

 

2,632

 

1,823

 

69.3

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Operating income (loss)

 

1,468

 

1,970

 

(502)

 

(25.5)

 

2,055

 

86

 

1,969

 

2,289.5

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Interest expense, net

 

340

 

190

 

150

 

78.9

 

753

 

276

 

477

 

172.8

Other expense (income), net

 

(94)

 

154

 

(248)

 

(161.0)

 

176

 

4

 

172

 

4,300.0

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Income (loss) from continuing operations before income tax

 

1,222

 

1,626

 

(404)

 

(24.8)

 

1,126

 

(194)

 

1,320

 

(680.4)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Income tax (benefit) expense

 

358

 

884

 

(526)

 

(59.5)

 

334

 

265

 

69

 

26.0

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Income (loss) from continuing operations

 

864

 

742

 

122

 

16.4

 

792

 

(459)

 

1,251

 

(272.5)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Discontinued operations:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Loss from discontinued operations

 

(90)

 

(1)

 

(89)

 

8,900.0

 

(97)

 

(41)

 

(56)

 

136.6

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net income (loss)

 

$

774

 

$

741

 

33

 

4.5

 

$

695

 

$

(500)

 

1,195

 

(239.0)

 

Three and six months ended June 30, 2014 compared to three and six months ended June 30, 2013:

 

Revenue

 

 

 

Three Months Ended June 30,

 

Variance

 

Six Months Ended June 30,

 

Variance

($ in thousands)

 

2014

 

2013

 

$

 

%

 

2014

 

2013

 

$

 

%

Product Solutions

 

$

59,171

 

$

35,930

 

23,241

 

64.7

 

$

98,102

 

$

74,824

 

23,278

 

31.1

Nuclear Services

 

41,430

 

66,435

 

(25,005)

 

(37.6)

 

98,492

 

131,448

 

(32,956)

 

(25.1)

Energy Services

 

14,138

 

13,600

 

538

 

4.0

 

23,027

 

26,403

 

(3,376)

 

(12.8)

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total

 

$

114,739

 

$

115,965

 

(1,226)

 

(1.1)

 

$

219,621

 

$

232,675

 

(13,054)

 

(5.6)

 

 

Product Solutions Segment Revenue. The composition of our Product Solutions segment revenue varies from period to period based on our product mix, the strength of various geographic markets we serve and our ability to address those markets. The geographic dispersion of where products were shipped during the three and six months ended June 30, 2014 and 2013 was as follows:

 

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Revenue by Destination Shipped

 

Product Solutions Segment:

 

 

 

Three Months Ended June 30,

 

Variance

 

Six Months Ended June 30,

 

Variance

($ in thousands)

 

2014

 

2013

 

$

 

%

 

2014

 

2013

 

$

 

%

United States

 

$

29,624

 

$

14,560

 

 

15,064

 

103.5

 

$

53,850

 

$

35,049

 

 

18,801

 

53.6

Canada

 

284

 

79

 

205

 

259.5

 

907

 

230

 

677

 

294.3

Europe

 

1,280

 

2,280

 

(1,000)

 

(43.9)

 

3,924

 

3,238

 

686

 

21.2

Mexico

 

592

 

37

 

555

 

1,500.0

 

592

 

316

 

276

 

87.3

Asia

 

3,062

 

1,315

 

1,747

 

132.9

 

7,255

 

5,444

 

1,811

 

33.3

Middle East

 

14,021

 

14,615

 

(594)

 

(4.1)

 

14,387

 

23,680

 

(9,293)

 

(39.2)

South America

 

1,319

 

1,325

 

(6)

 

(0.5)

 

4,039

 

4,993

 

(954)

 

(19.1)

Other

 

8,989

 

1,719

 

7,270

 

422.9

 

13,148

 

1,874

 

11,274

 

601.6

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total

 

$

59,171

 

$

35,930

 

 

23,241

 

64.7

 

$

98,102

 

$

74,824

 

 

23,278

 

31.1

 

 

 

Revenue for the three months ended June 30, 2014 was $23.2 million higher than the same period last year.  Approximately $10.0 million of the increase in revenue was related to acquisition and the remaining increase was a result of heavy proposal activity resulting in expected higher annual revenue to be recognized in 2014.  Year-to-date revenue as of June 30, 2014 was approximately 31% higher than the same period in 2013 due to 91% of the increase or $19.0 million being attributable to incremental revenue from prior year acquisition along with expected higher revenue in 2014, these increases were partially offset by projects that were complete but postponed to subsequent quarters by the customer prior to delivery.

 

Nuclear Services Segment Revenue.  The decrease in Nuclear Services segment revenue for the three and six months ended June 30, 2014 was primarily due to an approximate $30.4 million and $36.4 million reduction in scope of outage work from major customers, respectively.  A large portion of this relates to non-annual outage performed in the prior year by a major customer.  The decrease was partially offset by new project work completed during the period.  All revenue from this segment is U.S. based.

 

Energy Services Segment Revenue.

 

The Energy Services segment revenue increased for the three months ended June 30, 2014 in comparison to the same period in the prior year primarily due to one month incremental revenues from the Hetsco acquisition in the prior year and new project wins partially offset by a large non-recurring project in the same period in the prior year.  The decrease in Energy Services segment revenue for the six months ended June 30, 2014 was primarily due to the large non-recurring project worth approximately $12 million generated in the same period in the prior year.  The decrease was partially offset by incremental revenues generated from the Hetsco acquisition and new project work.

 

Gross Profit / Margin %

 

 

 

Three Months Ended June 30,

 

Variance

 

Six Months Ended June 30,

 

Variance

($ in thousands)

 

2014

 

2013

 

$

 

%

 

2014

 

2013

 

$

 

%

Product Solutions

 

$

11,583

 

$

8,562

 

3,021

 

35.3

 

$

21,454

 

$

14,519

 

6,935

 

47.8

Gross Margin %

 

19.6%

 

23.8%

 

 

 

 

 

21.9%

 

19.4%

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Nuclear Services

 

$

5,744

 

$

8,365

 

(2,621)

 

(31.3)

 

$

12,765

 

$

16,851

 

(4,086)

 

(24.2)

Gross Margin %

 

13.9%

 

12.6%

 

 

 

 

 

13.0%

 

12.8%

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Energy Services

 

$

2,935

 

$

1,876

 

1,059

 

56.4

 

$

4,521

 

$

3,399

 

1,122

 

33.0

Gross Margin %

 

20.8%

 

13.8%

 

 

 

 

 

19.6%

 

12.9%

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total Gross Profit

 

$

20,262

 

$

18,803

 

1,459

 

7.8

 

$

38,740

 

$

34,769

 

3,971

 

11.4

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Gross Margin %

 

17.7%

 

16.2%

 

 

 

 

 

17.6%

 

14.9%

 

 

 

 

 

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Product Solutions Segment.   The gross margin % in the Product Solutions segment for the three months ended June 30, 2014 decreased by a total of 420 basis points.  A decrease of 60 basis points was due to the Euro to Dollar exchange rate on the Alghanim Project in Europe, by 70 basis points due to a reduction in service revenue of $0.7 million at 44% gross margin in Europe, by 90 basis points due to $0.5 million in credits issued by vendors and recorded against cost of sales in the second quarter 2013 for Europe and 160 basis points due to a $0.9 million reclassification from Energy Services segment for an intercompany transaction in the first quarter period causing an increase in cost of sales.  The remaining difference is attributable to product mix.  The gross profit in the Product Solutions segment increased 250 basis points for the first six months of 2014 over the same period last year due primarily to product mix in the first quarter.  Sales of exhaust systems, which are consistently produced at higher gross margin percentages than filter houses were unusually high compared to sales of filter houses.

 

Nuclear Services Segment.   The change in the Nuclear Services segment gross profit was favorable for both the three and six months ended June 30, 2014 in comparison to same periods in the prior year primarily due to the higher margins on fixed price capital projects as the segment continues to lead successfully with its strong project management services.

 

Energy Services Segment.   The Energy Services segment gross profit includes a reclassification of a $0.9 million intercompany elimination in the first quarter that increased the gross profit for the three months ended June 30, 2014.  Normalized for this adjustment, gross margin was 14.2% for the three months ended June 30, 2014.  The quarter includes one month of incremental sales and gross profit from the Hetsco acquisition which was partially offset by an estimated loss of approximately $1.1 million booked on a fixed priced contract due to scheduling and scope issues.  This loss was isolated to one contract.  For the six months ended June 30, 2014, gross profit increased due to incremental sales from the Hetsco acquisition and gross margin rates improved from the same period in the prior year as Hetsco generates higher margin revenues due to its specialized repairs and safety work.  The increase was partially offset by the estimated contract loss described previously.  The Energy Services segment has significantly grown its backlog over the last few months through expanding the markets it serves.  It is anticipated that growth in revenues in future months will offset losses.

 

Operating Expenses

 

 

 

Three Months Ended June 30,

 

Variance

 

Six Months Ended June 30,

 

Variance

($ in thousands)

 

2014

 

2013

 

$

 

%

 

2014

 

2013

 

$

 

%

Selling and Marketing Expenses

 

$

2,474

 

$

2,462

 

 

12

 

0.5

 

$

4,297

 

$

4,685

 

 

(388)

 

(8.3)

General and Administrative Expenses

 

14,179

 

12,812

 

1,367

 

10.7

 

27,933

 

27,366

 

567

 

2.1

Depreciation and Amortization Expenses

 

2,141

 

1,559

 

582

 

37.3

 

4,455

 

2,632

 

1,823

 

69.3

Total

 

$

18,794

 

$

16,833

 

 

1,961

 

11.6

 

$

36,685

 

$

34,683

 

 

2,002

 

5.8

 

 

 

Selling and Marketing Expenses.  Consolidated selling and marketing expenses include the costs associated with selling and marketing our products and services. Major components of these costs are personnel, sales commissions, sales promotion, advertising, literature, bidding, estimating and trade shows.

 

General and Administrative Expenses.  Consolidated general and administrative expenses include the costs associated with conducting our business, including general management, compensation and benefits of employees that are not direct costs of active projects, officers and directors, legal and professional fees and other general expenses.  Consolidated general and administrative expenses for both the three and six months ended June 30, 2014 have increased compared to the prior year due to the creation of a new Logistics department, timing of promotional expenses and the use of consultants and temporary staff in the Executive, Information Technology and Finance/Accounting departments in lieu of employees due to vacancies and special initiatives.

 

Depreciation and Amortization Expenses.  Depreciation and amortization expense consists primarily of depreciation of fixed assets and amortization of definite-lived intangible assets and excludes amounts included in cost of revenue.  Depreciation and amortization expense has increased primarily due to the April, 2013 purchase of Hetsco.

 

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Table of Contents

 

Operating Profit (Loss)

 

 

 

Three Months Ended June 30,

 

Variance

 

Six Months Ended June 30,

 

Variance

($ in thousands)

 

2014

 

2013

 

$

 

%

 

2014

 

2013

 

$

 

%

Product Solutions

 

$

1,799

 

$

1,125

 

674

 

59.9

 

$

2,782

 

$

(2,269)

 

5,051

 

(222.6)

Operating Margin %

 

3.0%

 

3.1%

 

 

 

 

 

2.8%

 

-3.0%

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Nuclear Services

 

$

343

 

$

2,786

 

(2,443)

 

(87.7)

 

$

1,738

 

$

4,061

 

(2,323)

 

(57.2)

Operating Margin %

 

0.8%

 

4.2%

 

 

 

 

 

1.8%

 

3.1%

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Energy Services

 

$

(674)

 

$

(1,941)

 

1,267

 

(65.3)

 

$

(2,465)

 

$

(1,706)

 

(759)

 

44.5

Operating Margin %

 

-4.8%

 

-14.3%

 

 

 

 

 

-10.7%

 

-6.5%

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total Operating Income

 

$

1,468

 

$

1,970

 

(502)

 

(25.5)

 

$

2,055

 

$

86

 

1,969

 

2,289.5

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Operating Margin %

 

1.3%

 

1.7%

 

 

 

 

 

0.9%

 

0.0%

 

 

 

 

 

 

Product Solutions Segment The operating profit for the three months ended June 30, 2014 and 2013 increased by $0.7 million.  Higher revenues and positive gross margin of $3.0 million was primarily offset by the 4.2% decrease in the Euro to Dollar exchange rate due to the unfavorable Euro to Dollar exchange rate on the Alghanim Project in Europe, a $0.9 million reclassification for an intercompany transaction from Energy Services caused a decrease in operating profit for the quarter and an increase in the selling, general and administrative expenses as a result of the IBI acquisition.  The operating income in the Product Solutions segment increased $5.1 million for the six months ended June 30, 2014 compared to the same period last year primarily due to higher revenues and associated gross margin and acquisition cost incurred relating to the 2013 Acquisition.

 

Nuclear Services Segment.  Operating income for this segment decreased in the three and six months ended June 30, 2014 primarily due to lower revenues partially offset by improved gross margin rates and lower operating expenses.

 

Energy Services Segment.  Operating loss in the three months ended June 30, 2014 decreased from same period in the prior year primarily due to the intercompany adjustment of $0.9 million to cost of sales with Product Solutions segment.  Normalized for this, operation loss improved from same period in the prior year by $0.3 million.  This change primarily due to integration costs incurred in the prior year for the Hetsco acquisition.  For the six months ended June 30, 2014, operating loss was higher in comparison to the prior year due to higher amortization expense of intangibles related to the Hetsco acquisition and higher salaries and wages as the segment restructured earlier in the period to prepare to execute the increased backlog.  The increased operating expenses were partially offset by a higher gross profit during the six months ended June 30, 2014 in comparison to the same period last year.

 

 

 

Interest Expense, net

 

 

 

Three Months Ended June 30,

 

Variance

 

Six Months Ended June 30,

 

Variance

($ in thousands)

 

2014

 

2013

 

$

 

%

 

2014

 

2013

 

$

 

%

Interest expense, net

 

$

340

 

$

190

 

150

 

78.9

 

$

753

 

$

276

 

477

 

172.8

 

 

 

Interest expense, net consists of interest on outstanding letters of credit, interest on our unused commitment and amortization of debt issuance costs offset by interest income earned on cash balances.  Interest expense, net increased for the three and six months ended June 30, 2014 compared to the corresponding periods in 2013 primarily due to increased outstanding debt during those periods.

 

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Other Expense (Income), net

 

 

 

Three Months Ended June 30,

 

Variance

 

Six Months Ended June 30,

 

Variance

($ in thousands)

 

2014

 

2013

 

$

 

%

 

2014

 

2013

 

$

 

%

Other (income) expense, net

 

$

(94)

 

$

154

 

(248)

 

(161.0)

 

$

176

 

$

4

 

172

 

4,300.0

 

The increase and decrease in other income, net for the three and six months ended June 30, 2014, respectively compared to the corresponding periods in 2013 was primarily due to foreign currency fluctuations.

 

 

Income Tax Benefit

 

 

 

 

Three Months Ended June 30,

 

Variance

 

Six Months Ended June 30,

 

Variance

($ in thousands)

 

2014

 

2013

 

$

 

%

 

2014

 

2013

 

$

 

%

Income tax benefit

 

$

358

 

$

884

 

(526)

 

(59.5)

 

$

334

 

$

265

 

69

 

26.0

 

 

Income tax benefit for the interim periods is based on estimates of the effective tax rate during the entire fiscal year.  The effective income tax rate is based upon the estimated income during the calendar year, the estimated composition of the income in different jurisdictions and discrete adjustments, if any, in the applicable quarterly periods for settlements of tax audits or assessments and the resolution or identification of tax position uncertainties.

 

During the three months ended June 30, 2014, we recorded income tax expense of $0.4 million, or 29.3% of pretax income, compared to $0.9 million of income tax expenses, or 54.4% of pretax income, in the same period for 2013.  The decrease in our effective tax rate was primarily due to $0.3 million of permanent, discrete non-deductible acquisition expenses during the second quarter in 2013, and increases in tax credit carry forwards and state tax benefits generated during the same quarter in 2014.   The effective tax rate in 2013 differs from the statutory rate due to U.S. state income taxes and, non-deductible expenses, including non-deductible acquisition expenses and changes in uncertain tax benefit positions.

 

During the six months ended June 30, 2014, we recorded income tax expense of $0.3 million, or 29.7% of pretax income, compared to $0.3 million of income tax expenses, or -136.6% of pretax income, in the same period for 2013.  The increase in our effective tax rate was primarily due to the tax effect of the pre-tax income during the six months ended June 30, 2014 compared to the tax effect of the pre-tax loss during the six months ended June 30, 2013.  The effective tax rate in 2013 differs from the statutory rate due to U.S. state income taxes and, non-deductible expenses, including non-deductible acquisition expenses and changes in uncertain tax benefit positions.

 

 

As of June 30, 2014, we would need to generate approximately $85.8 million of future financial taxable income to realize our deferred tax assets.

 

Loss from Discontinued Operations, Net of Tax

 

 

 

Three Months Ended June 30,

 

Variance

 

Six Months Ended June 30,

 

Variance

($ in thousands)

 

2014

 

2013

 

$

 

%

 

2014

 

2013

 

$

 

%

Loss from discontinued operations, net of tax

 

$

(90)

 

$

(1)

 

(89)

 

8,900.0

 

$

(97)

 

$

(41)

 

(56)

 

136.6

 

 

Loss from discontinued operations, net of tax during the three and six months ended June 30, 2014 and 2013 were fully comprised of the Deltak business unit, divested on August 31, 2011 and consists of costs incurred on the wind-down of in-process contracts and legal and professional fee expenses.

 

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Table of Contents

 

Liquidity and Capital Resources

 

Cash and Cash Equivalents

 

As of June 30, 2014, our operating unrestricted cash and cash equivalents increased by 12.2%, or $1.7 million, to $15.6 million from $13.9 million as of December 31, 2013.  The operating cash balance of $15.6 million as of June 30, 2014 consisted of $5.5 million U.S. cash and $10.1 million of non-U.S. cash; in general, these funds are not available to fund U.S. operations.  Our principal use of cash is to pay for our strategic acquisitions, customer contract related material, labor and subcontract labor, operating expenses, capital assets, and payment of quarterly cash dividends. We fund our business objectives, operations, and expansion of our operations through net cash flows from operations and draws against our Revolving Credit Facility. At June 30, 2014, we had $15.6 million in cash and cash equivalents and $107.2 million available under our Revolving Credit Facility that can be used, along with normal cash flows from operations, to fund any unanticipated shortfalls in future cash flows.

 

Restricted Cash

 

The restricted cash balances as of June 30, 2014 and December 31, 2013 of $0.1 million and $0.1 million, respectively, relate to the sale of Deltak in accordance with the Deltak sale agreement.  The related escrow was a funding mechanism for settlement of warranty claims and other possible contractual claims. On February 4, 2014, a portion of the amount of the purchase price held in escrow related to the sale of the assets of Deltak was released to Global Power.  See Note 7—Commitments and Contingencies to these unaudited condensed consolidated financial statements for more information regarding the claims.

 

Revolving Credit Facility

 

Effective December 17, 2013, we exercised our rights under the accordion feature pursuant to, and in accordance with the terms of the Revolving Credit Facility and increased the revolving credit commitments available to us under the Revolving Credit Facility from $100.0 million to $150.0 million, subject to certain customary conditions set forth in the Revolving Credit Facility.  All other terms of the Revolving Credit Facility remain unchanged.

 

As of June 30, 2014, we had $31.0 million outstanding under our Revolving Credit Facility which was recorded as a long-term liability on our consolidated balance sheet as of June 30, 2014.  We were in compliance with all financial and other covenants under the Revolving Credit Facility.  During the six months ended June 30, 2014, we borrowed $30.0 million on our Revolving Credit and we repaid $22.0 million.  The weighted average interest rate on borrowings was 1.49%.

 

The Revolving Credit Facility, while structured to support strategic growth initiatives and provide flexibility regarding return on capital alternatives, includes affirmative and negative covenants, including customary limitations on securing additional debt and liens and restrictions on transactions and payments as well as the following two financial covenants:

 

·                    Our maximum consolidated leverage ratio cannot exceed specified limits. For these purposes, our consolidated leverage ratio on any date is the ratio of our consolidated funded indebtedness to our consolidated EBITDA for the four most recent quarters. We define EBITDA as net income (loss) plus interest expense, net of interest income, income taxes, stock-based compensation, and depreciation and amortization.

 

·                    Our consolidated interest coverage ratio must be maintained at least at specified minimum levels. For these purposes, our consolidated interest coverage ratio is the ratio of (a) our consolidated EBITDA for the four most recent quarters to (b) our cash from consolidated interest expense (consisting of all Global Power interest) for that period.

 

We will be in default under the Revolving Credit Facility if we:

 

·                    fail to comply with any of these financial covenants;

 

·                    fail to comply with certain other customary affirmative or negative covenants;

 

·                    fail to make payments when due;

 

·                    experience a change of control; or

 

·                    become subject to insolvency proceedings.

 

For these purposes, a change of control will occur if any one person or group obtains control of more than 25% ownership, unless they were an investor on February 21, 2012 in which case the ownership percentage would need to be more than 40% for a change of control to occur, or if continuing directors cease to constitute at least a majority of the members of our Board of Directors.

 

If we default, the participating banks may restrict our ability to borrow additional funds under the Revolving Credit Facility, require that we immediately repay all outstanding loans with interest and require the cash collateralization of outstanding letter of credit obligations. We have given a first priority lien on substantially all of our assets as security for the Revolving Credit Facility.

 

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Table of Contents

 

As of June 30, 2014, a maximum of $107.2 million was available under our Revolving Credit Facility.  Our ability to borrow this maximum amount is governed by a number of provisions of our Revolving Credit Facility, some of which have the effect of limiting the amount that we can borrow based upon such factors as the Company’s compliance with certain leverage ratios and other financial covenants, or the use of the proceeds of the relevant drawdown, in each case, as of a particular date or time period.  These provisions in our Revolving Credit Facility mean that we may not be permitted to borrow the full $150.0 million of our Revolving Credit Facility and the amount we are permitted to borrow under our Revolving Credit Facility will likely result in our borrowing capacity under our Revolving Credit Facility being materially less than the difference between our actual borrowings and $150.0 million for the foreseeable future.  We pay an unused line fee of 0.20% pursuant to the terms of our Revolving Credit Facility.

 

Letters of Credit and Bonds.  In line with industry practice, we are often required to provide letters of credit, surety and performance bonds to customers.  These letters of credit and bonds provide credit support and security for the customer if we fail to perform our obligations under the applicable contract with such customer.  The interest rate on letters of credit issued under the Revolving Credit Facility letter of credit was 1.25% per annum as of June 30, 2014.  Should we need to borrow additional amounts against the Revolving Credit Facility, we would incur an interest rate of LIBOR or a specified base rate, plus in each case, an additional margin based on our consolidated leverage ratio.  The Revolving Credit Facility includes additional margin ranges on base rate loans between 0.25% and 1.25% and between 1.25% and 2.25% on LIBOR-based loans.

 

As of June 30, 2014, our outstanding stand-by letters of credit totaled approximately $11.8 million for our U.S. entities and $11.1 million (U.S. dollars) for non-U.S. entities.  Currently there are no amounts called upon these letters of credit.  In addition, as of June 30, 2014, we had outstanding surety bonds on projects of approximately $24.7 million.

 

We may review from time to time possible expansion and acquisition opportunities relating to our business.  The timing, size or success of any acquisition effort and the associated potential capital commitments are unpredictable.  We may seek to fund all or part of any such efforts with proceeds from debt and/or equity issuances.  Debt or equity financing may not, however, be available to us at that time due to a variety of events, including, among others, credit rating agency downgrades of our debt, industry conditions, general economic conditions, market conditions and market perceptions of us and our industry.

 

Working Capital

 

Working capital represents total current assets less total current liabilities. At June 30, 2014, our working capital increased by $9.4 million, or 8.70%, to $117.8 million from $108.4 million at December 31, 2013. Working capital has increased, primarily cost in excess of billings, to support backlog that is currently scheduled to ship in the second half of 2014.

 

Net Cash Flows

 

Discontinued Operations

 

Cash flows provided by operating activities included operating cash flows from discontinued operations of less than $0.1 million during each of the six months ended June 30, 2014 and 2013.

 

Our net consolidated cash flows consisted of the following, for the six months ended June 30:

 

 

 

Six Months Ended June 30,

 

 

2014

 

2013

Statement of cash flow data:

 

 

 

 

Cash flows provided by (used in):

 

 

 

 

Operating activities

 

$

(1,117)

 

$

28,272 

Investing activities

 

(1,187)

 

(35,393)

Financing activities

 

4,355 

 

15,328 

Effect of exchange rate changes on cash

 

(434)

 

(31)

 

 

 

 

 

Change in cash and cash equivalents

 

$

1,617 

 

$

8,176 

 

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Table of Contents

 

Our operating, investing, financing activities and effect of exchange rate changes are described in more detail below.

 

Operating Activities

 

For the six months ended June 30, 2014 and 2013, net earnings adjusted for noncash activities used cash of $1.1 million and provided cash of $28.3 million, respectively.  See Note 9—Other Supplemental Information included in our unaudited condensed consolidated financial statements for more information regarding the net effect of changes in operating activities.

 

We expect that our net operating cash flows in 2014 and our Revolving Credit Facility will be sufficient to fund our current operations. There can be no assurance, however, that we will continue to generate cash flows at or above current levels.  Certain events, such as the uncertainty of the worldwide economic environment, could impact our available cash or our ability to generate cash flows from operations.

 

Investing Activities

 

During the six months ended June 30, 2014 and 2013, we used $1.2 million and $2.5 million, respectively, to purchase capital assets.  In addition, a use of cash of $33.0 million paid for the Hetsco Acquisition occurred during the six months ended June 30, 2013.

 

Financing Activities

 

During the six months ended June 30, 2014, we used cash to pay dividends of $3.1 million and $0.6 million to repurchase stock-based awards for payment of statutory taxes due on stock-based compensation.   Additionally, we borrowed $30.0 million and repaid $22.0 million under our Revolving Credit Facility.

 

During the six months ended June 30, 2013, cash flow provided primarily consisted of $20.0 million of net cash proceeds from borrowing on our Revolving Credit Facility offset by cash used to pay dividends of $3.1 million and $1.5 million to repurchase stock-based awards for payment of statutory taxes due on stock-based compensation.

 

Effect of Exchange Rate Changes on Cash

 

For the six months ended June 30, 2014 and 2013, the effect of exchange rate changes decreased cash by $0.4 million and less than $0.1 million, respectively, primarily resulting from the strengthening of the Euro against the U.S. Dollar.

 

Dividend and Stock Repurchases

 

In May 2012, our Board of Directors approved a dividend policy related to our common stock.   On May 1, 2014 the Board declared dividends of $0.09 per share for shareholders of record as of the close of business June 13, 2014.  The Company paid $1.5 million for this dividend on June 27, 2014.  On March 7, 2014 the Board declared dividends of $0.09 per share for shareholders of record as of the close of business March 18, 2014.  The Company paid $1.5 million of dividends on March 28, 2014.

 

Additionally, in May 2012, our Board of Directors authorized a program to repurchase up to two million shares of our common stock until the earlier of June 30, 2014 or a determination by the Board of Directors to discontinue the repurchase program. The repurchase program does not obligate us to acquire any specific number of shares. There were no repurchases during the three and six months ending June 30, 2014.   As of June 30, 2014, there were 1,578,269 shares remaining for repurchase under the current authorization.  As of the date of this report, the Board of Directors has not extended this program.

 

Off-Balance Sheet Transactions

 

Our liquidity is currently not dependent on the use of off-balance sheet transactions but, in line with industry practice, we are often required to provide performance and surety bonds to customers and may be required to provide letters of credit. If performance assurances are extended to customers, generally our maximum potential exposure is limited in the contract with our customers. We frequently obtain similar performance assurances from third party vendors and subcontractors for work performed in the ordinary course of contract execution. However, the total costs of a project could exceed our original cost estimates, and we could experience reduced gross profit or possibly a loss for a given project. In some cases, if we fail to meet certain performance standards, we may be subject to contractual liquidated damages.

 

As of June 30, 2014, we had a contingent liability for issued and outstanding stand-by letters of credit, generally issued to secure performance on customer contracts. As of June 30, 2014, our outstanding stand-by letters of credit totaled approximately $11.8 million for our U.S. entities and $11.1 million (U.S. dollars) for non-U.S. entities.  Currently there are no amounts drawn upon these letters of credit.  In addition, as of June 30, 2014, we had outstanding surety bonds on projects of approximately $24.7 million.  Our subsidiaries provide financial guarantees for certain contractual obligations in the ordinary course of business. As of June 30, 2014, the balance of these financial guarantees was no greater than $27.9 million.

 

Critical Accounting Policies and Estimates

 

The preparation of our consolidated financial statements and related notes requires us to make judgments, estimates and assumptions that affect the reported amounts of assets, liabilities, revenue and expenses, and related disclosure of contingent assets and liabilities. We have based our estimates on historical experience and on various other assumptions that we believe to be reasonable under the circumstances, the results of which form the basis for making judgments about the carrying values of assets and liabilities that are not readily apparent from other sources. Actual results may differ materially from these estimates under different assumptions and conditions.

 

An accounting policy is considered to be critical if it requires an accounting estimate to be made based on assumptions about matters that are highly uncertain at the time the estimate is made, and if different estimates that reasonably could have been used, or changes in the accounting estimates that are reasonably likely to occur periodically, could materially impact the consolidated financial statements. Part II Item 7 of our Annual Report on Form 10-K, filed with the SEC on May 2, 2014, addressed the accounting policies and related estimates that we believed were the most critical to understanding our consolidated financial statements, financial condition and results of operations and those that require management judgment and assumptions, or involve uncertainties.  We did not have a significant change to the application of our critical accounting policies and estimates during the first six months 2014.

 

35



Table of Contents

 

Item 3.                          Quantitative and Qualitative Disclosures About Market Risk.

 

We may be exposed to market risk through changes in interest rates and foreign currency exchange fluctuations. We have established policies to monitor and control these market risks.

 

Foreign Exchange Rate Risk. We operate in a number of international areas and are involved in transactions denominated in currencies other than the U.S. dollar, which exposes us to foreign currency exchange rate risk. We have from time-to-time used derivative instruments to hedge our foreign currency transactions. We did not enter into any such instruments as of or during the three or six months ended June 30, 2014. We do not hold or issue foreign currency forward contracts, option contracts or other derivative financial instruments for speculative purposes.

 

Interest Rate Risk. Our primary market risk exposure is volatility of interest rates, primarily in the U.S. We are subject to interest rate changes on our LIBOR-based variable interest rate under our Revolving Credit Facility. As of June 30, 2014, we had $31.0 million outstanding on our Revolving Credit Facility. During the six months ended June 30, 2014, we borrowed $30.0 million and repaid $22.0 million on our Revolving Credit Facility.

 

Interest Rate Sensitivity. Based on the level of borrowings outstanding as of June 30, 2014, a 50 basis point fluctuation in short-term interest rates would have a $0.2 million impact on our expected pre-tax income on an annual basis.

 

Item 4.                          Controls and Procedures.

 

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

 

We carried out an evaluation, under the supervision and with the participation of our management, including our Chief Executive Officer and our Chief Financial Officer, of the effectiveness of the design and operation of our disclosure controls and procedures as of June 30, 2014.  Based on this evaluation, our Chief Executive Officer and Chief Financial Officer concluded that our disclosure controls and procedures were effective as of the end of the period covered by this report.

 

Changes in Internal Controls over Financial Reporting

 

There was no change in our internal control over financial reporting during the most recent fiscal quarter that has materially affected, or is reasonably likely to materially affect, our internal control over financial reporting.

 

36



Table of Contents

 

Part II—OTHER INFORMATION

 

Item 1.                          Legal Proceedings.

 

The information included in Note 7—Commitments and Contingencies to the unaudited Condensed Consolidated Financial Statements in this Form 10-Q is incorporated by reference into this Item.

 

Item 1A.                 Risk Factors.

 

There were no material changes to our risk factors from those reported in our Annual Report on Form 10-K as filed with the SEC on March 17, 2014.

 

Item 2.                          Unregistered Sales of Equity Securities and Use of Proceeds.

 

Unregistered Sales of Equity Securities

 

There have been no unregistered sales of equity securities during the period covered by this Form 10-Q.

 

Issuer Purchases of Equity Securities

 

The following table presents information regarding our repurchases of shares of our common stock or (adjustment to estimated shares withheld to pay income tax) on a monthly basis during the second quarter of 2014.

 

Period

 

Total Number of
Shares
Purchased
(1)

 

Average Price
Paid Per Share

 

Total Number of Shares
Purchased as Part of a
Publicly Announced
Plan 
(2)

 

Maximum Number of
Shares That May Yet
Be Purchased Under
the Plan 
(2)

 

March 31 - April 30, 2014

 

(209)

 

$

19.89

 

 

1,578,269

 

May 1-31, 2014

 

3,798 

 

$

16.23

 

 

1,578,269

 

June 1-29, 2014

 

—   

 

$

—  

 

 

1,578,269

 

Total

 

3,589 

 

$

16.02

 

 

1,578,269

 

 

(1)                      Total number of shares purchased during the second quarter of 2014 were not purchased pursuant to a publicly announced plan, but were surrendered to satisfy statutory minimum tax withholding obligations in connection with the vesting of restricted stock awards issued to employees under our stockholder-approved long-term incentive plan.

(2)                      Our share repurchase program was approved by the Board on May 30, 2012 and allows for repurchase of up to two million shares of our common stock until the earlier of June 30, 2014 or a determination by the Board of Directors to discontinue the repurchase program. The repurchase program does not obligate us to acquire any specific number of shares.  As of the date of this report, the Board of Directors has not extended this program.

 

Item 3.                          Defaults Upon Senior Securities.

 

None.

 

Item 4.                          Mine Safety Disclosures.

 

Not applicable.

 

Item 5.                          Other Information.

 

None.

 

37



Table of Contents

 

Item 6.                                   Exhibits.

 

Exhibit

 

Description

 

 

 

  14.1

 

Code of Business Conduct and Ethics of Global Power Equipment Group Inc., dated as of July 15, 2014 (filed as Exhibit 14.1 to our Form 8-K filed with the Commission on July 18, 2014 and incorporated herein by reference).

 

 

 

  31.1

 

Certification by the Chief Executive Officer Pursuant to Section 302 of the Sarbanes-Oxley Act of 2002. w

 

 

 

  31.2

 

Certification by the Chief Financial Officer Pursuant to Section 302 of the Sarbanes-Oxley Act of 2002. w

 

 

 

  32.1

 

Certification by the Chief Executive Officer Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002. w

 

 

 

  32.2

 

Certification by the Chief Financial Officer Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002. w

 

 

 

101.INS

 

XBRL Instance Documentw

 

 

 

101.SCH

 

XBRL Taxonomy Extension Schema Documentw

 

 

 

101.CAL

 

XBRL Taxonomy Extension Calculation Linkbase Documentw

 

 

 

101.DEF

 

XBRL Taxonomy Extension Definition Linkbase Documentw

 

 

 

101.LAB

 

XBRL Taxonomy Extension Labels Linkbase Documentw

 

 

 

101.PRE

 

XBRL Taxonomy Extension Presentation Linkbase Documentw


w                         Filed herewith.

 

38



Table of Contents

 

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.

 

 

GLOBAL POWER EQUIPMENT GROUP INC.

 

 

 

Date: July 31, 2014

By:

/s/ Raymond K. Guba

 

 

Raymond K. Guba,

 

 

Senior Vice President and Chief Financial Officer
As a duly authorized officer of the Registrant and as principal
accounting officer.

 

39


EX-31.1 2 a14-13898_1ex31d1.htm EX-31.1

EXHIBIT 31.1

 

CERTIFICATION PURSUANT TO SECTION 302

OF THE SARBANES-OXLEY ACT OF 2002

 

I, Luis Manuel Ramírez, certify that:

 

1.                       I have reviewed this quarterly report on Form 10-Q of Global Power Equipment Group 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(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rule 13a-15(f) and 15d-15(f)) for the registrant and we have:

 

(a)              Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

(b)              Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

(c)               Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

 

(d)              Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5.                       The registrant’s other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

(a)              All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

 

(b)              Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date: July 31, 2014

 

By:

/s/ Luis Manuel Ramírez

 

 

 

Luis Manuel Ramírez,

 

 

 

President and Chief Executive Officer

 

40


EX-31.2 3 a14-13898_1ex31d2.htm EX-31.2

EXHIBIT 31.2

 

CERTIFICATION PURSUANT TO SECTION 302

OF THE SARBANES-OXLEY ACT OF 2002

 

I, Raymond K. Guba, certify that:

 

1.                       I have reviewed this quarterly report on Form 10-Q of Global Power Equipment Group 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(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rule 13a-15(f) and 15d-15(f)) for the registrant and have:

 

(a)             Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

(b)             Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

(c)              Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and

 

(d)             Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5.                       The registrant’s other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

(a)             All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

 

(b)             Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date: July 31, 2014

 

By:

/s/ Raymond K. Guba

 

 

 

Raymond K. Guba,

 

 

 

Senior Vice President and Chief Financial Officer

 

41


EX-32.1 4 a14-13898_1ex32d1.htm EX-32.1

EXHIBIT 32.1

 

CERTIFICATION PURSUANT TO 18 U.S.C. SECTION 1350,

AS ADOPTED PURSUANT TO SECTION 906

OF THE SARBANES-OXLEY ACT OF 2002

 

Pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, I, Luis Manuel Ramírez, the Chief Executive Officer of Global Power Equipment Group Inc. (the “ Company ”), hereby certify, that, to my knowledge:

 

 

1.

The Quarterly Report on Form 10-Q for the period ended June 29, 2014 (the “ Report ”) of the Company fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

 

 

 

 

2.

The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

Date: July 31, 2014

By:

/s/ Luis Manuel Ramírez

 

 

Luis Manuel Ramírez,

 

 

President and Chief Executive Officer

 

A signed original of this written statement 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.

 

42


EX-32.2 5 a14-13898_1ex32d2.htm EX-32.2

EXHIBIT 32.2

 

CERTIFICATION PURSUANT TO 18 U.S.C. SECTION 1350,

AS ADOPTED PURSUANT TO SECTION 906

OF THE SARBANES-OXLEY ACT OF 2002

 

Pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, I, Raymond K. Guba, the Chief Financial Officer of Global Power Equipment Group Inc. (the “ Company ”), hereby certify, that, to my knowledge:

 

 

1.

The Quarterly Report on Form 10-Q for the period ended June 29, 2014 (the “ Report ”) of the Company fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

 

 

 

 

2.

The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

Date: July 31, 2014

By:

/s/ Raymond K. Guba

 

 

Raymond K. Guba,

 

 

Senior Vice President and Chief Financial Officer

 

A signed original of this written statement 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.

 

43


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Business Acquisition Purchase Price Allocation Goodwill Non Tax Deductible Amount Goodwill not deductible Business acquisition purchase price allocation goodwill non tax deductible Amount. Business Combination Acquisition and Integration Related Costs Pre-acquisition due diligence costs, transaction and integration costs Costs incurred to effect a business combination, including legal and financial advisory costs and business integration costs. Performance Based Restricted Stock Awards Excluded from Basic and Diluted Earnings Per Share Amount Securities that could potentially dilute basic earnings per share (EPS) in the future that were not included in the computation of diluted EPS because performance and market conditions have not been met. Unvested performance-based restricted stock awards excluded from calculation of basic and diluted earnings per common share The sum of the differences between total income tax expense or benefit as reported in the Income Statement for the period and the expected income tax expense or benefit computed by applying the domestic federal statutory income tax rates to pretax income from continuing operations attributable to nondeductible business acquisition costs under enacted tax laws, or differences in the methodologies used to determine expense amounts for financial statements prepared in accordance with generally accepted accounting principles and enacted tax laws. Income Tax Reconciliation Nondeductible Business Acquisition Costs Non-deductible business acquisition costs, amount Income Tax Reconciliation Nondeductible Business Acquisition Costs Percent Non-deductible business acquisition costs, percentage The sum of the differences between total income tax expense or benefit as reported in the Income Statement for the period and the expected income tax expense or benefit computed by applying the domestic federal statutory income tax rates to pretax income from continuing operations attributable to nondeductible business acquisition costs under enacted tax laws, or differences in the methodologies used to determine expense amounts for financial statements prepared in accordance with generally accepted accounting principles and enacted tax laws. Future Financial Taxable Income to Realize Our Deferred Tax Assets Amount of future financial taxable income needed to realize deferred tax assets Future financial taxable income to realize our deferred tax assets. Business Acquisition Pro Forma Earnings Per Share Basic and Diluted [Abstract] Earnings (loss) per share from continuing operations: Effective Tax Rate Percentage Domestic Represents the percentage of current and deferred income tax expense related to domestic operations. This rate was used in the calculation of pro forma results. Estimated domestic statutory tax rate (as a percent) Non United States [Member] Represents all geographic locations excluding the United States. Non-U.S. entities Announced and Withdrawn Separation [Member] Change in senior leadership, rescinded Loss contingency related to the announcement (subsequently rescinded) of a separation agreement with an executive of the reporting entity. Installment 3 FY 2013 [Member] Dividend declared August 7, 2013 The third dividend declared in 2013. Dividend declared May 8, 2013 The second dividend declared in 2013. Installment 2 FY 2013 [Member] Dividend declared March 5, 2013 The first dividend declared in 2013. Installment 1 FY 2013 [Member] Equity [Table] Disclosure pertaining to stockholder's equity. Service vesting Represents shares that vest according to service criteria. Service Vesting [Member] Performance and Service Vesting [Member] Performance vesting Represents shares that vest according to performance criteria and are subject to continuing employment. Market and Service Vesting [Member] Market-based vesting Represents shares that vest according to market criteria in the form of a total shareholder return, and are subject to continuing employment. Performance Period [Axis] Information about share-based compensation awards by performance period. Performance Period [Domain] The performance periods specified by the terms of the share-based compensation awards. One Year Performance Period Awards [Member] One Year Performance Period Awards. One Year Performance Period Awards Three Year Performance Period Awards [Member] Three Year Performance Period Awards Three Year Performance Period Awards. One Year Performance Period [Member]. One Year Performance Period [Member] One Year Performance Period Equity [Line Items] Stockholders' equity Equity [Line Items]. Accrued Dividend Equivalents Amount of accrued dividend equivalents on unvested restricted stock awards. Non-cash accrual for unpaid dividend equivalents for unvested restricted stock awards Payments of Dividends on Vesting Accumulated dividend equivalents paid Cumulative amount of dividends paid upon vesting of restricted stock. Dividend Equivalent Payments on Forfeited Unvested Restricted Stock Awards Amount of dividend equivalents to be paid on forfeited unvested restricted stock awards Amount of dividend equivalents to be paid on forfeited unvested restricted stock awards. Stock Compensation Expense if Performance Goals are Not Met Stock compensation expense if performance goals are not met Stock compensation expense if performance goals are not met. Number of Shares Become Vested if Performance Goals are Not Met Number of shares that would vest if performance goals are not met Number of shares that would vest if performance goals are not met. Share Based Compensation Arrangement by Share Based Payment Award Equity Instruments Other than Options Vested in Period as Percentage of Award Granted Percentage of shares based on actual achievement The percentage of a share-based compensation award which may be issued based on achievement of specified target performance. Cumulative Effect Compensation Expense Reversal Cumulative effect compensation expense reversal Cumulative effect of reversing the share-based compensation expense related to shares that are not expected to vest. Restricted Stock Performance Units Eligible to Vest Restricted stock performance units eligible to vest (as a percent) Restricted stock performance units eligible to vest. Cash paid for the period for: Interest and Income Taxes Paid Net [Abstract] Increase (Decrease) in Accrued and Other Liabilities Excluding Product Warranty Decrease in accrued and other liabilities The increase (decrease) during the reporting period in accrued and other liabilities, excluding product warranty. General Electric Company [Member] General Electric Company General Electric Company. Siemens Ag [Member] Siemens AG. Siemens Energy Inc Energy Northwest [Member] Energy Northwest Energy Northwest. Entity Well-known Seasoned Issuer Southern nuclear company. Southern Nuclear Company [Member] Southern Nuclear Operating Company Entity Voluntary Filers Tennessee Valley Authority [Member] Tennessee Valley Authority Tennessee Valley Authority. Entity Current Reporting Status All Others [Member] All Others All other customers below 10% individual disclosure threshold. Entity Filer Category Derivative Instruments Impact Impact of derivatives The amount of impact from derivative instruments on the consolidated balance sheets or consolidated statements of operations during the period. Entity Public Float Revenue Recognized In [Member] Revenue Recognized In The location from which the product shipped. Entity Registrant Name Product Shipped To [Member] Product Shipped To The location to which the product was delivered. Entity Central Index Key Other Geographical Locations [Member] Other Other geographic locations not otherwise specified in the taxonomy. Information which groups revenue by where shipment originated or where it was delivered. Revenue Recognition by Origin Destination [Axis] Revenue Recognition by Origin Destination [Domain] The location from where shipment originated or where it was delivered. Schedule of Revenue and Product Shipped by Geographical Segment [Table] Schedule Of Revenue And Product Shipped By Geographical Segment. Entity Common Stock, Shares Outstanding Schedule of Revenue and Product Shipped by Geographical Segment [Line Items] Schedule Of Revenue And Product Shipped By Geographical Segment Schedule Of Revenue And Product Shipped By Geographical Segment. Fpl Group [Member] Florida Power & Light Company FPL group. Number of Products Businesses Acquired Number of products companies acquired The number of products businesses acquired by the entity during the period. Number of Industrial Gas Services Businesses Acquired Number of industrial gas services company acquired The number of industrial gas services businesses acquired by the entity during the period. Accrued Job Reserves Current Accrued job reserves Carrying value as of the balance sheet date of obligations pertaining to accrued job reserves (due within one year or within the normal operating cycle, if longer). Exelon [Member] Exelon Represents information pertaining to Exelon. Business Combination Recognized Identifiable Assets Acquired and Liabilities Assumed Working Capital Adjustment Paid Amount paid to settle the working capital adjustment Represents liabilities associated with the amount to be paid to fully settle the working capital adjustment in accordance with the acquisition agreement. Pre-tax gain on disposal related to sale of the Deltak business unit Schedule of disposal groups including discontinued operations gain loss on disposition net of tax. Schedule of Disposal Groups Including Discontinued Operations Gain (Loss) on Disposition Net of Tax [Table Text Block] Schedule of Intangible Assets by Major Class [Table Text Block] Cost and accumulated amortization by intangible assets Schedule of intangible assets by major class. Schedule of Income Tax Expense Benefit [Table Text Block] Income tax expense (benefit) allocated between continuing operations and discontinued operations Tabular disclosure of the allocation of the provision for income taxes between continuing and discontinued operations. Schedule of Deferred Tax Assets (Liabilities), Current, NonCurrent [Table Text Block] Allocation of deferred tax assets between current and non-current Schedule of deferred tax assets liabilities current non current. Maximum product warranty term Maximum product warranty term. Maximum Product Warranty Term Auxiliary Products Division [Member] Auxiliary Products Division Represents Auxiliary Products Division, a reporting segment of the entity. Electrical Solutions Division [Member] Electrical Solutions Division Represents Electrical Solutions Division, a reporting segment of the entity. Schedule of Finite Lived and Indefinite Lived Intangible Assets [Table] Schedule of assets, excluding financial assets and goodwill, lacking physical substance with a finite life and exist in perpetuity. Components of Income Tax Expense Benefit [Abstract] Summary of income tax expense (benefit) Current Income Tax Expense Benefit Continuing and Discontinued Operations [Abstract] Current: Document Fiscal Year Focus Income (Loss) from Continuing and Discontinued Operations before Income Taxes Income loss from continuing and discontinued operations before income taxes. Income before income tax Document Fiscal Period Focus Deferred Tax Assets Liabilities Gross Net deferred tax assets Deferred tax assets liabilities gross. Valuation Allowance Foreign Tax Credit Carryforwards [Member] Foreign Tax Credit Carryforward Valuation Allowance The portion of the valuation allowance pertaining to the deferred tax asset representing potential future taxable deductions from foreign tax credit carryforwards for which it is more likely than not that a tax benefit will not be realized. Valuation Allowance Deferred Tax Asset Potential Decrease in Future Periods Potential release of valuation allowance The amount of deferred tax asset valuation allowance which may be released in future periods. Costs and Estimated Earnings on Uncompleted Contracts [Abstract] Costs, earnings and billings related to uncompleted contracts Cash advance sub facility. Cash Advance Sub Facility [Member] Cash Advance Sub Facility Term Loan Facility [Member] Term Loan Facility Term loan facility. Debt Instrument, Maximum Accordion Amount Accordion feature on revolving credit facility Debt instrument maximum accordion amount. Amortization Expense on Early Extinguishment of Debt Amount of additional interest expense recognized due to accelerated amortization of debt financing costs Amount of accelerated noncash expense included in interest expense to issue debt and obtain financing associated with the related debt instruments. The number of days of failure to pay interest after becoming due that will trigger an event of default of the credit facility covenant. Number of days of failure to pay interest after becoming due which triggers covenant default Line of Credit Facility, Covenant Terms Number of Days Interest Past Due to Trigger Default Event Line of Credit Facility, Covenant Terms Number of Days Other Obligations Past Due to Trigger Default Event The number of days of failure to pay other obligations after becoming due that will trigger an event of default of the credit facility covenant. Number of days of failure to pay other obligations after becoming due which triggers covenant default Unvested restricted stock awards. Unvested Restricted Stock Awards [Member] Unvested Restricted Stock Awards Stockholders Equity Textual [Abstract] Stockholders' Equity Document Type Stockholders Equity Additional Textual [Abstract] Stockholders' Equity SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES Stock Issued During Period, Shares Warrants Exercised Warrants exercised (in shares) Value of stock issued as a result of the exercise of warrants. Warrants settled for common stock in cashless transaction Number of shares withheld in an exercise to purchase warrants as payment for the exercise. Stock Issued during Period Shares Warrants Exercised Shares Withheld as Payment of Exercise Foreign currency (gain) loss, net Other comprehensive income foreign currency transaction and translation gain loss after tax. Other Comprehensive Income Foreign Currency Transaction and Translation Gain (Loss) after Tax Management Co Investment Plan [Member] Management Co Investment Plan Management co-investment plan. Iupat Industry Pension Plan [Member] IUPAT industry pension plan. IUPAT Industry Pension Plan Laborers National Pension Fund [Member] Laborers national pension fund. Laborers National Pension Fund Tri State Carpenters Joiners Pension Trust Fund [Member] Tri state carpenters joiners pension trust fund. Tri-State Carpenters & Joiners Pension Trust Fund Boilermaker Blacksmith National Pension Trust [Member] Boilermaker blacksmith national pension trust. Boilermaker-Blacksmith National Pension Trust Plumbers and pipefitters national pension fund. Plumbers & Pipefitters National Pension Fund Plumbers and Pipefitters National Pension Fund [Member] Ibew Local One Thousand Five Hundred Seventy Nine Pension Plan One [Member] IBEW Local 1579 Pension Plan. IBEW Local 1579 Pension Plan National Asbestos Workers Pension Plan [Member] National asbestos workers pension plan. National Asbestos Workers Pension Plan Sheet Metal Workers National Pension Fund [Member] Sheet metal workers national pension fund. Sheet Metal Workers' National Pension Fund Plumbers and Steamfitters Local Number One Five Zero Pension Fund [Member] Plumbers & Steamfitters Local No. 150 Pension Plan. Plumbers & Steamfitters Local No. 150 Pension Fund Southern Ironworkers Pension Plan One [Member] Southern ironworkers pension plan one. Southern Ironworkers Pension Plan Insulators Local Number Ninety Six Pension Plan One [Member] Insulators Local No. 96 Pension Plan. Insulators Local No. 96 Pension Plan Central States Southeast and Southwest Pension Fund [Member] Central States, Southeast, and Southwest Pension Fund Central states southeast and southwest pension fund. AflAgc Building Trades Pension Fund One [Member] AFL-AGC building trades pension fund one. AFL-AGC Building Trades Pension Fund Washington Idaho Montana Carpenters Employers Retirement Fund [Member] Washington Idaho Montana carpenters employers retirement fund. Washington-Idaho-Montana Carpenters-Employers Retirement Fund Asbestos Workers Local Number Fifty Five Pension Fund One [Member] Asbestos Workers Local No. 55 Pension Fund. Asbestos Workers Local No. 55 Pension Fund Iron Workers Local Forty Three Hundred Sixty One and Four Hundred Seventeen Pension Fund One [Member] Iron Workers Local 40, 361 and 417 Pension Fund. Iron Workers Local 40, 361 & 417 Pension Fund Central Laborers Pension Fund [Member] Central laborers pension fund. Central Laborers' Pension Fund Ibew Local Union Number One Three Nine Two Pension Plan [Member] IBEW Local Union No. 1392 Pension Plan. IBEW Local Union No. 1392 Pension Plan Washington Idaho Laborers Employers Pension Trust [Member] Washington Idaho laborers employers pension trust. Washington-Idaho Laborers-Employers Pension Trust United Association of Journeyman and Apprentices of Plumbing and Pipefitting Industry of United States and Canada Local One Nine Eight AflCio Pension Trust [Member] United Association of Journeyman & Apprentices of the Plumbing & Pipefitting Industry of the United States & Canada Local 198 AFL-CIO Pension Trust. United Association of Journeyman & Apprentices of the Plumbing & Pipefitting Industry of the United States & Canada Local 198 AFL-CIO Pension Trust Sheet Metal Workers Local Four Hundred Forty One Supplemental Pension Plan One [Member] Sheet Metal Workers Local 441 Supplemental Pension Plan. Sheet Metal Workers' Local 441 Supplemental Pension Plan Northwest Ironworkers Retirement Plan [Member] Northwest ironworkers retirement plan. Northwest Ironworkers Retirement Plan Massachusetts Laborers Pension Fund [Member] Massachusetts laborers pension fund. Massachusetts Laborers' Pension Fund Pension Trust Fund of Pension Hospitalization and Benefit Plan of Electrical Industry [Member] Pension trust fund of pension hospitalization and benefit plan of electrical industry. Pension Trust Fund of the Pension Hospitalization & Benefit Plan of the Electrical Industry Plumbers and Steamfitters Local No. 131 Pension Fund. Plumbers and Steamfitters Local No. 131 Pension Fund Plumbers and Steamfitters Local Number One Hundred Thirty One Pension Fund One [Member] New England Teamsters and Trucking Industry Pension Fund [Member] New England teamsters and trucking industry pension fund. New England Teamsters & Trucking Industry Pension Fund Iron Workers District Council of New England Pension Fund [Member] Iron workers district council of new England pension fund. Iron Workers District Council of New England Pension Fund Michigan Laborers Pension Fund [Member] Michigan laborers pension fund. Michigan Laborers' Pension Fund Ibew Local Union Number Two Hundred Twenty Three Pension Plan [Member] IBEW Local Union No. 223 Pension Plan. IBEW Local Union No. 223 Pension Plan Accounts receivable, net of allowance of $573 and $557, respectively Accounts Receivable, Net, Current Mexico MEXICO Iron Workers Local Three Hundred Forty Retirement Income Plan [Member] Iron Workers Local 340 Retirement Income Plan. Iron Workers Local 340 Retirement Income Plan Escrow Deposit Term Escrow deposit term. Escrow term Plumbers and Steamfitters Local Two Ninety Eight Jurisdictional Pension Fund [Member] Plumbers & steamfitters Local 298 Jurisdictional Pension Fund. Plumbers & Steamfitters Local 298 Jurisdictional Pension Fund Deltak Business Operating Net Assets [Member] Represents information pertaining to the Deltak Business unit net operating assets. Deltak Business Operating Net Assets Cash received from escrow Proceeds from Escrow Deposit Proceeds from escrow deposit. Payments from Escrow Included in Loss from Discontinued Operations Payments from escrow included in loss from discontinued operations. Cash received by buyer from escrow Amount Held in Escrow to Cover Future Contingencies Amount held in escrow to cover future Contingencies. Escrow amount held to cover future contingencies Amount of Fund Intended to be Distributed to Holders of Allowed Unsecured Claims Amount of fund intended to be distributed to holders of allowed unsecured claims. Fund for unsecured claims in bankruptcy Maximum Warranty Term Maximum warranty term. Warranty terms Outstanding letter of credit Outstanding Letters of Credit as Security for Possible Workers Compensation Claims The total amount of letters of credit outstanding as security for possible workers compensation claims as of the reporting date. Installment 4 FY 2013 [Member] Dividend declared November 7, 2013 The fourth dividend declared in 2013. Stock Issued During Period, Value, Warrants Exercised Warrants exercised Stock issued during period shares warrants exercised. Goodwill and Long Lived Assets [Policy Text Block] Goodwill and Other Intangible Assets Disclosure of accounting policy for goodwill and long-lived assets. Acquired intangible assets The amount of acquisition cost of a business combination allocated to an identifiable intangible asset that may or may not be amortized. Business Acquisition Purchase Price Allocation Amortizable and Non Amortizable Intangible Assets Treasury Stock Shares Reversed Number of shares that were transferred from treasury stock to the reserve account for future restricted stock grants. Reverse treasury shares for stock-based compensation Reverse treasury shares for stock-based compensation Product Solutions Segment [Member] Product Solutions Segment Represents information pertaining to Product Solutions, a reporting segment of the entity. Additional Deferred Tax Assets Realizable Amount Additional deferred taxes realizable amount Represents the additional deferred tax assets realizable amount. Line of Credit Facility, Increase in Maximum Borrowing Capacity Increase in revolving credit commitments Represents the increase in the maximum borrowing capacity under the credit facility. Performance Based Awards Vesting in 2014 [Member] Performance based awards vesting in 2014 Represents the performance based awards that will vest in 2014. Performance Based Awards That Will Cliff Vest [Member] Performance based awards that will cliff vest Represents the performance based awards that will cliff vest. Indemnification Claim Amount from Buyer Claims for indemnification from the Buyer Represents the amount of claims for indemnification received from the buyer. Finite Lived Intangible Assets Future Amortization Expense, Total Total The aggregate estimated amortization expense for succeeding fiscal years for intangible assets subject to amortization. Pre-tax operating income excluding acquisition related costs and intangible amortization costs contributed by acquisitions Business Combination, Income (Loss) before Tax Excluding Acquisition Related Costs and Intangible Amortization Costs Pre-tax income (loss) from acquisitions included in the operating results for the period, excluding the impact of amortization of acquired intangibles and acquisition related costs, if any. Acquisitions 2012 [Member] 2012 Acquisitions Acquisitions completed during 2012. Hetsco and Ibi Llc [Member] IBI Power and Hetsco Information relating to both Hetsco Holdings, Inc and IBI, LLC. Accounts payable Accounts Payable, Current Business Combination, Income (Loss) before Tax Excluding Intangible Amortization Costs Pre-tax operating income excluding intangible amortization costs contributed by acquisitions Pre-tax income (loss) from acquisitions included in the operating results for the period, excluding the impact of amortization of acquired intangibles, if any. Nuclear Services Segment [Member] Nuclear Services Segment Represents Nuclear Services Division, a reporting segment of the entity. Energy Services Segment [Member] Energy Services Segment Represents Energy Services Division, a reporting segment of the entity. Net Valuation Allowance Release on Foreign Tax Credits Represents the net amount of valuation allowance released on foreign tax credits based upon management's reassessment of deferred tax assets. Net valuation allowance release on foreign tax credits Total Uncompleted Contract Revenue Earned Gross The gross amount of revenue earned on uncompleted contracts. Uncompleted Contracts Billing to Date Amount of billings issued to date against uncompleted contracts. Less - billings to date Uncompleted Contracts Revenue Earned Net Amount of revenue earned on uncompleted contracts, net of billings issued. Net 2011 Plan Information pertaining to the 2011 Equity Incentive Plan. Plan 2011 [Member] Line of Credit Facility, Covenant Number of Financial Covenants Number of financial covenants Represents the number of financial covenants to be complied with. Line of Credit Facility, Covenant Period for which EBITDAIs Considered for Calculation of Consolidated Leverage Ratio Period for which EBITDA is considered for calculation of consolidated leverage ratio Represents the period for which EBITDA is considered for calculation of consolidated leverage ratio under financial covenants. Accounts receivable Accounts Receivable [Member] Line of Credit Facility, Covenant Period for which EBITDAIs Considered for Calculation of Consolidated Interest Coverage Ratio Period for which EBITDA is considered for calculation of consolidated interest coverage ratio Represents the period for which EBITDA is considered for calculation of consolidated interest coverage ratio under financial covenants. Represents the percentage of ownership interest to be held by investors for change of control to occur. Percentage of Ownership Interest to be Held by Investors for Change of Control to Occur Percentage of ownership interest to be held by investors for change of control to occur Percentage of Ownership Interest to be Held by Other than Investors for Change of Control to Occur Percentage of ownership interest to be held by other than investors for change of control to occur Represents the percentage of ownership interest to be held by other than investors for change of control to occur. Restricted Stock Performance Units Ineligible to Vest Number Restricted stock performance units deemed not probable to vest at the end of performance period Represents the number of restricted stock performance units deemed not probable to vest at the end of performance period. Uncompleted Contracts Earnings Recognized Earnings recognized on uncompleted contracts Amount of earnings recognized on uncompleted contracts including amounts billed and unbilled as of the balance sheet date. Prior Period Deferred Gross Profit Non Recurring Adjustment Related to Intercompany Projects Prior period deferred gross profit non-recurring adjustment related to intercompany projects Represents the non-recurring adjustment in operating income to recognize deferred gross profit associated with intercompany projects that were closed in prior periods. Stock Repurchase Program [Abstract] Stock Repurchase Program: No definition available. Number of Product Categories Included in Reportable Segment Number of product categories included in the segment Represents the number of product categories included in the reportable segment of the entity. Number of primary product categories included in the Product Solutions segment Amounts drawn upon letters of credit Letters of Credit Amounts Drawn The amounts drawn upon stand-by letters of credit. Escrow Deposits Related to Property Sales Subject to Specified Escrow Term Escrow deposit initially setup subject to a five year escrow term Represents the amount of escrow deposits related to property sales initially setup for specified term. Escrow Deposits Related to Property Sales Specified Escrow Term Escrow term Represents the term of escrow deposits related to property sales. Escrow Deposits Related to Property Sales Subject to Scheduled Release Escrow deposit subject to scheduled release Represents the amount of escrow deposits related to property sales initially setup for specified term. Vesting Period [Axis] Information by vesting period pertaining to equity-based compensation. Installment 2 FY 2014 [Member] Dividend declared May 1, 2014 The second dividend declared in 2014. Business Acquisitions, Pro Forma Effect of Transaction Costs The effect of transaction costs of the business combination on pro forma results for the period. Effect of transaction costs related to the acquisition U.S. United States UNITED STATES Accrued taxes Accrued Income Taxes, Current Accrued legal and professional fees Accrued Professional Fees, Current Less accumulated depreciation Accumulated Depreciation, Depletion and Amortization, Property, Plant, and Equipment Accumulated other comprehensive income Accumulated Other Comprehensive Income (Loss), Net of Tax Accumulated Other Comprehensive Income Accumulated Other Comprehensive Income (Loss) [Member] Weighted Average Amortization Years Acquired Finite-lived Intangible Assets, Weighted Average Useful Life Acquired Finite-Lived Intangible Assets [Line Items] Acquisition disclosures Paid-in capital Additional Paid in Capital, Common Stock OTHER SUPPLEMENTAL INFORMATION Additional Financial Information Disclosure [Text Block] Paid-in Capital Additional Paid-in Capital [Member] Net effect of changes in operating activities Additional Cash Flow Elements, Operating Activities [Abstract] Adjustments to reconcile net income (loss) to net cash provided by (used in) operating activities: Adjustments to Reconcile Net Income (Loss) to Cash Provided by (Used in) Operating Activities [Abstract] Advertising Costs, Policy [Policy Text Block] Advertising Costs Stock based compensation expense Allocated Share-based Compensation Expense Accounts receivable, allowance (in dollars) Allowance for Doubtful Accounts Receivable, Current Allowance for Doubtful Accounts [Member] Allowance for doubtful accounts Amortization on deferred financing costs Amortization of Financing Costs Amortization of intangible assets Amortization of Intangible Assets Costs incurred on uncompleted contracts Amount of Deferred Costs Related to Long-term Contracts Outstanding stock equivalents excluded from diluted earnings per share calculations Antidilutive Securities Excluded from Computation of Earnings Per Share, Amount Total assets Assets Total consolidated assets Current assets: Assets, Current [Abstract] ASSETS Assets [Abstract] Total current assets Assets, Current Base Rate loans Base Rate [Member] Basis of Presentation Basis of Accounting, Policy [Policy Text Block] Billings in excess of costs and estimated earnings Billings in Excess of Cost, Current Buildings and improvements Building and Building Improvements [Member] Current liabilities Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Current Liabilities Long-term deferred tax liability Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Deferred Tax Liabilities Noncurrent Current assets Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Current Assets Business Acquisition [Axis] Business Acquisition, Pro Forma Information [Abstract] Proforma information Other long-term liabilities Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Noncurrent Liabilities, Other Total assets acquired Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Assets Cash and cash equivalents Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Cash and Equivalents Unaudited pro forma information Business Acquisition, Pro Forma Information [Table Text Block] Identifiable intangible assets Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Intangible Assets, Other than Goodwill Acquisition disclosures Business Acquisition [Line Items] Percentage of equity acquired Business Acquisition, Percentage of Voting Interests Acquired Consolidated revenues Business Acquisition, Pro Forma Revenue Business Acquisition, Acquiree [Domain] Business Acquisition, Pro Forma Income (Loss) from Continuing Operations before Changes in Accounting and Extraordinary Items, Net of Tax, Per Share, Basic Basic (in dollars per share) Business Acquisition, Pro Forma Income (Loss) from Continuing Operations before Changes in Accounting and Extraordinary Items, Net of Tax, Per Share, Diluted Diluted (in dollars per share) Business Acquisition, Pro Forma Net Income (Loss) Income (loss) from continuing operations before income tax ACQUISITIONS ACQUISITIONS Business Combination Disclosure [Text Block] Goodwill deductible Business Acquisition, Goodwill, Expected Tax Deductible Amount Property, plant and equipment Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Property, Plant, and Equipment Identifiable intangible assets Business Combination, Recognized Identifiable Assets Acquired and Liabilities Assumed, Finite-Lived Intangibles Business Combination, Acquisition Related Costs Acquisition related costs Business Combination, Recognized Identifiable Assets Acquired, Goodwill, and Liabilities Assumed, Net [Abstract] Allocation of consideration paid for acquisition Net assets acquired Business Combination, Recognized Identifiable Assets Acquired, Goodwill, and Liabilities Assumed, Net Net Assets Acquired UNCOMPLETED CONTRACTS Cash and cash equivalents Cash and cash equivalents, beginning of period Cash and cash equivalents, end of period Cash and Cash Equivalents, at Carrying Value, Including Discontinued Operations Net change in cash and cash equivalents Cash and Cash Equivalents, Period Increase (Decrease) Cash and cash equivalents deposited with financial institutions Cash and Cash Equivalents, at Carrying Value Cash and Cash Equivalents Cash and Cash Equivalents, Policy [Policy Text Block] Cash acquired Cash Acquired from Acquisition Class of Warrant or Right, Number of Securities Called by Warrants or Rights Warrants issued for purchase of common stock Class of Warrant or Right, Exercise Price of Warrants or Rights Exercise price of warrants issued for purchase of common stock COMMITMENTS AND CONTINGENCIES. Commitments and contingencies (Note 7) Commitments and Contingencies Commitments and Contingencies Disclosure [Text Block] COMMITMENTS AND CONTINGENCIES Common stock, par value (in dollars per share) Common Stock, Par or Stated Value Per Share Common Shares $0.01 Per Share Common Stock [Member] Common stock, $0.01 par value, 170,000,000 shares authorized and 18,386,443 and 18,294,998 shares issued, respectively, and 17,071,780 and 17,059,943 shares outstanding, respectively Common Stock, Value, Issued Common stock, shares issued Common Stock, Shares, Issued Common Stock, Dividends, Per Share, Declared Cash dividend declared (in dollars per share) Dividend per Share (in dollars per share) Common stock, shares authorized Common Stock, Shares Authorized Cash dividends per share (in dollars per share) Common Stock, Dividends, Per Share, Cash Paid Common Stock, Shares, Outstanding Balance (in shares) Balance (in shares) Common stock, shares outstanding EMPLOYEE BENEFIT PLANS Compensation Related Costs, Policy [Policy Text Block] Stock-Based Compensation Expense Assets: Components of Deferred Tax Assets [Abstract] Components of deferred income taxes Components of Deferred Tax Assets and Liabilities [Abstract] Liabilities: Components of Deferred Tax Liabilities [Abstract] Comprehensive Income Comprehensive Income, Policy [Policy Text Block] Comprehensive income (loss) Comprehensive Income (Loss), Net of Tax, Attributable to Parent Major customers and concentration of credit risk Concentration Risk [Line Items] Concentration Risk Concentration Risk Benchmark [Domain] Concentration Risk [Table] MAJOR CUSTOMERS AND CONCENTRATION OF CREDIT RISK Concentration Risk Disclosure [Text Block] Concentration Risk Benchmark [Axis] Concentration risk percentage Concentration Risk, Percentage Consolidation Items [Domain] Principles of Consolidation Consolidation, Policy [Policy Text Block] Consolidation Items [Axis] Construction-in-Progress Construction in Progress [Member] Accrued 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awards Share-based Compensation Arrangement by Share-based Payment Award, Shares Issued in Period Equity Award [Domain] Price per share Shares Issued, Price Per Share Shipping and Handling Cost, Policy [Policy Text Block] Shipping and Handling Cost Uncertain tax positions expected to lapse in 2014 Significant Change in Unrecognized Tax Benefits is Reasonably Possible, Amount of Unrecorded Benefit Significant Accounting Policies [Text Block] SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES Maximum uncertain tax positions expected to lapse in 2014 Significant Change in Unrecognized Tax Benefits is Reasonably Possible, Estimated Range of Change, Upper Bound Settlements made (in cash or in kind) for the period Standard Product Warranty Accrual, Payments Provision for the period Standard Product Warranty Accrual, Warranties Issued Balance at the beginning of the period Balance at the end of the period Standard Product Warranty Accrual Standard Product Warranty, Policy [Policy Text Block] Warranty 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Shares Authorized to be Repurchased Stock-based compensation Stock Issued During Period, Value, Share-based Compensation, Net of Forfeitures Stockholders' equity: Stockholders' Equity Attributable to Parent [Abstract] Total stockholders' equity Stockholders' Equity Attributable to Parent Balance Balance Stockholders' Equity Note Disclosure [Text Block] STOCKHOLDERS' EQUITY SUBSEQUENT EVENT Subsequent Events [Text Block] SUBSEQUENT EVENT Subsequent Event [Table] Subsequent events Subsequent Event [Line Items] Subsequent Event Subsequent Event [Member] Subsequent Event Type [Domain] Subsequent Event Type [Axis] Presentation of open tax years by jurisdiction Summary of Income Tax Examinations [Table Text Block] Surety bonds Surety Bond [Member] Tax credit carryforward Tax Credit Carryforward, Amount Tax Credit Carryforward, Name [Domain] Tax credit carryforward Tax Credit Carryforward [Line Items] Tax Credit Carryforward [Table] Tax Credit Carryforward [Axis] Trade Names Trade Names [Member] Accounts Receivable Trade and Other Accounts Receivable, Policy [Policy Text Block] Stock repurchases Treasury Stock, Shares, Acquired Treasury stock, shares Treasury Stock, Shares Treasury Shares Treasury Stock [Member] Treasury stock, at par (1,263,708 and 1,235,055 common shares, respectively) Treasury Stock, Value Treasury Stock, Value, Acquired, Par Value Method Stock repurchases Value Undistributed Earnings of the Foreign Subsidiaries Undistributed Earnings of Foreign Subsidiaries Change in Unrecognized Tax Benefits During the Current Period Unrecognized Tax Benefits, Increase Resulting from Current Period Tax Positions Decreases in Unrecognized Tax Benefits From Settlements with Taxing Authorities Unrecognized Tax Benefits, Decrease Resulting from Settlements with Taxing Authorities Change in Unrecognized Tax Benefits Taken During a Prior Period (Decrease) Unrecognized Tax Benefits, Decrease Resulting from Prior Period Tax Positions Unrecognized tax benefits that would affect the effective tax rate Unrecognized Tax Benefits that Would Impact Effective Tax Rate Reductions to Unrecognized Tax Benefits From Lapse of Statutes of Limitations Unrecognized Tax Benefits, Reduction Resulting from Lapse of Applicable Statute of Limitations Unrecognized Tax Benefits Liability for unrecognized tax benefits Change in Unrecognized Tax Benefits Taken During a Prior Period (Increase) Unrecognized Tax Benefits, Increase Resulting from Prior Period Tax Positions Interest and penalties related to uncertain income tax positions Unrecognized Tax Benefits, Income Tax Penalties and Interest Accrued Use of Estimates Use of Estimates, Policy [Policy Text Block] Vesting [Axis] Vesting [Domain] Valuation Allowance [Table] Operating Loss Carryforward Valuation Allowance Valuation Allowance, Operating Loss Carryforwards [Member] Valuation Allowance by Deferred Tax Asset [Axis] Valuation and Qualifying Accounts Disclosure [Table] Valuation Allowances and Reserves [Domain] Valuation Allowance [Line Items] Valuation Allowance Valuation Allowances and Reserves, Charged to Cost and Expense Charged to Costs and Expenses Valuation Allowances and Reserves, Balance Balance at Beginning of Period Balance at End of Period Valuation Allowance of Deferred Tax Assets [Member] Valuation allowance for deferred tax assets Valuation Allowances and Reserves, Deductions Deductions Valuation Allowances and Reserves, Charged to Other Accounts Charged to Other Accounts Schedule II VALUATION AND QUALIFYING ACCOUNTS Valuation and Qualifying Accounts Disclosure [Line Items] Valuation and qualifying accounts Valuation Allowances and Reserves Type [Axis] Value Added Tax Receivable, Current VAT receivable Variable Rate [Domain] Variable Rate [Axis] Warrants outstanding Warrants and Rights Outstanding Warranty Reserves [Member] Accrued warranty reserves Weighted Average Weighted Average [Member] Weighted average number of shares of common stock outstanding - basic (in shares) Weighted Average Number of Shares Outstanding, Basic Weighted Average Common Shares Outstanding Weighted average number of shares of common stock outstanding - diluted (in shares) Weighted Average Number of Shares Outstanding, Diluted Weighted Average Common Shares Outstanding Assuming Dilution Accrued workers compensation Workers' Compensation Liability, Current Accelerated amortization of debt financing costs related to prior credit facility Write off of Deferred Debt Issuance Cost EX-101.PRE 11 glpw-20140629_pre.xml XBRL TAXONOMY EXTENSION PRESENTATION LINKBASE DOCUMENT XML 12 R39.htm IDEA: XBRL DOCUMENT v2.4.0.8
COMMITMENTS AND CONTINGENCIES (Details) (USD $)
0 Months Ended 12 Months Ended 0 Months Ended
Jun. 30, 2014
Dec. 31, 2013
Aug. 05, 2011
Deltak Business Operating Net Assets
Dec. 31, 2013
Deltak Business Operating Net Assets
Feb. 04, 2014
Deltak Business Operating Net Assets
Maximum
Commitments and contingencies          
Escrow account for contingencies under 2011 Purchase Agreement     $ 7,000,000    
Escrow deposit initially setup subject to a five year escrow term     6,200,000    
Escrow term     5 years    
Escrow deposit subject to scheduled release     800,000    
Short-term restricted cash 71,000 120,000 3,100,000 100,000  
Long-term restricted cash     3,800,000    
Escrow term     5 years    
Claims for indemnification from the Buyer       2  
Cash received from escrow         $ 100,000
XML 13 R54.htm IDEA: XBRL DOCUMENT v2.4.0.8
SEGMENT INFORMATION (Details 4) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Jun. 30, 2014
Jun. 30, 2013
Segment information        
Revenue $ 114,739 $ 115,965 $ 219,621 $ 232,675
Nuclear Services Segment
       
Segment information        
Revenue 41,430 66,435 98,492 131,448
Nuclear Services Segment | U.S.
       
Segment information        
Revenue 41,400 66,400 98,500 131,400
Energy Services Segment
       
Segment information        
Revenue 14,138 13,600 23,027 26,403
Energy Services Segment | U.S.
       
Segment information        
Revenue $ 14,100 $ 13,600 $ 23,000 $ 26,400
XML 14 R48.htm IDEA: XBRL DOCUMENT v2.4.0.8
OTHER SUPPLEMENTAL INFORMATION (Details 5) (USD $)
In Thousands, unless otherwise specified
6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Cash paid for the period for:    
Interest $ 313 $ 233
Income taxes 217 2,470
Net effect of changes in operating activities    
Decrease in accounts receivable 19,722 37,711
Increase in inventories (1,980) (581)
(Increase) decrease in costs and estimated earnings in excess of billings (19,691) 3,576
Increase in other current assets (261) (948)
(Decrease) increase in other assets 157 (190)
Decrease in accounts payable (2,431) (8,423)
Decrease in accrued and other liabilities (247) (819)
(Decrease) increase in accrued warranties (1,578) 50
Decrease in billings in excess of costs and estimated earnings (1,434) (6,506)
Changes in operating assets and liabilities $ (7,743) $ 23,870
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SUBSEQUENT EVENT (Details) (Subsequent Event, USD $)
0 Months Ended 6 Months Ended
Jul. 31, 2014
Jun. 30, 2014
Subsequent Event
   
Subsequent events    
Cash dividend declared (in dollars per share) $ 0.09  
Dividend declared date   Jul. 31, 2014
Date of record for dividend payment   Sep. 12, 2014
Date of cash payment of dividend   Sep. 26, 2014
XML 17 R46.htm IDEA: XBRL DOCUMENT v2.4.0.8
OTHER SUPPLEMENTAL INFORMATION (Details 3) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2014
Dec. 31, 2013
OTHER SUPPLEMENTAL INFORMATION    
Accrued workers compensation $ 1,451 $ 1,659
Accrued taxes 1,092 1,524
Accrued contract obligation 801 1,030
Accrued job reserves 622 1,387
Accrued legal and professional fees 537 1,036
Other 2,349 1,847
Total $ 6,852 $ 8,483
XML 18 R33.htm IDEA: XBRL DOCUMENT v2.4.0.8
EARNINGS PER SHARE (Details) (USD $)
In Thousands, except Share data, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Jun. 30, 2014
Jun. 30, 2013
Net Income (Loss):        
Income (loss) from continuing operations $ 864 $ 742 $ 792 $ (459)
Loss from discontinued operations (90) (1) (97) (41)
Income (loss) available to common shareholders $ 774 $ 741 $ 695 $ (500)
Basic Earnings (Loss) Earnings Per Common Share:        
Weighted Average Common Shares Outstanding 17,070,615 16,956,925 17,033,816 16,865,070
Basic earnings (loss) per common share from continuing operations (in dollars per share) $ 0.06 $ 0.04 $ 0.05 $ (0.03)
Basic loss per common share from discontinued operations (in dollars per share) $ (0.01)   $ (0.01)  
Income (loss) per common share (in dollars per share) $ 0.05 $ 0.04 $ 0.04 $ (0.03)
Diluted Earnings (Loss) Per Common Share:        
Weighted Average Common Shares Outstanding 17,070,615 16,956,925 17,033,816 16,865,070
Effect of Dilutive Securities:        
Unvested portion of restricted stock awards (in shares) 4,574 10,431 6,314  
Weighted Average Common Shares Outstanding Assuming Dilution 17,075,189 16,967,356 17,040,130 16,865,070
Diluted earnings (loss) per common share from continuing operations (in dollars per share) $ 0.06 $ 0.04 $ 0.05 $ (0.03)
Diluted loss per common share from discontinued operations (in dollars per share) $ (0.01)   $ (0.01)  
Income (loss) per common share - diluted (in dollars per share) $ 0.05 $ 0.04 $ 0.04 $ (0.03)
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STOCKHOLDERS' EQUITY (Tables)
6 Months Ended
Jun. 30, 2014
STOCKHOLDERS' EQUITY  
Information relating to Company's cash dividends declared to common stockholders

 

 

 

 

 

Dividend
Declaration Date

 

Dividend
per Share

 

Date of Record for
Dividend Payment

 

Dividend Cash
Payment Date

Fiscal year 2014:

 

May 1, 2014

 

$

0.09

 

June 13, 2014

 

June 27, 2014

 

 

March 7, 2014

 

$

0.09

 

March 18, 2014

 

March 28, 2014

Assumptions used to estimate the fair value of market-based restricted stock awards granted

 

 

 

 

 

 

Six Months Ended

 

 

 

 

 

June 30,

 

 

 

 

 

2014

 

Expected term (years) 

 

 

 

2.75

 

Expected volatility 

 

 

 

34.7%

 

Expected dividend yield 

 

 

 

0.0%

 

Risk-free interest rate 

 

 

 

0.79%

 

Weighted-average grant date fair value

 

 

 

$

  25.71

 

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MAJOR CUSTOMERS AND CONCENTRATION OF CREDIT RISK (Details 2) (Revenue)
3 Months Ended 6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Jun. 30, 2014
Jun. 30, 2013
Concentration Risk        
Concentration risk percentage 100.00% 100.00% 100.00% 100.00%
Southern Nuclear Operating Company
       
Concentration Risk        
Concentration risk percentage 10.00% 13.00% 19.00% 21.00%
Siemens Energy Inc
       
Concentration Risk        
Concentration risk percentage 13.00%     12.00%
Tennessee Valley Authority
       
Concentration Risk        
Concentration risk percentage 17.00% 14.00% 17.00% 14.00%
General Electric Company
       
Concentration Risk        
Concentration risk percentage 12.00% 18.00% 13.00% 14.00%
Energy Northwest
       
Concentration Risk        
Concentration risk percentage   18.00%   10.00%
All Others
       
Concentration Risk        
Concentration risk percentage 48.00% 37.00% 51.00% 29.00%
XML 22 R42.htm IDEA: XBRL DOCUMENT v2.4.0.8
STOCKHOLDERS' EQUITY (Details 2) (USD $)
In Millions, except Share data, unless otherwise specified
12 Months Ended 6 Months Ended 6 Months Ended 6 Months Ended
Dec. 31, 2012
Jun. 30, 2014
Maximum
Jun. 30, 2013
Maximum
May 31, 2012
Maximum
Jun. 30, 2014
Performance vesting
One Year Performance Period Awards
Jun. 30, 2014
Performance vesting
Three Year Performance Period Awards
Jun. 30, 2014
Restricted Stock
Jun. 30, 2014
Restricted Stock
Maximum
Jun. 30, 2014
Restricted Stock
Service vesting
Jun. 30, 2014
Restricted Stock
Service vesting
Vesting period one
Jun. 30, 2014
Restricted Stock
Service vesting
Vesting period two
Jun. 30, 2014
Restricted Stock
Service vesting
Vesting period three
Jun. 30, 2014
Restricted Stock
Performance vesting
Jun. 30, 2014
Restricted Stock
Performance vesting
One Year Performance Period Awards
Jun. 30, 2014
Restricted Stock
Performance vesting
Three Year Performance Period Awards
Jun. 30, 2014
Restricted Stock
Performance vesting
Three Year Performance Period Awards
Minimum
Jun. 30, 2014
Restricted Stock
Performance vesting
Three Year Performance Period Awards
Maximum
Jun. 30, 2014
Restricted Stock
Market-based vesting
Jun. 30, 2014
Restricted Stock
Market-based vesting
Minimum
Jun. 30, 2014
Restricted Stock
Market-based vesting
Maximum
Stockholders' equity                                        
Amount of dividend equivalents to be paid on forfeited unvested restricted stock awards             $ 0                          
Non-cash accrual for unpaid dividend equivalents for unvested restricted stock awards             0.2                          
Accumulated dividend equivalents paid               0.1                        
Vested and released shares of restricted stock awards             86,934                          
Stock Repurchase Program:                                        
Authorized repurchase of shares       2,000,000                                
Stock repurchases 421,731                                      
Stock repurchases Value 6.8                                      
Foreign Currency Translation:                                        
Unrealized loss resulting from foreign currency adjustments   0.4 0.1                                  
Stock-based Compensation:                                        
Vesting shares of restricted stock awards             66,167                          
Non-cash accrual related to the payment of statutory taxes             0.5                          
Granted shares of restricted stock awards                 110,903       90,623 10,000 80,623     80,624    
Weighted average fair value price per share (in dollars per share)                 $ 19.66       $ 19.89         $ 25.71    
Vesting period         1 year 3 years       1 year 3 years 4 years           3 years    
EBITDA target                           30.0            
Percentage of shares based on actual achievement                               0.00% 200.00%      
Restricted stock performance units eligible to vest (as a percent)                                     0.00% 200.00%
Number of shares that would vest if performance goals are not met                             0          
Stock compensation expense if performance goals are not met                             $ 0          
XML 23 R37.htm IDEA: XBRL DOCUMENT v2.4.0.8
INCOME TAXES (Details 3) (USD $)
In Millions, unless otherwise specified
Jun. 30, 2014
Dec. 31, 2013
Jun. 30, 2013
INCOME TAXES      
Amount of future financial taxable income needed to realize deferred tax assets $ 85.8   $ 104.1
Liability for unrecognized tax benefits 4.7 4.7  
Accrued interest and penalties related to uncertain income tax positions $ 2.6    
XML 24 R52.htm IDEA: XBRL DOCUMENT v2.4.0.8
SEGMENT INFORMATION (Details 2) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2014
Dec. 31, 2013
Segment reporting disclosures    
Total consolidated assets $ 368,182 $ 367,398
Operating segments | Product Solutions Segment
   
Segment reporting disclosures    
Total consolidated assets 223,062 232,070
Operating segments | Nuclear Services Segment
   
Segment reporting disclosures    
Total consolidated assets 74,973 63,897
Operating segments | Energy Services Segment
   
Segment reporting disclosures    
Total consolidated assets 50,384 49,782
Non allocated corporate headquarters assets
   
Segment reporting disclosures    
Total consolidated assets $ 19,763 $ 21,649
XML 25 R47.htm IDEA: XBRL DOCUMENT v2.4.0.8
OTHER SUPPLEMENTAL INFORMATION (Details 4) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2014
Dec. 31, 2013
OTHER SUPPLEMENTAL INFORMATION    
Uncertain tax liabilities $ 5,151 $ 5,054
Other 799 790
Total $ 5,950 $ 5,844
XML 26 R9.htm IDEA: XBRL DOCUMENT v2.4.0.8
SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
6 Months Ended
Jun. 30, 2014
SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES  
SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES

NOTE 2—SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES

 

Basis of Presentation: These unaudited condensed consolidated financial statements have been prepared by us in accordance with accounting principles generally accepted in the U.S.  The information in the condensed consolidated financial statements, in the opinion of management, includes normal recurring adjustments and reflects all adjustments that are necessary for a fair presentation of such financial statements.  We believe that the disclosures presented are adequate to represent materially correct interim financial statements.  These condensed consolidated financial statements should be read in conjunction with our audited consolidated financial statements and related notes for the year ended December 31, 2013 included in our Annual Report on Form 10-K filed with the U.S. Securities and Exchange Commission on March 17, 2014.

 

Principles of Consolidation: The accompanying consolidated financial statements include the accounts of Global Power and its wholly owned subsidiaries. All intercompany accounts and transactions have been eliminated in consolidation.

 

Use of Estimates: The preparation of financial statements in conformity with U.S. Generally Accepted Accounting Principles (“GAAP”) requires management to make estimates and assumptions that affect the amounts reported in the financial statements and accompanying footnotes. Actual results could vary materially from those estimates.

 

Reclassifications: Certain reclassifications have been made to prior years’ consolidated balances to conform with the current year presentation.

 

Discontinued Operations Presentation: In August 2011, we completed the sale of substantially all of the operating assets of our Deltak L.L.C. (“Deltak”) business unit. Discontinued operations are presented net of tax. The following notes relate to our continuing operations only, unless otherwise noted.

 

Dollar Amounts: All dollar amounts (except share and per share amounts) presented in the tabulations within the notes to our consolidated financial statements are stated in thousands of dollars, unless otherwise noted.

 

Long-Lived Assets: Long-lived assets, such as property, plant, and equipment, and purchased intangible assets subject to amortization, are reviewed for impairment whenever events or changes in circumstances indicate that the carrying amount of an asset may not be recoverable. If circumstances require a long-lived asset to be tested for possible impairment, we first compare undiscounted cash flows expected to be generated by an asset to the carrying value of the asset. If the carrying value of the long-lived asset is not recoverable on an undiscounted cash flow basis, impairment is recognized to the extent that the carrying value exceeds its fair value. Fair value is determined through various valuation techniques including discounted cash flow models, quoted market values and third-party independent appraisals, as considered necessary. We group long-lived assets by legal entity for purposes of recognition and measurement of an impairment loss as this is the lowest level for which cash flows are independent.

 

Goodwill and Other Intangible Assets:   Goodwill is not amortized to expense, but rather, we test goodwill for impairment annually and more frequently if circumstances warrant. Impairment write-downs are charged to results of operations in the period in which the impairment is determined.

 

During the three months ended September 30, 2013, we changed our annual impairment testing date from December 31 to the first day of the fourth quarter, which we label as October 1.

 

In 2012, the Financial Accounting Standards Board (“FASB”) issued Accounting Standards Update (“ASU”) 2012-02, “Intangibles—Goodwill and Other (Topic 350): Testing Indefinite-Lived Intangible Assets for Impairment,” which provides entities with the option to assess qualitative factors to determine whether the existence of events and circumstances indicates that it is more likely than not that the indefinite-lived intangible asset is impaired. The Company elected to bypass the qualitative assessment option and continue performing the first step of the goodwill impairment test.

 

In connection with our reportable segments, we also assess our reporting units that are operating segments or one level below the operating segment for impairment testing. We consider the management of operating activities, discrete financial information, similarities of economic characteristics, and the nature of the products, production processes, customers, distribution and regulatory environments. For impairment testing of goodwill and other indefinite-lived assets we test TOG as a separate reporting unit from Product Solutions with the remainder tested as the Auxiliary Products and Electrical Solutions product lines.  We test Hetsco as a separate reporting unit from Energy Solutions with the remainder tested as the Industrial Solutions reporting unit, and we test the Nuclear Solutions segment as a reporting unit.

 

We did not identify any impairment of our recorded goodwill from our most recent annual testing, which was performed as of October 1, 2013. If certain events occur which might indicate goodwill has been impaired, the goodwill is tested for impairment when such events occur. We have not identified any such events and, accordingly, have not tested goodwill for impairment during the six months ended June 30, 2014.

 

Adoption of New Accounting Pronouncements:

 

In March 2014, the FASB issued ASU Update 2014-06 “Technical Corrections and Improvements Related to Glossary Terms” (the “Update”). The amendments in the Update relate to glossary terms and cover a wide range of Topics in the Codification.  These amendments are presented in four sections – Deletion of Master Glossary Terms (Section A), Addition of Master Glossary Term Links (Section B), Duplicate Master Glossary Terms (Section C), and Other Technical Corrections Related to Glossary Terms (Section D).  The amendments in this Update represent changes to clarify the Master Glossary of the Codification, or make improvements to the Master Glossary that are not expected to result in substantive changes to the application of existing guidance or create a significant administrative cost to most entities.  Additionally, the amendments will make the Master Glossary easier to understand, as well as reduce the number of terms that appear in the Master Glossary.  The amendments resulting from this Update do not have transition guidance and will be effective upon issuance for both public and private companies.  The immediate adoption of this standard in March 2014 did not have an impact on our consolidated financial statements, and there was no material impact to our financial statement disclosures.

 

In May 2014, the FASB issued ASU 2014-09 “Revenue from Contracts with Customers” (“ASU 2014-09”).  ASU 2014-09 takes effect in 2017 and establishes a comprehensive revenue recognition standard for virtually all industries in U.S. GAAP, including those that previously followed industry-specific guidance such as the real estate, construction and software industries.  The revenue standard’s core principle is built on the contract between a vendor and a customer for the provision of goods and services.  It attempts to depict the exchange of rights and obligations between the parties in the pattern of revenue recognition based on the consideration to which the vendor is entitled.  To accomplish this objective, the standard requires five basic steps:  (i)  identify the contract with the customer, (ii)  identify the performance obligations in the contract, (iii)  determine the transaction price, (iv)  allocate the transaction price to the performance obligations in the contract, and (v)  recognize revenue when (or as) the entity satisfies a performance obligation.  There are three basic transition methods available:  full retrospective, retrospective with certain practical expedients, and a cumulative effect approach.  We are currently evaluating the impact on our consolidated financial statements and financial statement disclosures.

 

In June 2014, the FASB issued ASU 2014-12 Accounting for Share-Based Payments When the Terms of an Award Provide That a Performance Target Could be Achieved after the Requisite Service Period” (“ASU 2014-12”).  On June 29, 2014, the FASB issued ASU 2014-12 to clarify that a performance target in a share-based compensation award that could be achieved after an employee completes the requisite service period should be treated as a performance condition that affects the vesting of the award.  As such, the performance target should not be reflected in estimating the grant-date fair value of the award.  The Company has reviewed its accounting of these types of share-based payments and has determined that we are in compliance with the stated guidelines.

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STOCKHOLDERS' EQUITY (Details 3) (Restricted Stock, Market-based vesting, USD $)
6 Months Ended
Jun. 30, 2014
Restricted Stock | Market-based vesting
 
Expected term (years) 2 years 9 months
Expected volatility 34.70%
Expected dividend yield 0.00%
Risk-free interest rate 0.79%
Weighted-average grant date fair value (in dollars per share) $ 25.71

XML 29 R29.htm IDEA: XBRL DOCUMENT v2.4.0.8
BUSINESS AND ORGANIZATION (Details) (USD $)
In Thousands, unless otherwise specified
6 Months Ended
Jun. 30, 2014
item
segment
Dec. 31, 2013
IBI, LLC
Jul. 09, 2013
IBI, LLC
Dec. 31, 2013
Hetsco Holdings, Inc.
Apr. 30, 2013
Hetsco Holdings, Inc.
BUSINESS AND ORGANIZATION          
Number of reportable segments 3        
Number of primary product categories included in the Product Solutions segment 2        
Number of weeks in each quarterly reporting period 91 days        
Number of weeks in the first reporting period of each quarter 28 days        
Number of weeks in the second reporting period of each quarter 28 days        
Number of weeks in the third reporting period of each quarter 35 days        
Acquisition disclosures          
Net Assets Acquired   $ 18,641 $ 18,600 $ 32,398 $ 32,400
XML 30 R28.htm IDEA: XBRL DOCUMENT v2.4.0.8
SEGMENT INFORMATION (Tables)
6 Months Ended
Jun. 30, 2014
SEGMENT INFORMATION  
Schedule of segment income information

 

 

($ in thousands)

 

Three months ended June 30,

 

Six months ended June 30,

 

 

 

2014

 

2013

 

2014

 

2013

 

 

 

 

 

 

 

 

 

 

 

Revenues:

 

 

 

 

 

 

 

 

 

Product Solutions

 

 $

59,171

 

 $

35,930

 

 $

98,102

 

 $

74,824

 

Nuclear Services

 

41,430

 

66,435

 

98,492

 

131,448

 

Energy Services

 

14,138

 

13,600

 

23,027

 

26,403

 

Consolidated

 

 $

114,739

 

 $

115,965

 

 $

219,621

 

 $

232,675

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

($ in thousands)

 

Three months ended June 30,

 

Six months ended June 30,

 

 

 

2014

 

2013

 

2014

 

2013

 

Depreciation and Amortization: (1)

 

 

 

 

 

 

 

 

 

Product Solutions

 

 $

1,684

 

 $

1,284

 

 $

3,340

 

 $

2,508

 

Nuclear Services

 

175

 

192

 

389

 

389

 

Energy Services

 

657

 

374

 

1,528

 

384

 

Consolidated

 

 $

2,516

 

 $

1,850

 

 $

5,257

 

 $

3,281

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

($ in thousands)

 

Three months ended June 30,

 

Six months ended June 30,

 

 

 

2014

 

2013

 

2014

 

2013

 

Operating Income (Loss):

 

 

 

 

 

 

 

 

 

Product Solutions

 

 $

1,799

 

 $

1,125

 

 $

2,782

 

 $

(2,269)

 

Nuclear Services

 

343

 

2,786

 

1,738

 

4,061

 

Energy Services

 

(674)

 

(1,941)

 

(2,465)

 

(1,706)

 

Consolidated

 

 $

1,468

 

 $

1,970

 

 $

2,055

 

 $

86

 

 

 

(1)  Depreciation and Amortization includes $0.4 million and $0.3 million in cost of sales for the three months ended June 30, 2014 and 2013, respectively.  Depreciation and Amortization for the six months ended June 30, 2014 and 2013 included in cost of sales was $0.8 million and $0.6 million, respectively.

Schedule of reconciliation of consolidated assets by segment

 

 

 

 

 

As of

 

 

 

 

 

 

 

 

 

June 30,

 

December 31,

 

 

 

 

 

 

 

($ in thousands)

 

2014

 

2013

 

 

 

 

 

 

 

Assets:

 

 

 

 

 

Product Solutions

 

 $

223,062

 

 $

232,070

 

Nuclear Services

 

74,973

 

63,897

 

Energy Services

 

50,384

 

49,782

 

Non allocated corporate headquarters assets

 

19,763

 

21,649

 

Total consolidated assets

 

 $

368,182

 

 $

367,398

 

Schedule of Product Solutions segment revenue by geographical region based on operating locations

 

 

 

 

 

Three Months Ended June 30,

 

 

 

 

 

 

 

 

 

 

 

 

 

2014

 

2013

 

 

 

 

 

 

 

 

 

 

 

 

 

Revenue

 

Product

 

Revenue

 

Product

 

 

 

 

 

 

 

 

 

 

 

($ in thousands)

 

Recognized In

 

Shipped To

 

Recognized In

 

Shipped To

 

 

 

 

 

 

 

 

 

 

 

United States

 

 $

37,820

 

 $

29,624

 

 $

26,663

 

 $

14,560

 

Canada

 

—  

 

284

 

—  

 

79

 

Europe

 

19,676

 

1,280

 

6,735

 

2,280

 

Mexico

 

1,073

 

592

 

2,077

 

37

 

Asia

 

602

 

3,062

 

455

 

1,315

 

Middle East

 

—  

 

14,021

 

—  

 

14,615

 

South America

 

—  

 

1,319

 

—  

 

1,325

 

Other

 

—  

 

8,989

 

—  

 

1,719

 

Total

 

 $

59,171

 

 $

59,171

 

 $

35,930

 

 $

35,930

 

 

 

 

 

Six Months Ended June 30,

 

 

 

 

 

 

 

 

 

 

 

 

 

2014

 

2013

 

 

 

 

 

 

 

 

 

 

 

 

 

Revenue

 

Product

 

Revenue

 

Product

 

 

 

 

 

 

 

 

 

 

 

($ in thousands)

 

Recognized In

 

Shipped To

 

Recognized In

 

Shipped To

 

 

 

 

 

 

 

 

 

 

 

United States

 

 $

66,490

 

 $

53,850

 

 $

54,830

 

 $

35,049

 

Canada

 

—  

 

907

 

—  

 

230

 

Europe

 

25,674

 

3,924

 

14,554

 

3,238

 

Mexico

 

5,190

 

592

 

4,840

 

316

 

Asia

 

748

 

7,255

 

600

 

5,444

 

Middle East

 

—  

 

14,387

 

—  

 

23,680

 

South America

 

—  

 

4,039

 

—  

 

4,993

 

Other

 

—  

 

13,148

 

—  

 

1,874

 

Total

 

 $

98,102

 

 $

98,102

 

 $

74,824

 

 $

74,824

 

XML 31 R44.htm IDEA: XBRL DOCUMENT v2.4.0.8
OTHER SUPPLEMENTAL INFORMATION (Details) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2014
Dec. 31, 2013
OTHER SUPPLEMENTAL INFORMATION    
Prepaid expenses $ 3,618 $ 2,735
VAT receivable 3,487 3,216
Prepaid taxes 677 872
Other Receivables   55
Other 693 1,337
Total $ 8,475 $ 8,215
XML 32 R30.htm IDEA: XBRL DOCUMENT v2.4.0.8
ACQUISITIONS (Details) (USD $)
12 Months Ended 0 Months Ended 0 Months Ended
Dec. 31, 2013
item
Jun. 30, 2014
Jun. 30, 2014
Revolving Credit Facility
Dec. 31, 2013
2013 Acquisitions
Dec. 31, 2013
2013 Acquisitions
Revolving Credit Facility
Jul. 09, 2013
IBI, LLC
Jan. 31, 2014
IBI, LLC
Dec. 31, 2013
IBI, LLC
Apr. 30, 2013
Hetsco Holdings, Inc.
Dec. 31, 2013
Hetsco Holdings, Inc.
Acquisition disclosures                    
Percentage of equity acquired 100.00%                  
Number of businesses acquired 2                  
Number of products companies acquired 1                  
Number of industrial gas services company acquired 1                  
Net Assets Acquired       $ 51,039,000   $ 18,600,000   $ 18,641,000 $ 32,400,000 $ 32,398,000
Aggregate acquisition consideration payable             700,000      
Maximum Borrowing Capacity     150,000,000   150,000,000          
Allocation of consideration paid for acquisition                    
Aggregate acquisition price           18,600,000     32,400,000  
Current assets       16,037,000       8,304,000   7,733,000
Property, plant and equipment       3,689,000       2,822,000   867,000
Identifiable intangible assets       32,100,000       9,300,000   22,800,000
Goodwill 109,930,000 106,884,000   17,539,000       4,542,000   12,997,000
Total assets acquired       69,365,000       24,968,000   44,397,000
Current liabilities       (8,592,000)       (6,327,000)   (2,265,000)
Long-term deferred tax liability       (8,645,000)           (8,645,000)
Other long-term liabilities       (1,089,000)           (1,089,000)
Net assets acquired       $ 51,039,000   $ 18,600,000   $ 18,641,000 $ 32,400,000 $ 32,398,000
XML 33 R31.htm IDEA: XBRL DOCUMENT v2.4.0.8
ACQUISITIONS (Details 2) (2013 Acquisitions, USD $)
6 Months Ended 12 Months Ended 12 Months Ended
Jun. 30, 2014
Dec. 31, 2013
Dec. 31, 2013
Minimum
Dec. 31, 2013
Maximum
Dec. 31, 2013
Trade Names
Dec. 31, 2013
Customer Relationships
Dec. 31, 2013
Noncompetes
Acquisition disclosures              
Amortization of intangible assets $ 1,800,000            
Weighted Average Amortization Years     5 years 7 years   7 years 5 years
Identifiable intangible assets 32,100,000 32,100,000     11,000,000 19,200,000 1,900,000
Estimated future aggregate amortization expense of intangible assets              
2014 (remainder of year) 1,033,000            
2015 3,123,000            
2016 3,123,000            
2017 3,123,000            
2018 2,894,000            
Thereafter 3,814,000            
Total $ 17,110,000            
XML 34 R8.htm IDEA: XBRL DOCUMENT v2.4.0.8
BUSINESS AND ORGANIZATION
6 Months Ended
Jun. 30, 2014
BUSINESS AND ORGANIZATION  
BUSINESS AND ORGANIZATION

NOTE 1—BUSINESS AND ORGANIZATION

Global Power Equipment Group Inc. (“Global Power,” “we,” “us,” “our,” or “the Company”) is a comprehensive provider of customer-engineered equipment, and modification and maintenance services for customers in the power generation, oil & gas, natural gas, infrastructure and process and industrial markets.  Our customers are in and outside the United States (“U.S.”) in both developed and emerging economies.

We design, engineer and manufacture a comprehensive range of gas and steam turbine auxiliary products, control houses and generator enclosures primarily used to enhance the efficiency and facilitate the operation of gas turbine power plants, sub-base and stand-alone tanks meeting UL listings UL142, UL2085 and ULC-S 601 and for other industrial pipeline compression stations, electric power transmissions and distribution systems.  With a strong competitive position in our product lines due to our technology, skilled work force and experience, we benefit from a large installed base of equipment throughout the world which provides us strong brand recognition and value.

We provide on-site specialty modification and maintenance services, outage management, facility upgrade services, specialty repair, brazed aluminum heat exchanger repair and maintenance, and other industrial and safety services to nuclear, fossil-fuel, industrial gas, and liquefied natural gas, petrochemical and other industrial operations in the U.S. We have the capability to combine our services and equipment resources to offer turn-key solutions for aftermarket repair applications for the North American gas turbine power generation, energy infrastructure, and process and cogeneration markets.

Our operations are grouped into three reportable segments:  Product Solutions, Nuclear Services and Energy Services.  Our Product Solutions segment is comprised of two primary product categories:  Electrical Solutions and Auxiliary Products.

·         Our Electrical Solutions product category is comprised of Koontz-Wagner Custom Controls Holdings, LLC (“Koontz-Wagner”), including, following its merger with and into Koontz-Wagner (the “Merger”), the former operations of IBI, LLC (“IBI Power” or “IBI”). This product category focuses on manufacturing and integrating engineered packaged control house solutions and manufacturing custom power packaging and integration solutions, including control house systems, generator enclosures, and industrial tanks, for the energy, oil & gas and electrical industries.

·         Our Auxiliary Products category is comprised of Braden Manufacturing, L.L.C. (“Braden”) which engineers and manufactures filter houses, inlet and exhaust systems, diverter dampers, selective catalytic emission reduction systems (commonly referred to as “SCR”) used in the power generation market.  Consolidated Fabricators Inc. (“CFI”), which engineers and manufactures complex equipment to support gas turbines and other power generation equipment, and, TOG Manufacturing Company, Inc. (“TOG”), which manufactures highly-engineered precision components for critical applications across a variety of industries including:  Power Generation, U.S. Defense Department and Off-Shore Drilling.

·         Our Nuclear Services segment is comprised of the operations of Williams Plant Services, LLC and Williams Specialty Services, LLC (together, the “Williams business”).  Our Nuclear Services segment is focused on the nuclear maintenance and specialty services business.

·         Our Energy Services segment is comprised Hetsco, Inc. (“Hetsco”) and the operations of Construction & Maintenance Professionals, LLC and Williams Industrial Services, LLC.  Our Energy Services segment is focused on providing mission critical brazed aluminum heat exchanger repair, maintenance, and safety services to the industrial gas, liquefied natural gas and petrochemical industries and maintenance and specialty services to the industrial and fossil business.

 

Effective as of January 1, 2013, our Board of Directors decided to change from a traditional month-end calendar close cycle to a 4-4-5 calendar close methodology during interim periods. Our fiscal year will continue to end on December 31. Under this methodology, each interim period is comprised of 13 weeks, which includes two 4-week months and one 5-week month, and begins on Monday and ends on Sunday. The 4-4-5 close methodology will change the accounting periods to month-end dates that may be different than the traditional last day of the standard month end. We will label our quarterly information using a calendar convention, that is, first quarter will be labeled as ending on March 31, second quarter as ending on June 30, and third quarter as ending on September 30. This change in methodology aligns our financial calendar to our payroll cycle, simplifying our close process. The effects of this practice are modest and only exist within a reporting year. The reporting periods and applicable reports for 2014 are:

 

Fiscal Period

 

Reporting Period

 

Report to be Filed

First quarter of fiscal 2014

 

January 1, 2014 to March 30, 2014

 

Quarterly Report on Form 10-Q

Second quarter of fiscal 2014

 

March 31, 2014 to June 29, 2014

 

Quarterly Report on Form 10-Q

Third quarter of fiscal 2014

 

June 30, 2014 to September 28, 2014

 

Quarterly Report on Form 10-Q

Fourth quarter of fiscal 2014

 

September 29, 2014 to December 31, 2014

 

Annual Report on Form 10-K

 

Acquisitions: During 2013, we completed the following acquisitions:

Business Acquired

 

Date of Closing

 

Net Assets 
Acquired 
(in millions)

 

Primary Form of 
Consideration

IBI, LLC

 

July 9, 2013

 

$

18.6

 

Cash

Hetsco Holdings, Inc.

 

April 30, 2013

 

$

32.4

 

Cash

 

Each of the acquired businesses has been included in our results of operations since the date of closing. Due to the timing of these acquisitions and related operating results, our 2014 and 2013 operating results are not entirely comparable. See Note 3—Acquisitions.

XML 35 R32.htm IDEA: XBRL DOCUMENT v2.4.0.8
ACQUISITIONS (Details 3) (USD $)
3 Months Ended 6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Jun. 30, 2014
Jun. 30, 2013
Proforma information        
Consolidated revenues $ 114,739,000 $ 133,417,000 $ 219,621,000 $ 265,447,000
Income (loss) from continuing operations before income tax 864,000 (1,900,000) 792,000 (592,000)
Earnings (loss) per share from continuing operations:        
Basic (in dollars per share) $ 0.06 $ (0.11) $ 0.05 $ (0.04)
Diluted (in dollars per share) $ 0.06 $ (0.11) $ 0.05 $ (0.04)
Estimated domestic statutory tax rate (as a percent)     39.00%  
IBI Power and Hetsco
       
Earnings (loss) per share from continuing operations:        
Effect of transaction costs related to the acquisition   $ 300,000   $ 1,000,000
XML 36 R40.htm IDEA: XBRL DOCUMENT v2.4.0.8
COMMITMENTS AND CONTINGENCIES (Details 2) (Change in senior leadership, rescinded, USD $)
In Millions, unless otherwise specified
Jul. 17, 2013
Change in senior leadership, rescinded
 
Commitments and contingencies  
Unrecorded contingent liability $ 0.5
XML 37 R53.htm IDEA: XBRL DOCUMENT v2.4.0.8
SEGMENT INFORMATION (Details 3) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Jun. 30, 2014
Jun. 30, 2013
Schedule Of Revenue And Product Shipped By Geographical Segment        
Revenue $ 114,739 $ 115,965 $ 219,621 $ 232,675
Product Solutions Segment
       
Schedule Of Revenue And Product Shipped By Geographical Segment        
Revenue 59,171 35,930 98,102 74,824
Product Solutions Segment | Revenue Recognized In
       
Schedule Of Revenue And Product Shipped By Geographical Segment        
Revenue 59,171 35,930 98,102 74,824
Product Solutions Segment | Product Shipped To
       
Schedule Of Revenue And Product Shipped By Geographical Segment        
Revenue 59,171 35,930 98,102 74,824
Product Solutions Segment | United States | Revenue Recognized In
       
Schedule Of Revenue And Product Shipped By Geographical Segment        
Revenue 37,820 26,663 66,490 54,830
Product Solutions Segment | United States | Product Shipped To
       
Schedule Of Revenue And Product Shipped By Geographical Segment        
Revenue 29,624 14,560 53,850 35,049
Product Solutions Segment | Canada | Product Shipped To
       
Schedule Of Revenue And Product Shipped By Geographical Segment        
Revenue 284 79 907 230
Product Solutions Segment | Europe | Revenue Recognized In
       
Schedule Of Revenue And Product Shipped By Geographical Segment        
Revenue 19,676 6,735 25,674 14,554
Product Solutions Segment | Europe | Product Shipped To
       
Schedule Of Revenue And Product Shipped By Geographical Segment        
Revenue 1,280 2,280 3,924 3,238
Product Solutions Segment | Mexico | Revenue Recognized In
       
Schedule Of Revenue And Product Shipped By Geographical Segment        
Revenue 1,073 2,077 5,190 4,840
Product Solutions Segment | Mexico | Product Shipped To
       
Schedule Of Revenue And Product Shipped By Geographical Segment        
Revenue 592 37 592 316
Product Solutions Segment | Asia | Revenue Recognized In
       
Schedule Of Revenue And Product Shipped By Geographical Segment        
Revenue 602 455 748 600
Product Solutions Segment | Asia | Product Shipped To
       
Schedule Of Revenue And Product Shipped By Geographical Segment        
Revenue 3,062 1,315 7,255 5,444
Product Solutions Segment | Middle East | Product Shipped To
       
Schedule Of Revenue And Product Shipped By Geographical Segment        
Revenue 14,021 14,615 14,387 23,680
Product Solutions Segment | South America | Product Shipped To
       
Schedule Of Revenue And Product Shipped By Geographical Segment        
Revenue 1,319 1,325 4,039 4,993
Product Solutions Segment | Other | Product Shipped To
       
Schedule Of Revenue And Product Shipped By Geographical Segment        
Revenue $ 8,989 $ 1,719 $ 13,148 $ 1,874
XML 38 R2.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONDENSED CONSOLIDATED BALANCE SHEETS (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2014
Dec. 31, 2013
Current assets:    
Cash and cash equivalents $ 15,559 $ 13,942
Restricted cash 71 120
Accounts receivable, net of allowance of $573 and $557, respectively 73,761 93,484
Inventories 8,456 6,476
Costs and estimated earnings in excess of billings 61,495 41,804
Deferred tax assets 3,301 3,301
Other current assets 8,475 8,215
Total current assets 171,118 167,342
Property, plant and equipment, net 19,896 20,644
Goodwill 106,884 109,930
Intangible assets, net 61,833 60,594
Deferred tax assets 7,471 7,630
Other long-term assets 980 1,258
Total assets 368,182 367,398
Current liabilities:    
Accounts payable 17,233 19,664
Accrued compensation and benefits 16,198 14,798
Billings in excess of costs and estimated earnings 11,323 12,757
Accrued warranties 1,683 3,261
Other current liabilities 6,852 8,483
Total current liabilities 53,289 58,963
Long-term debt 31,000 23,000
Other long-term liabilities 5,950 5,844
Total liabilities 90,239 87,807
Commitments and contingencies (Note 7)      
Stockholders' equity:    
Common stock, $0.01 par value, 170,000,000 shares authorized and 18,386,443 and 18,294,998 shares issued, respectively, and 17,071,780 and 17,059,943 shares outstanding, respectively 184 183
Paid-in capital 70,228 69,049
Accumulated other comprehensive income 3,039 3,473
Retained earnings 204,504 206,898
Treasury stock, at par (1,263,708 and 1,235,055 common shares, respectively) (12) (12)
Total stockholders' equity 277,943 279,591
Total liabilities and stockholders' equity $ 368,182 $ 367,398
XML 39 R45.htm IDEA: XBRL DOCUMENT v2.4.0.8
OTHER SUPPLEMENTAL INFORMATION (Details 2) (USD $)
In Thousands, unless otherwise specified
Jun. 30, 2014
Dec. 31, 2013
OTHER SUPPLEMENTAL INFORMATION    
Debt issuance costs, net $ 629 $ 751
Other 351 507
Total $ 980 $ 1,258
XML 40 R6.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONDENSED CONSOLIDATED STATEMENTS OF STOCKHOLDERS' EQUITY (USD $)
In Thousands, except Share data, unless otherwise specified
Total
Common Shares $0.01 Per Share
Paid-in Capital
Accumulated Other Comprehensive Income
Retained Earnings
Treasury Shares
Balance at Dec. 31, 2013 $ 279,591 $ 184 $ 69,050 $ 3,473 $ 206,897 $ (12)
Balance (in shares) at Dec. 31, 2013 17,059,943 18,294,998       (1,235,055)
Increase (Decrease) in Shareholders' Equity            
Stock-based compensation 1,178   1,178      
Stock-based compensation (in shares)   91,445       (28,653)
Dividends declared (3,088)       (3,088)  
Net income 695       695  
Foreign currency translation adjustment (434)     (434)    
Balance at Jun. 30, 2014 $ 277,943 $ 184 $ 70,228 $ 3,039 $ 204,504 $ (12)
Balance (in shares) at Jun. 30, 2014 17,071,780 18,386,443       (1,263,708)
XML 41 R35.htm IDEA: XBRL DOCUMENT v2.4.0.8
INCOME TAXES (Details)
3 Months Ended 6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Jun. 30, 2014
Jun. 30, 2013
INCOME TAXES        
Effective income tax rate (as a percent) 29.30% 54.40% 29.70% (136.60%)
Statutory federal income tax rate (as a percent) 35.00% 35.00% 35.00% 35.00%
XML 42 R22.htm IDEA: XBRL DOCUMENT v2.4.0.8
ACQUISITIONS (Tables)
6 Months Ended
Jun. 30, 2014
Acquisition disclosures  
Acquisitions completed

 

Business Acquired

 

Date of Closing

 

Net Assets 
Acquired 
(in millions)

 

Primary Form of 
Consideration

IBI, LLC

 

July 9, 2013

 

$

18.6

 

Cash

Hetsco Holdings, Inc.

 

April 30, 2013

 

$

32.4

 

Cash

Unaudited pro forma information

 

 

 

 

 

Three months ended June 30,

 

Six months ended June 30,

 

 

 

(unaudited)

 

(unaudited)

 

($ in thousands, except per share data)

 

2014

 

2013

 

2014

 

2013

 

 Consolidated revenues

 

$

114,739

 

$

133,417

 

$

219,621

 

$

265,447

 

 Income (loss) from continuing operations before income tax

 

864

 

(1,900)

 

792

 

(592)

 

 Earnings (loss) per share from continuing operations:

 

 

 

 

 

 

 

 

 

Basic

 

$

0.06

 

$

(0.11)

 

$

0.05

 

$

(0.04)

 

Diluted

 

$

0.06

 

$

(0.11)

 

$

0.05

 

$

(0.04)

 

2013 Acquisitions
 
Acquisition disclosures  
Acquisitions completed

 

 

Business Acquired

 

Date of Closing

 

Net Assets
Acquired

(in millions)

 

Segment

 

Primary Form of
Consideration

 

IBI, LLC

 

July 9, 2013

 

$

18.6

 

Product Solutions

 

Cash

 

Hetsco Holdings, Inc.

 

April 30, 2013

 

$

32.4

 

Energy Services

 

Cash

 

Allocation of consideration paid

 

 

 

 

 

2013 Acquisition Activity

 

 

Hetsco Inc.

 

IBI Power

 

Total

 

 

 

 

 

 

 

Current assets

 

$

 7,733

 

$

 8,304

 

$

 16,037

Property, plant and equipment

 

867

 

2,822

 

3,689

Identifiable intangible assets

 

22,800

 

9,300

 

32,100

Goodwill

 

12,997

 

4,542

 

17,539

Total assets acquired

 

44,397

 

24,968

 

69,365

Current liabilities

 

(2,265)

 

(6,327)

 

(8,592)

Long-term deferred tax liability

 

(8,645)

 

 

(8,645)

Other long-term liabilities

 

(1,089)

 

 

(1,089)

Net assets acquired

 

$

 32,398

 

$

 18,641

 

$

 51,039

Major classes of acquired intangible assets

 

 

 

 

Weighted Average

 

 

 

($ in thousands)

 

Amortization Years

 

At Date of
Acquisition

 

 Customer Relationships

 

7

 

$

19,200

 

 Trade Names

 

Indefinite

 

11,000

 

 Noncompetes

 

5

 

1,900

 

 

 

 

 

$

32,100

 

Schedule of estimated future aggregate amortization expense of intangible assets

 

 

 

($ in thousands)

 

 

 

 

 

 

 

For the Fiscal Year Ending December 31 --

 

 

 

 2014 (remainder of year)

 

$

1,033

 

 2015

 

3,123

 

 2016

 

3,123

 

 2017

 

3,123

 

 2018

 

2,894

 

 Thereafter

 

3,814

 

 Total

 

$

17,110

 

XML 43 R36.htm IDEA: XBRL DOCUMENT v2.4.0.8
INCOME TAXES (Details 2) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Jun. 30, 2014
Jun. 30, 2013
Effective Income Tax Rate Reconciliation, Amount        
Tax expense computed at the maximum U.S statutory rate, amount $ 428 $ 569 $ 394 $ (68)
Difference resulting from state income taxes, net of federal income tax benefits, amount (73) 36 (75) (24)
Foreign tax rate differences, amount (56) (30) (53) 8
Non-deductible business acquisition costs, amount   309   309
Non-deductible meals and entertainment, amount 24 15 22 (3)
Non-deductible expenses, other, amount 8 28 8 (6)
Net Change in accrual for uncertain tax positions, amount 87 (27) 98 42
Tax credit carryforwards, amount (60)   (60)  
Other, net, amount   (16)   7
Total income tax (benefit) expense $ 358 $ 884 $ 334 $ 265
Effective Income Tax Rate Reconciliation, Percent        
Tax expense computed at the maximum U.S statutory rate, percentage 35.00% 35.00% 35.00% 35.00%
Difference resulting from state income taxes, net of federal income tax benefits, percentage (5.90%) 2.20% (6.60%) 12.20%
Foreign tax rate differences, percentage (4.60%) (1.70%) (4.70%) (4.00%)
Non-deductible business acquisition costs, percentage   19.00%   (159.30%)
Non-deductible meals and entertainment, percentage 1.90% 0.90% 2.00% 1.40%
Non-deductible expenses, other, percentage 0.70% 1.70% 0.70% 3.10%
Net change in accrual for uncertain tax positions, percentage 7.10% (1.70%) 8.60% (21.60%)
Tax credit carryforwards, percentage (4.90%)   (5.30%)  
Other, net, percentage   (1.00%)   (3.40%)
Effective income tax rate (as a percent) 29.30% 54.40% 29.70% (136.60%)
XML 44 R24.htm IDEA: XBRL DOCUMENT v2.4.0.8
INCOME TAXES (Tables)
6 Months Ended
Jun. 30, 2014
INCOME TAXES  
Schedule of effective income tax rate for continuing operations

 

 

 

 

Three Months Ended June 30,

 

Six Months Ended June 30,

 

 

2014

 

2013

 

2014

 

2013

Effective income tax rate

 

29.3%

 

54.4%

 

29.7%

 

-136.6%

Effective income tax rate reconciliation

 

 

 

 

Three Months Ended June 30,

 

 

2014

 

2014

 

2013

 

2013

 

 

Amount

 

Percent

 

Amount

 

Percent

Tax expense computed at the maximum U.S. statutory rate

 

$

428

 

35.0%

 

$

569

 

35.0%

Difference resulting from state income taxes, net of federal income tax benefits

 

(73)

 

-5.9%

 

36

 

2.2%

Foreign tax rate differences

 

(56)

 

-4.6%

 

(30)

 

-1.7%

Non-deductible business acquisition costs

 

 

 

309

 

19.0%

Non-deductible meals and entertainment

 

24

 

1.9%

 

15

 

0.9%

Non-deductible expenses, other

 

8

 

0.7%

 

28

 

1.7%

Net change in accrual for uncertain tax positions

 

87

 

7.1%

 

(27)

 

-1.7%

Tax credit carryforwards

 

(60)

 

-4.9%

 

 

Other, net

 

 

 

(16)

 

-1.0%

Total

 

$

358

 

29.3%

 

$

884

 

54.4%

 

 

 

 

 

Six Months Ended June 30,

 

 

2014

 

2014

 

2013

 

2013

 

 

Amount

 

Percent

 

Amount

 

Percent

Tax expense computed at the maximum U.S. statutory rate

 

$

394

 

35.0%

 

$

(68)

 

35.0%

Difference resulting from state income taxes, net of federal income tax benefits

 

(75)

 

-6.6%

 

(24)

 

12.2%

Foreign tax rate differences

 

(53)

 

-4.7%

 

8

 

-4.0%

Non-deductible business acquisition costs

 

 

 

309

 

-159.3%

Non-deductible meals and entertainment

 

22

 

2.0%

 

(3)

 

1.4%

Non-deductible expenses, other

 

8

 

0.7%

 

(6)

 

3.1%

Net change in accrual for uncertain tax positions

 

98

 

8.6%

 

42

 

-21.6%

Tax credit carryforwards

 

(60)

 

-5.3%

 

 

Other, net

 

 

 

7

 

-3.4%

Total

 

$

334

 

29.7%

 

$

265

 

-136.6%

XML 45 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 46 R7.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
In Thousands, unless otherwise specified
6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Operating activities:    
Net income (loss) $ 695 $ (500)
Adjustments to reconcile net income (loss) to net cash provided by (used in) operating activities:    
Deferred income tax benefit provision (970) (974)
Depreciation and amortization on plant, property and equipment and intangible assets 5,044 3,281
Amortization on deferred financing costs 113 91
Stock-based compensation 1,744 2,504
Changes in operating assets and liabilities, net of businesses acquired and sold (7,743) 23,870
Net cash (used in) provided by operating activities (1,117) 28,272
Investing activities:    
Acquisitions, net of cash acquired   (32,970)
Net transfers of restricted cash 49  
Proceeds from sale of equipment   66
Purchase of property, plant and equipment (1,236) (2,489)
Net cash used in investing activities (1,187) (35,393)
Financing activities:    
Repurchase of stock-based awards for payment of statutory taxes due on stock-based compensation (566) (1,531)
Debt issuance costs 9  
Dividends paid (3,088) (3,141)
Proceeds from long-term debt 30,000 30,000
Payments of long-term debt (22,000) (10,000)
Net cash provided by financing activities 4,355 15,328
Effect of exchange rate changes on cash (434) (31)
Net change in cash and cash equivalents 1,617 8,176
Cash and cash equivalents, beginning of period 13,942 31,951
Cash and cash equivalents, end of period $ 15,559 $ 40,127
XML 47 R3.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONDENSED CONSOLIDATED BALANCE SHEETS (Parenthetical) (USD $)
In Thousands, except Share data, unless otherwise specified
Jun. 30, 2014
Dec. 31, 2013
CONDENSED CONSOLIDATED BALANCE SHEETS    
Accounts receivable, allowance (in dollars) $ 573 $ 557
Common stock, par value (in dollars per share) $ 0.01 $ 0.01
Common stock, shares authorized 170,000,000 170,000,000
Common stock, shares issued 18,386,443 18,294,998
Common stock, shares outstanding 17,071,780 17,059,943
Treasury stock, shares 1,263,708 1,235,055
XML 48 R17.htm IDEA: XBRL DOCUMENT v2.4.0.8
MAJOR CUSTOMERS AND CONCENTRATION OF CREDIT RISK
6 Months Ended
Jun. 30, 2014
MAJOR CUSTOMERS AND CONCENTRATION OF CREDIT RISK  
MAJOR CUSTOMERS AND CONCENTRATION OF CREDIT RISK

NOTE 10—MAJOR CUSTOMERS AND CONCENTRATION OF CREDIT RISK

 

We have certain customers that represent more than 10 percent of consolidated accounts receivable. The balance for these customers as a percentage of the consolidated accounts receivable is as follows:

 

 

 

As of

 

As of

 

 

 

 

 

 

 

 

 

June 30,

 

December 31,

 

 

 

 

 

 

 

Customer

 

2014

 

2013

 

Siemens Energy, Inc.

 

15%

 

21%

 

General Electric Company

 

14%

 

25%

 

 

 

We have certain customers that represent more than 10 percent of consolidated revenue. The revenue for these customers as a percentage of the consolidated revenue is as follows:

 

 

 

Three Months Ended June 30,

 

Six Months Ended June 30,

 

Customer

 

2014

 

2013

 

2014

 

2013

 

Southern Nuclear Operating Company

 

10%

 

13%

 

19%

 

21%

 

Siemens Energy, Inc.

 

13%

 

*     

 

*     

 

12%

 

Tennessee Valley Authority

 

17%

 

14%

 

17%

 

14%

 

General Electric Company

 

12%

 

18%

 

13%

 

14%

 

Energy Northwest

 

*     

 

18%

 

*     

 

10%

 

All others

 

48%

 

37%

 

51%

 

29%

 

Total

 

100%

 

100%

 

100%

 

100%

 

 

 

*         Less than 10% of revenue included in “All others”

 

Customers for the Product Solutions segment include original equipment manufacturers, engineering, procurement and construction contractors, owners and operators of oil and gas pipelines, operators of power generation facilities and firms engaged across several process-related industries. Product Solutions segment customers include Siemens Energy, Inc. and General Electric Company. Customers for the Nuclear Services segment and Energy Services segment are varied, but include some major utility companies within the U.S. Our major customers vary over time due to the relative size and duration of our projects and customer outages.  Nuclear Services segment and Energy Services segment customers include Southern Nuclear Operating Company, Energy Northwest and Tennessee Valley Authority.

XML 49 R1.htm IDEA: XBRL DOCUMENT v2.4.0.8
Document and Entity Information
6 Months Ended
Jun. 29, 2014
Jul. 23, 2014
Document and Entity Information    
Entity Registrant Name GLOBAL POWER EQUIPMENT GROUP INC.  
Entity Central Index Key 0001136294  
Document Type 10-Q  
Document Period End Date Jun. 29, 2014  
Amendment Flag false  
Current Fiscal Year End Date --12-31  
Entity Current Reporting Status Yes  
Entity Filer Category Accelerated Filer  
Entity Common Stock, Shares Outstanding   17,122,735
Document Fiscal Year Focus 2014  
Document Fiscal Period Focus Q2  
XML 50 R18.htm IDEA: XBRL DOCUMENT v2.4.0.8
SEGMENT INFORMATION
6 Months Ended
Jun. 30, 2014
SEGMENT INFORMATION  
SEGMENT INFORMATION

NOTE 11—SEGMENT INFORMATION

 

We follow ASC 280—Segment Reporting, to present segment information. We considered the way our management team, most notably our chief operating decision maker, makes operating decisions and assesses performance and considered which components of our enterprise have discrete financial information available. As management makes decisions using a products and services group focus, our analysis resulted in three reportable segments:  the Product Solutions segment, the Energy Services segment, and the Nuclear Services segment.  The Product Solutions segment consists of two product categories:  Auxiliary Products and Electrical Solutions.  The financial results of the 2013 Acquisitions have been included in their respective segment as of their respective acquisition dates.

 

For all periods presented, we have excluded the results of operations of our discontinued operations. As a result of our 2011 disposal of the Deltak business unit, certain corporate and other operating costs were reallocated for all periods presented to our continuing operations. In addition, management also reevaluated our primary measure of segment performance and determined that EBITDA should be used as the best measure of segment performance.

 

The accounting policies for our segments are the same as those described in Note 2—Summary of Significant Accounting Policies.

 

The following tables present information about segment income:

 

($ in thousands)

 

Three months ended June 30,

 

Six months ended June 30,

 

 

 

2014

 

2013

 

2014

 

2013

 

 

 

 

 

 

 

 

 

 

 

Revenues:

 

 

 

 

 

 

 

 

 

Product Solutions

 

 $

59,171

 

 $

35,930

 

 $

98,102

 

 $

74,824

 

Nuclear Services

 

41,430

 

66,435

 

98,492

 

131,448

 

Energy Services

 

14,138

 

13,600

 

23,027

 

26,403

 

Consolidated

 

 $

114,739

 

 $

115,965

 

 $

219,621

 

 $

232,675

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

($ in thousands)

 

Three months ended June 30,

 

Six months ended June 30,

 

 

 

2014

 

2013

 

2014

 

2013

 

Depreciation and Amortization: (1)

 

 

 

 

 

 

 

 

 

Product Solutions

 

 $

1,684

 

 $

1,284

 

 $

3,340

 

 $

2,508

 

Nuclear Services

 

175

 

192

 

389

 

389

 

Energy Services

 

657

 

374

 

1,528

 

384

 

Consolidated

 

 $

2,516

 

 $

1,850

 

 $

5,257

 

 $

3,281

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

($ in thousands)

 

Three months ended June 30,

 

Six months ended June 30,

 

 

 

2014

 

2013

 

2014

 

2013

 

Operating Income (Loss):

 

 

 

 

 

 

 

 

 

Product Solutions

 

 $

1,799

 

 $

1,125

 

 $

2,782

 

 $

(2,269)

 

Nuclear Services

 

343

 

2,786

 

1,738

 

4,061

 

Energy Services

 

(674)

 

(1,941)

 

(2,465)

 

(1,706)

 

Consolidated

 

 $

1,468

 

 $

1,970

 

 $

2,055

 

 $

86

 

 

 

(1)  Depreciation and Amortization includes $0.4 million and $0.3 million in cost of sales for the three months ended June 30, 2014 and 2013, respectively.  Depreciation and Amortization for the six months ended June 30, 2014 and 2013 included in cost of sales was $0.8 million and $0.6 million, respectively.

 

 

The following table presents information which reconciles segment assets to consolidated total assets:

 

 

 

 

As of

 

 

 

 

 

 

 

 

 

June 30,

 

December 31,

 

 

 

 

 

 

 

($ in thousands)

 

2014

 

2013

 

 

 

 

 

 

 

Assets:

 

 

 

 

 

Product Solutions

 

 $

223,062

 

 $

232,070

 

Nuclear Services

 

74,973

 

63,897

 

Energy Services

 

50,384

 

49,782

 

Non allocated corporate headquarters assets

 

19,763

 

21,649

 

Total consolidated assets

 

 $

368,182

 

 $

367,398

 

 

 

Corporate assets consist primarily of cash and deferred tax assets.

 

The following presents the Product Solutions segment revenue by geographical region based on our operating locations. Products are often shipped to other geographical areas but revenue is listed in the region in which the revenue is recognized:

 

 

 

 

Three Months Ended June 30,

 

 

 

 

 

 

 

 

 

 

 

 

 

2014

 

2013

 

 

 

 

 

 

 

 

 

 

 

 

 

Revenue

 

Product

 

Revenue

 

Product

 

 

 

 

 

 

 

 

 

 

 

($ in thousands)

 

Recognized In

 

Shipped To

 

Recognized In

 

Shipped To

 

 

 

 

 

 

 

 

 

 

 

United States

 

 $

37,820

 

 $

29,624

 

 $

26,663

 

 $

14,560

 

Canada

 

—  

 

284

 

—  

 

79

 

Europe

 

19,676

 

1,280

 

6,735

 

2,280

 

Mexico

 

1,073

 

592

 

2,077

 

37

 

Asia

 

602

 

3,062

 

455

 

1,315

 

Middle East

 

—  

 

14,021

 

—  

 

14,615

 

South America

 

—  

 

1,319

 

—  

 

1,325

 

Other

 

—  

 

8,989

 

—  

 

1,719

 

Total

 

 $

59,171

 

 $

59,171

 

 $

35,930

 

 $

35,930

 

 

 

 

 

Six Months Ended June 30,

 

 

 

 

 

 

 

 

 

 

 

 

 

2014

 

2013

 

 

 

 

 

 

 

 

 

 

 

 

 

Revenue

 

Product

 

Revenue

 

Product

 

 

 

 

 

 

 

 

 

 

 

($ in thousands)

 

Recognized In

 

Shipped To

 

Recognized In

 

Shipped To

 

 

 

 

 

 

 

 

 

 

 

United States

 

 $

66,490

 

 $

53,850

 

 $

54,830

 

 $

35,049

 

Canada

 

—  

 

907

 

—  

 

230

 

Europe

 

25,674

 

3,924

 

14,554

 

3,238

 

Mexico

 

5,190

 

592

 

4,840

 

316

 

Asia

 

748

 

7,255

 

600

 

5,444

 

Middle East

 

—  

 

14,387

 

—  

 

23,680

 

South America

 

—  

 

4,039

 

—  

 

4,993

 

Other

 

—  

 

13,148

 

—  

 

1,874

 

Total

 

 $

98,102

 

 $

98,102

 

 $

74,824

 

 $

74,824

 

 

 

Our Nuclear Services segment revenue, all of which is derived in the U.S., was $41.4 million and $66.4 million during the three months ended June 30, 2014 and 2013, respectively and was $98.5 million and $131.4 million during the six months ended June 30, 2014 and 2013, respectively.  Our Energy Services segment revenue, virtually all of which is derived in the U.S., was $14.1 million and $13.6 million during the three months ended June 30, 2014 and 2013, respectively and was $23.0 million and $26.4 million during the six months ended June 30, 2014 and 2013, respectively.

XML 51 R4.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS (USD $)
In Thousands, except Share data, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Jun. 30, 2014
Jun. 30, 2013
Revenues        
Product Solutions $ 59,171 $ 35,930 $ 98,102 $ 74,824
Nuclear Services 41,430 66,435 98,492 131,448
Energy Services 14,138 13,600 23,027 26,403
Consolidated 114,739 115,965 219,621 232,675
Cost of Sales        
Product Solutions 47,588 27,368 76,648 60,305
Nuclear Services 35,686 58,070 85,727 114,597
Energy Services 11,203 11,724 18,506 23,004
Consolidated 94,477 97,162 180,881 197,906
Gross profit 20,262 18,803 38,740 34,769
Selling and marketing expenses 2,474 2,462 4,297 4,685
General and administrative expenses 14,179 12,812 27,933 27,366
Depreciation and amortization expense 2,141 1,559 4,455 2,632
Operating income 1,468 1,970 2,055 86
Interest expense, net 340 190 753 276
Other expense (income), net (94) 154 176 4
Income (loss) from continuing operations before income tax 1,222 1,626 1,126 (194)
Income tax expense 358 884 334 265
Income (loss) from continuing operations 864 742 792 (459)
Discontinued operations:        
Loss from discontinued operations, net of tax (90) (1) (97) (41)
Net Income (loss) $ 774 $ 741 $ 695 $ (500)
Basic income (loss) per weighted average common share:        
Income (loss) from continuing operations (in dollars per share) $ 0.06 $ 0.04 $ 0.05 $ (0.03)
Loss from discontinued operations (in dollars per share) $ (0.01)   $ (0.01)  
Income (loss) per common share (in dollars per share) $ 0.05 $ 0.04 $ 0.04 $ (0.03)
Weighted average number of shares of common stock outstanding - basic (in shares) 17,070,615 16,956,925 17,033,816 16,865,070
Diluted income (loss) per weighted average common share:        
Income (loss) from continuing operations (in dollars per share) $ 0.06 $ 0.04 $ 0.05 $ (0.03)
Loss from discontinued operations (in dollars per share) $ (0.01)   $ (0.01)  
Income (loss) per common share - diluted (in dollars per share) $ 0.05 $ 0.04 $ 0.04 $ (0.03)
Weighted average number of shares of common stock outstanding - diluted (in shares) 17,075,189 16,967,356 17,040,130 16,865,070
Cash dividends per share (in dollars per share) $ 0.09 $ 0.09 $ 0.18 $ 0.18
XML 52 R12.htm IDEA: XBRL DOCUMENT v2.4.0.8
INCOME TAXES
6 Months Ended
Jun. 30, 2014
INCOME TAXES  
INCOME TAXES

NOTE 5—INCOME TAXES

 

The overall effective income tax rate for continuing operations during the three and six months ended June 30, 2014 and 2013 was as follows:

 

 

 

Three Months Ended June 30,

 

Six Months Ended June 30,

 

 

2014

 

2013

 

2014

 

2013

Effective income tax rate

 

29.3%

 

54.4%

 

29.7%

 

-136.6%

 

 

The effective income tax rate differs from the statutory federal income tax rate of 35% primarily because of state and foreign income taxes and permanent differences.  The amount of the income tax provision for continuing operations during the three months ended June 30, 2014 and 2013 differs from the statutory federal income tax rate of 35% as follows:

 

 

 

Three Months Ended June 30,

 

 

2014

 

2014

 

2013

 

2013

 

 

Amount

 

Percent

 

Amount

 

Percent

Tax expense computed at the maximum U.S. statutory rate

 

$

428

 

35.0%

 

$

569

 

35.0%

Difference resulting from state income taxes, net of federal income tax benefits

 

(73)

 

-5.9%

 

36

 

2.2%

Foreign tax rate differences

 

(56)

 

-4.6%

 

(30)

 

-1.7%

Non-deductible business acquisition costs

 

 

 

309

 

19.0%

Non-deductible meals and entertainment

 

24

 

1.9%

 

15

 

0.9%

Non-deductible expenses, other

 

8

 

0.7%

 

28

 

1.7%

Net change in accrual for uncertain tax positions

 

87

 

7.1%

 

(27)

 

-1.7%

Tax credit carryforwards

 

(60)

 

-4.9%

 

 

Other, net

 

 

 

(16)

 

-1.0%

Total

 

$

358

 

29.3%

 

$

884

 

54.4%

 

 

The amount of the income tax provision for continuing operations during the six months ended June 30, 2014 and 2013 differs from the statutory federal income tax rate of 35% as follows:

 

 

 

Six Months Ended June 30,

 

 

2014

 

2014

 

2013

 

2013

 

 

Amount

 

Percent

 

Amount

 

Percent

Tax expense computed at the maximum U.S. statutory rate

 

$

394

 

35.0%

 

$

(68)

 

35.0%

Difference resulting from state income taxes, net of federal income tax benefits

 

(75)

 

-6.6%

 

(24)

 

12.2%

Foreign tax rate differences

 

(53)

 

-4.7%

 

8

 

-4.0%

Non-deductible business acquisition costs

 

 

 

309

 

-159.3%

Non-deductible meals and entertainment

 

22

 

2.0%

 

(3)

 

1.4%

Non-deductible expenses, other

 

8

 

0.7%

 

(6)

 

3.1%

Net change in accrual for uncertain tax positions

 

98

 

8.6%

 

42

 

-21.6%

Tax credit carryforwards

 

(60)

 

-5.3%

 

 

Other, net

 

 

 

7

 

-3.4%

Total

 

$

334

 

29.7%

 

$

265

 

-136.6%

 

 

As of June 30, 2014 and June 30, 2013, we would need to generate approximately $85.8 million and $104.1 million, respectively, of future financial taxable income to realize our deferred tax assets.

 

As of both June 30, 2014 and December 31, 2013, we provided for a liability of $4.7 million and $4.7 million, respectively, for unrecognized tax benefits related to various federal, foreign and state income tax matters, which was included in long-term deferred tax assets and other long-term liabilities.  If recognized, the entire amount of the liability would affect the effective tax rate.  As of June 30, 2014, we had accrued approximately $2.6 million in other long-term liabilities for potential payment of interest and penalties related to uncertain income tax positions.

XML 53 R11.htm IDEA: XBRL DOCUMENT v2.4.0.8
EARNINGS PER SHARE
6 Months Ended
Jun. 30, 2014
EARNINGS PER SHARE  
EARNINGS PER SHARE

NOTE 4—EARNINGS PER SHARE

Basic earnings per common share are calculated by dividing net income by the weighted average common shares outstanding during the period. Diluted earnings per common share is based on the weighted average common shares outstanding during the period, adjusted to include the incremental effect of common shares that would be issued upon the conversion of warrants and the vesting and release of restricted stock awards.

 

Basic and diluted earnings per common share are calculated as follows:

 

 

 

Three Months Ended June 30,

 

Six Months Ended June 30,

($ in thousands, except per share data)

 

2014

 

2013

 

2014

 

2013

Net Income (Loss):

 

 

 

 

 

 

 

 

Income (loss) from continuing operations

 

$

864

 

$

742

 

$

792

 

$

(459)

Loss from discontinued operations

 

(90)

 

(1)

 

(97)

 

(41)

Income (loss) available to common shareholders

 

$

774

 

$

741

 

$

695

 

$

(500)

 

 

 

 

 

 

 

 

 

Basic Earnings (Loss) Per Common Share:

 

 

 

 

 

 

 

 

Weighted Average Common Shares Outstanding

 

17,070,615

 

16,956,925

 

17,033,816

 

16,865,070

 

 

 

 

 

 

 

 

 

Basic earnings (loss) per common share from continuing operations

 

$

0.06

 

$

0.04

 

$

0.05

 

$

(0.03)

Basic loss per common share from discontinued operations

 

(0.01)

 

 

(0.01)

 

Basic earnings (loss) per common share

 

$

0.05

 

$

0.04

 

$

0.04

 

$

(0.03)

 

 

 

 

 

 

 

 

 

Diluted Earnings (Loss) Per Common Share:

 

 

 

 

 

 

 

 

Weighted Average Common Shares Outstanding

 

17,070,615

 

16,956,925

 

17,033,816

 

16,865,070

Effect of Dilutive Securities:

 

 

 

 

 

 

 

 

Unvested portion of restricted stock awards

 

4,574

 

10,431

 

6,314

 

Warrants to purchase common stock

 

 

 

 

Weighted Average Common Shares Outstanding Assuming Dilution

 

17,075,189

 

16,967,356

 

17,040,130

 

16,865,070

 

 

 

 

 

 

 

 

 

Diluted earnings (loss) per common share from continuing operations

 

$

0.06

 

$

0.04

 

$

0.05

 

$

(0.03)

Diluted loss per common share from discontinued operations

 

(0.01)

 

 

(0.01)

 

Diluted earnings (loss) per common share

 

$

0.05

 

$

0.04

 

$

0.04

 

$

(0.03)

 

During the three and six months ended June 30, 2014, there were 145,525 and 116,655 outstanding stock equivalents, respectively that were anti-dilutive and excluded from the computations of diluted earnings per common share.  During the three and six months ended June 30, 2013, there were 179,609 and 262,404 outstanding stock equivalents, respectively that were anti-dilutive and excluded from the computations of diluted earnings per common share.  Excluded from the calculation of both basic and diluted earnings per common share are the unvested performance-based, both Operating Margin and Relative TSR Performance Objective, restricted stock awards of 317,303 for which achieving performance targets had not been determined by the Board of Directors as of June 30, 2014.  There were 273,959 performance-based stock awards outstanding as of June 30, 2013.

XML 54 R23.htm IDEA: XBRL DOCUMENT v2.4.0.8
EARNINGS PER SHARE (Tables)
6 Months Ended
Jun. 30, 2014
EARNINGS PER SHARE  
Schedule of calculation of basic and diluted earnings per common share

 

 

 

 

Three Months Ended June 30,

 

Six Months Ended June 30,

($ in thousands, except per share data)

 

2014

 

2013

 

2014

 

2013

Net Income (Loss):

 

 

 

 

 

 

 

 

Income (loss) from continuing operations

 

$

864

 

$

742

 

$

792

 

$

(459)

Loss from discontinued operations

 

(90)

 

(1)

 

(97)

 

(41)

Income (loss) available to common shareholders

 

$

774

 

$

741

 

$

695

 

$

(500)

 

 

 

 

 

 

 

 

 

Basic Earnings (Loss) Per Common Share:

 

 

 

 

 

 

 

 

Weighted Average Common Shares Outstanding

 

17,070,615

 

16,956,925

 

17,033,816

 

16,865,070

 

 

 

 

 

 

 

 

 

Basic earnings (loss) per common share from continuing operations

 

$

0.06

 

$

0.04

 

$

0.05

 

$

(0.03)

Basic loss per common share from discontinued operations

 

(0.01)

 

 

(0.01)

 

Basic earnings (loss) per common share

 

$

0.05

 

$

0.04

 

$

0.04

 

$

(0.03)

 

 

 

 

 

 

 

 

 

Diluted Earnings (Loss) Per Common Share:

 

 

 

 

 

 

 

 

Weighted Average Common Shares Outstanding

 

17,070,615

 

16,956,925

 

17,033,816

 

16,865,070

Effect of Dilutive Securities:

 

 

 

 

 

 

 

 

Unvested portion of restricted stock awards

 

4,574

 

10,431

 

6,314

 

Warrants to purchase common stock

 

 

 

 

Weighted Average Common Shares Outstanding Assuming Dilution

 

17,075,189

 

16,967,356

 

17,040,130

 

16,865,070

 

 

 

 

 

 

 

 

 

Diluted earnings (loss) per common share from continuing operations

 

$

0.06

 

$

0.04

 

$

0.05

 

$

(0.03)

Diluted loss per common share from discontinued operations

 

(0.01)

 

 

(0.01)

 

Diluted earnings (loss) per common share

 

$

0.05

 

$

0.04

 

$

0.04

 

$

(0.03)

XML 55 R19.htm IDEA: XBRL DOCUMENT v2.4.0.8
SUBSEQUENT EVENT
6 Months Ended
Jun. 30, 2014
SUBSEQUENT EVENT  
SUBSEQUENT EVENT

NOTE 12—SUBSEQUENT EVENT

 

On July 31, 2014, our Board of Directors declared a cash dividend of $0.09 per share of common stock to the holders of record of our common stock as of the close of business on September 12, 2014 to be paid on or about September 26, 2014.

XML 56 R15.htm IDEA: XBRL DOCUMENT v2.4.0.8
STOCKHOLDERS' EQUITY
6 Months Ended
Jun. 30, 2014
STOCKHOLDERS' EQUITY  
STOCKHOLDERS' EQUITY

NOTE 8—STOCKHOLDERS’ EQUITY

 

Dividends:  In May 2012, our Board of Directors approved a quarterly cash dividend policy. The terms of our Revolving Credit Facility limit the amount of cash dividends we can pay and such terms are defined in the Revolving Credit Facility. The following table sets forth certain information relating to the Company’s cash dividends declared to common stockholders of the Company during the six months ended June 30, 2014:

 

 

 

 

Dividend
Declaration Date

 

Dividend
per Share

 

Date of Record for
Dividend Payment

 

Dividend Cash
Payment Date

Fiscal year 2014:

 

May 1, 2014

 

$

0.09

 

June 13, 2014

 

June 27, 2014

 

 

March 7, 2014

 

$

0.09

 

March 18, 2014

 

March 28, 2014

 

 

 

Dividend equivalents equal to the dividends payable on the same number of shares of our common stock were accrued on unvested restricted stock awards. No dividend equivalents are paid on any unvested restricted stock awards that are forfeited prior to the vesting date. Dividend equivalents are paid out in cash at the vesting date on restricted stock awards. A non-cash accrual of $0.2 million for unpaid dividend equivalents for unvested restricted stock awards was included in the accompanying consolidated balance sheet as of June 30, 2014. In addition, accumulated dividend equivalents of less than $0.1 million were paid upon the vesting and release of 86,934 restricted stock awards during the six months ended June 30, 2014.

 

Stock Repurchase Program:  In May 2012, our Board of Directors authorized a program to repurchase up to two million shares of our common stock until the earlier of June 30, 2014 or a determination by the Board of Directors to discontinue the repurchase program.  We repurchased 421,731 shares of common stock during the year ended December 31, 2012 for $6.8 million under the repurchase program.  During the three and six months ended June 30, 2014 and 2013, we did not repurchase any shares of common stock.  As of the date of this report, the Board of Directors has not extended this program.

 

Foreign Currency Translation:  Foreign assets and liabilities are translated using the exchange rate in effect at the balance sheet date, and results of operations are translated using an average rate during the period. Translation adjustments are accumulated and reported as a component of accumulated other comprehensive income. We had foreign currency translation adjustments resulting in less than $0.4 million and $0.1 million of unrealized loss for the six months ended June 30, 2014 and 2013, respectively. Our foreign earnings are considered permanently reinvested and, therefore, we do not have any corresponding deferred taxes for our unremitted earnings.

 

Stock-Based Compensation: During the six months ended June 30, 2014, we vested 66,167 shares of stock-based compensation to employees and recorded a $0.5 million non-cash accrual related to the payment of statutory taxes due on the awards that was paid as of June 30, 2014.

 

We granted 110,903 shares of restricted stock awards subject only to service conditions to employees and directors during the six months ended June 30, 2014 at a weighted-average fair value price per share of $19.66.  These service-based restricted stock awards will vest ratably over one, three or four years.

 

We also granted 90,623 restricted stock awards subject to performance conditions during the six months ended June 30, 2014 at a weighted-average fair value price per share of $19.89.  Of these, 10,000 performance-based restricted stock awards will vest at the end of a one-year performance period subject to meeting or exceeding a $30.0 million EBITDA target.  The remaining 80,623 performance-based restricted stock awards will cliff vest at the end of a three-year performance period subject to multiple target levels of operating margin. If the minimum target set in the agreement is not met, none of the shares would vest and no compensation expense would be recognized and any previously recognized compensation expense would be reversed. The actual number of shares that will ultimately vest is dependent on achieving fixed thresholds between the minimum and maximum performance condition and ranges between 0% and 200% the number of units originally granted. We recognize stock-based compensation expense related to performance awards based upon our determination of the potential likelihood of achievement of the performance target at each reporting date, net of estimated forfeitures.

 

We also granted 80,624 market-based restricted stock awards during the six months ended June 30, 2014 which, in addition to being subject to continuing employment requirements are subject to a market condition in the form of a total shareholder return (“TSR”) modifier. The actual number of shares that cliff vest at the end of the three-year vesting period is determined based on our TSR relative to the Russell 2000 over the related three-year performance period. Depending on the level of achievement, the actual number of shares that vest may range from 0% to 200% of the awards originally granted.

 

We estimate the fair value of our market-based restricted stock awards on the date of grant using a Monte Carlo simulation valuation model. This pricing model uses multiple simulations to evaluate our probability of achieving various stock price levels to determine our expected TSR performance ranking. Expense is only recorded for the number of market-based restricted stock awards granted, net of estimated forfeitures. The assumptions used to estimate the fair value of market-based restricted stock awards granted during the six months ended June 30, 2014 were as follows:

 

 

 

 

 

Six Months Ended

 

 

 

 

 

June 30,

 

 

 

 

 

2014

 

Expected term (years) 

 

 

 

2.75

 

Expected volatility 

 

 

 

34.7%

 

Expected dividend yield 

 

 

 

0.0%

 

Risk-free interest rate 

 

 

 

0.79%

 

Weighted-average grant date fair value

 

 

 

$

  25.71

 

XML 57 R13.htm IDEA: XBRL DOCUMENT v2.4.0.8
DEBT
6 Months Ended
Jun. 30, 2014
DEBT  
DEBT

NOTE 6—DEBT

 

Revolving Credit Facility.  As of June 30, 2014, we had $31.0 million outstanding under our Revolving Credit Facility and we were in compliance with all financial and other covenants under the Revolving Credit Facility.  During the six months ended June 30, 2014, we borrowed $30.0 million on our Revolving Credit and we repaid $22.0 million.  The weighted average interest rates on borrowings were 1.49%.

 

The Revolving Credit Facility allows for borrowings up to $150.0 million, subject to outstanding standby letters of credit and other restrictions.  The facility has a $75.0 million revolving letter of credit facility and provides access to multi-currency funds.  The Revolving Credit Facility has a maturity date of February 21, 2017.

 

We are subject to interest rate changes on our LIBOR-based variable interest rate under our Revolving Credit Facility.  As of June 30, 2014, a maximum of $107.2 million was available under our Revolving Credit Facility.  Our ability to borrow this maximum amount is governed by a number of provisions of our Revolving Credit Facility, some of which have the effect of limiting the amount that we can borrow based upon such factors as the Company’s compliance with certain leverage ratios and other financial covenants or the use of the proceeds of the relevant drawdown, in each case as of a particular date or time.  In practice, these provisions of our Revolving Credit Facility mean that we may not be permitted to borrow the full $150.0 million of our Revolving Credit Facility and the amount we are allowed to borrow under our Revolving Credit Facility will likely be materially less than the difference between our actual borrowings and $150.0 million for the foreseeable future.  As of June 30, 2014, we pay an unused line fee of 0.20% pursuant to the terms of our Revolving Credit Facility.

 

Letters of Credit and Bonds.  In line with industry practice, we are often required to provide letters of credit, surety and performance bonds to customers.  These letters of credit and bonds provide credit support and security for the customer if we fail to perform our obligations under the applicable contract with such customer.

 

The interest rate on letters of credit issued under the Revolving Credit Facility letter of credit was 1.25% per annum as of June 30, 2014.  Should we need to borrow additional amounts against the Revolving Credit Facility, we would incur an interest rate of LIBOR or a specified base rate, plus in each case, an additional margin based on our consolidated leverage ratio.  The Revolving Credit Facility includes additional margin ranges on base rate loans between 0.25% and 1.25% and between 1.25% and 2.25% on LIBOR-based loans.

 

As of June 30, 2014, our outstanding stand-by letters of credit totaled approximately $11.8 million for our U.S. entities and $11.1 million for non-U.S. entities.  Currently there are no amounts drawn upon these letters of credit.  In addition, as of June 30, 2014, we had outstanding surety bonds on projects of approximately $24.7 million.

 

Deferred Financing Costs.  As of June 30, 2014, we had unamortized deferred financing fees on our Revolving Credit Facility of $0.6 million and interest expense associated with the amortization of $0.1 million for the six months ending June 30, 2014 and $0.1 million for the six months ended June 30, 2013.

XML 58 R14.htm IDEA: XBRL DOCUMENT v2.4.0.8
COMMITMENTS AND CONTINGENCIES
6 Months Ended
Jun. 30, 2014
COMMITMENTS AND CONTINGENCIES.  
COMMITMENTS AND CONTINGENCIES

NOTE 7—COMMITMENTS AND CONTINGENCIES

 

Litigation and Claims: We are from time to time party to various lawsuits, claims and other proceedings that arise in the ordinary course of our business. With respect to all such lawsuits, claims and proceedings, we record a reserve when it is probable that a liability has been incurred and the amount of loss can be reasonably estimated. We do not believe that the resolution of any currently pending lawsuits, claims and proceedings, either individually or in the aggregate, will have a material adverse effect on our financial position, results of operations or liquidity. However, the outcomes of any currently pending lawsuits, claims and proceedings cannot be predicted, and therefore, there can be no assurance that this will be the case.

 

Deltak Claims: By purchase agreement dated August 5, 2011, referred to as the 2011 Purchase Agreement, we sold substantially all of the assets of our Deltak business unit to Hamon Acquisitions, Inc. (n/k/a Hamon Deltak, Inc.) (an indirect wholly owned subsidiary of Hamon & Compagnie International SA) (the “Buyer”). Under the 2011 Purchase Agreement, we retained certain liabilities relating to the assets sold to the Buyer. The 2011 Purchase Agreement established escrow accounts totaling $7.0 million set aside for contingencies, of which $6.2 million was initially subject to a five year escrow term and $0.8 million was subject to scheduled releases.  We previously recorded $3.1 million in short-term restricted cash and $3.8 million, which was subject to a five year escrow term, was previously recorded in other long-term assets.   During 2013, we received two claims for indemnification from the Buyer in connection with the activities of our Deltak business unit.  Under the terms of the settlement agreement, $0.1 million of the remaining escrow was classified as short-term restricted cash as of December 31, 2013.  On February 4, 2014, less than $0.1 million of the purchase price held in escrow related to the sale of the assets of Deltak was released to Global Power.

 

Asbestos Cases: A former operating unit of Global Power has been named as a defendant in a limited number of asbestos personal injury lawsuits. Neither we nor our predecessors ever mined, manufactured, produced or distributed asbestos fiber, the material that allegedly caused the injury underlying these actions. The bankruptcy court’s discharge order issued upon emergence from bankruptcy extinguished the claims made by all plaintiffs who had filed asbestos claims against us before that time. We also believe the bankruptcy court’s discharge order should serve as a bar against any later claim filed against us, including any of our subsidiaries, based on alleged injury from asbestos at any time before emergence from bankruptcy. In any event in all of the asbestos cases finalized post-bankruptcy, we have been successful in having such cases dismissed without liability. Moreover, during 2012, we secured insurance coverage that will help to reimburse the defense costs and potential indemnity obligations of our former operating unit relating to these claims. We intend to vigorously defend all currently active actions, just as we defended the other actions that have since been dismissed, all without liability, and we do not anticipate that any of these actions will have a material adverse effect on our financial position, results of operations or liquidity. However, the outcomes of any legal action cannot be predicted and, therefore, there can be no assurance that this will be the case.

 

Contingencies: On June 28, 2013, we announced a change in senior leadership in our Nuclear and Energy Services segments.  We subsequently filed a Form 8-K disclosing anticipated separation costs of approximately $0.5 million pursuant to a Separation Agreement relating to this change in leadership. On July 17, 2013, we rescinded the Separation Agreement and therefore have not accrued any of the previously disclosed separation costs in the consolidated balance sheet and statement of operations as of June 30, 2014 and December 31, 2013.

XML 59 R16.htm IDEA: XBRL DOCUMENT v2.4.0.8
OTHER SUPPLEMENTAL INFORMATION
6 Months Ended
Jun. 30, 2014
OTHER SUPPLEMENTAL INFORMATION  
OTHER SUPPLEMENTAL INFORMATION

NOTE 9—OTHER SUPPLEMENTAL INFORMATION

 

Other current assets consist of the following:

 

 

 

 

June 30,

 

December 31,

 

($ in thousands)

 

2014

 

2013

 

 Prepaid expenses

 

$

  3,618

 

$

  2,735

 

 VAT receivable

 

3,487

 

3,216

 

 Prepaid taxes

 

677

 

872

 

 Other Receivables

 

 

55

 

 Other

 

693

 

1,337

 

Total 

 

$

  8,475

 

$

  8,215

 

 

 

Other long-term assets consist of the following:

 

 

 

 

June 30,

 

December 31,

 

($ in thousands)

 

2014

 

2013

 

 Debt issuance costs, net

 

$

  629

 

$

  751

 

 Other

 

351

 

507

 

Total 

 

$

  980

 

$

  1,258

 

 

Other current liabilities consist of the following:

 

 

 

 

June 30,

 

December 31,

 

($ in thousands)

 

2014

 

2013

 

 Accrued workers compensation

 

$

1,451

 

$

1,659

 

 Accrued taxes

 

1,092

 

1,524

 

 Accrued contract obligation

 

801

 

1,030

 

 Accrued job reserves

 

622

 

1,387

 

 Accrued legal and professional fees

 

537

 

1,036

 

 Other

 

2,349

 

1,847

 

Total 

 

$

6,852

 

$

8,483

 

 

Other long-term liabilities consist of the following:

 

 

 

 

June 30,

 

December 31,

 

($ in thousands)

 

2014

 

2013

 

 Uncertain tax liabilities

 

$

5,151

 

$

5,054

 

 Other

 

799

 

790

 

Total 

 

$

5,950

 

$

5,844

 

 

 

Supplemental cash flow disclosures are as follows:

 

 

 

 

Six Months Ended June 30,

 

 

2014

 

2013

 SUPPLEMENTAL DISCLOSURES OF CASH FLOW INFORMATION:

 

 

 

 

Cash paid for the period for:

 

 

 

 

Interest 

 

$

313

 

$

233

Income taxes 

 

$

217

 

$

2,470

 

 

 

 

 

Net effect of changes in operating activities

 

 

 

 

Decrease in accounts receivable

 

$

19,722

 

$

37,711

Increase in inventories

 

(1,980)

 

(581)

(Increase) decrease in costs and estimated earnings in excess of billings 

 

(19,691)

 

3,576

Increase in other current assets 

 

(261)

 

(948)

Decrease (increase) in other assets 

 

157

 

(190)

Decrease in accounts payable 

 

(2,431)

 

(8,423)

Decrease in accrued and other liabilities 

 

(247)

 

(819)

(Decrease) increase in accrued warranties

 

(1,578)

 

50

Decrease in billings in excess of costs and estimated earnings 

 

(1,434)

 

(6,506)

Changes in operating assets and liabilities

 

$

(7,743)

 

$

23,870

XML 60 R34.htm IDEA: XBRL DOCUMENT v2.4.0.8
EARNINGS PER SHARE (Details 2)
3 Months Ended 6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Jun. 30, 2014
Jun. 30, 2013
EARNINGS PER SHARE        
Outstanding stock equivalents excluded from diluted earnings per share calculations 145,525 179,609 116,655 262,404
Unvested performance-based restricted stock awards excluded from calculation of basic and diluted earnings per common share 317,303 273,959 317,303 273,959
XML 61 R51.htm IDEA: XBRL DOCUMENT v2.4.0.8
SEGMENT INFORMATION (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Jun. 30, 2014
segment
item
Jun. 30, 2013
SEGMENT INFORMATION        
Number of reportable segments     3  
Segment reporting disclosures        
Number of product categories included in the segment     2  
Revenues: $ 114,739 $ 115,965 $ 219,621 $ 232,675
Depreciation and Amortization: 2,516 1,850 5,257 3,281
Operating Income (Loss): 1,468 1,970 2,055 86
Cost of Sales
       
Segment reporting disclosures        
Depreciation and Amortization: 400 300 800 600
Product Solutions Segment
       
Segment reporting disclosures        
Number of product categories included in the segment     2  
Revenues: 59,171 35,930 98,102 74,824
Depreciation and Amortization: 1,684 1,284 3,340 2,508
Operating Income (Loss): 1,799 1,125 2,782 (2,269)
Nuclear Services Segment
       
Segment reporting disclosures        
Revenues: 41,430 66,435 98,492 131,448
Depreciation and Amortization: 175 192 389 389
Operating Income (Loss): 343 2,786 1,738 4,061
Energy Services Segment
       
Segment reporting disclosures        
Revenues: 14,138 13,600 23,027 26,403
Depreciation and Amortization: 657 374 1,528 384
Operating Income (Loss): $ (674) $ (1,941) $ (2,465) $ (1,706)
XML 62 R21.htm IDEA: XBRL DOCUMENT v2.4.0.8
BUSINESS AND ORGANIZATION (Tables)
6 Months Ended
Jun. 30, 2014
BUSINESS AND ORGANIZATION  
Reporting periods and applicable reports

 

 

Fiscal Period

 

Reporting Period

 

Report to be Filed

First quarter of fiscal 2014

 

January 1, 2014 to March 30, 2014

 

Quarterly Report on Form 10-Q

Second quarter of fiscal 2014

 

March 31, 2014 to June 29, 2014

 

Quarterly Report on Form 10-Q

Third quarter of fiscal 2014

 

June 30, 2014 to September 28, 2014

 

Quarterly Report on Form 10-Q

Fourth quarter of fiscal 2014

 

September 29, 2014 to December 31, 2014

 

Annual Report on Form 10-K

Acquisitions completed

 

Business Acquired

 

Date of Closing

 

Net Assets 
Acquired 
(in millions)

 

Primary Form of 
Consideration

IBI, LLC

 

July 9, 2013

 

$

18.6

 

Cash

Hetsco Holdings, Inc.

 

April 30, 2013

 

$

32.4

 

Cash

XML 63 R26.htm IDEA: XBRL DOCUMENT v2.4.0.8
OTHER SUPPLEMENTAL INFORMATION (Tables)
6 Months Ended
Jun. 30, 2014
OTHER SUPPLEMENTAL INFORMATION  
Schedule of other current assets

 

 

 

 

 

June 30,

 

December 31,

 

($ in thousands)

 

2014

 

2013

 

 Prepaid expenses

 

$

  3,618

 

$

  2,735

 

 VAT receivable

 

3,487

 

3,216

 

 Prepaid taxes

 

677

 

872

 

 Other Receivables

 

 

55

 

 Other

 

693

 

1,337

 

Total 

 

$

  8,475

 

$

  8,215

 

Schedule of other long-term assets

 

 

 

 

 

June 30,

 

December 31,

 

($ in thousands)

 

2014

 

2013

 

 Debt issuance costs, net

 

$

  629

 

$

  751

 

 Other

 

351

 

507

 

Total 

 

$

  980

 

$

  1,258

 

Schedule of other current liabilities

 

 

 

 

 

June 30,

 

December 31,

 

($ in thousands)

 

2014

 

2013

 

 Accrued workers compensation

 

$

1,451

 

$

1,659

 

 Accrued taxes

 

1,092

 

1,524

 

 Accrued contract obligation

 

801

 

1,030

 

 Accrued job reserves

 

622

 

1,387

 

 Accrued legal and professional fees

 

537

 

1,036

 

 Other

 

2,349

 

1,847

 

Total 

 

$

6,852

 

$

8,483

 

Schedule of other long-term liabilities

 

 

 

 

 

June 30,

 

December 31,

 

($ in thousands)

 

2014

 

2013

 

 Uncertain tax liabilities

 

$

5,151

 

$

5,054

 

 Other

 

799

 

790

 

Total 

 

$

5,950

 

$

5,844

 

Schedule of supplemental cash flow disclosures

 

 

 

 

Six Months Ended June 30,

 

 

2014

 

2013

 SUPPLEMENTAL DISCLOSURES OF CASH FLOW INFORMATION:

 

 

 

 

Cash paid for the period for:

 

 

 

 

Interest 

 

$

313

 

$

233

Income taxes 

 

$

217

 

$

2,470

 

 

 

 

 

Net effect of changes in operating activities

 

 

 

 

Decrease in accounts receivable

 

$

19,722

 

$

37,711

Increase in inventories

 

(1,980)

 

(581)

(Increase) decrease in costs and estimated earnings in excess of billings 

 

(19,691)

 

3,576

Increase in other current assets 

 

(261)

 

(948)

Decrease (increase) in other assets 

 

157

 

(190)

Decrease in accounts payable 

 

(2,431)

 

(8,423)

Decrease in accrued and other liabilities 

 

(247)

 

(819)

(Decrease) increase in accrued warranties

 

(1,578)

 

50

Decrease in billings in excess of costs and estimated earnings 

 

(1,434)

 

(6,506)

Changes in operating assets and liabilities

 

$

(7,743)

 

$

23,870

XML 64 R49.htm IDEA: XBRL DOCUMENT v2.4.0.8
MAJOR CUSTOMERS AND CONCENTRATION OF CREDIT RISK (Details) (Accounts receivable)
6 Months Ended 12 Months Ended
Jun. 30, 2014
Dec. 31, 2013
Siemens Energy Inc
   
Concentration Risk    
Concentration risk percentage 15.00% 21.00%
General Electric Company
   
Concentration Risk    
Concentration risk percentage 14.00% 25.00%
XML 65 R41.htm IDEA: XBRL DOCUMENT v2.4.0.8
STOCKHOLDERS' EQUITY (Details) (USD $)
0 Months Ended 6 Months Ended 0 Months Ended 6 Months Ended
Mar. 07, 2014
Dividend declared March 7, 2014
Jun. 30, 2014
Dividend declared March 7, 2014
May 01, 2014
Dividend declared May 1, 2014
Jun. 30, 2014
Dividend declared May 1, 2014
Dividend Declaration        
Dividend Declaration Date   Mar. 07, 2014   May 01, 2014
Dividend per Share (in dollars per share) $ 0.09   $ 0.09  
Date of Record for Dividend Payment   Mar. 18, 2014   Jun. 13, 2014
Dividend Cash Payment Date   Mar. 28, 2014   Jun. 27, 2014
XML 66 R5.htm IDEA: XBRL DOCUMENT v2.4.0.8
CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME (USD $)
In Thousands, unless otherwise specified
3 Months Ended 6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Jun. 30, 2014
Jun. 30, 2013
CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME        
Net income (loss) $ 774 $ 741 $ 695 $ (500)
Foreign currency translation adjustment (346) 825 (434) 19
Comprehensive income (loss) $ 428 $ 1,566 $ 261 $ (481)
XML 67 R10.htm IDEA: XBRL DOCUMENT v2.4.0.8
ACQUISITIONS
6 Months Ended
Jun. 30, 2014
ACQUISITIONS  
ACQUISITIONS

NOTE 3—ACQUISITIONS

 

During 2013, we acquired 100% equity in two businesses, which included one products company and one industrial gas services company, both based in the U.S. These acquisitions allow us to expand our products and service offerings internationally and in the U.S.  A summary of the acquisitions is as follows:

 

Business Acquired

 

Date of Closing

 

Net Assets
Acquired

(in millions)

 

Segment

 

Primary Form of
Consideration

 

IBI, LLC

 

July 9, 2013

 

$

18.6

 

Product Solutions

 

Cash

 

Hetsco Holdings, Inc.

 

April 30, 2013

 

$

32.4

 

Energy Services

 

Cash

 

 

Each of the acquired businesses has been included in our results of operations since the date of closing. Due to the timing of each acquisition and related operating results, our 2014 and 2013 operating results are not entirely comparable.

 

On July 9, 2013, we acquired IBI Power, a leading manufacturer of custom power packaging and integration solutions, including control house systems, generator enclosures and industrial tanks. The aggregate consideration paid consisted of $18.6 million in cash, after final working capital adjustments and other adjustments of which $0.7 million was paid in January, 2014.  IBI merged with and into Koontz-Wagner and its financial results are included in our Product Solutions segment since the acquisition date.

 

On April 30, 2013, we acquired Hetsco, a global provider of mission critical brazed aluminum heat exchanger repair, maintenance and safety services to the industrial gas, liquefied natural gas and petrochemical industries. The aggregate acquisition price consisted of $32.4 million in cash, after final working capital adjustments. The financial results of the Hetsco acquisition have been included in our Energy Services segment since the acquisition date.

 

We funded the purchase of the IBI Power and Hetsco acquisitions (together, the “2013 Acquisitions”) through a combination of cash on hand and draws on our $150.0 million credit facility (as amended or supplemented from time to time, the “Revolving Credit Facility”).

 

The following table summarizes the consideration paid for the 2013 Acquisitions and presents an allocation of these amounts to the net tangible and identifiable intangible assets based on the estimated fair values as of the respective acquisition dates.

 

 

 

 

2013 Acquisition Activity

 

 

Hetsco Inc.

 

IBI Power

 

Total

 

 

 

 

 

 

 

Current assets

 

$

 7,733

 

$

 8,304

 

$

 16,037

Property, plant and equipment

 

867

 

2,822

 

3,689

Identifiable intangible assets

 

22,800

 

9,300

 

32,100

Goodwill

 

12,997

 

4,542

 

17,539

Total assets acquired

 

44,397

 

24,968

 

69,365

Current liabilities

 

(2,265)

 

(6,327)

 

(8,592)

Long-term deferred tax liability

 

(8,645)

 

 

(8,645)

Other long-term liabilities

 

(1,089)

 

 

(1,089)

Net assets acquired

 

$

 32,398

 

$

 18,641

 

$

 51,039

 

 

The purchase price was preliminarily allocated based on estimated fair values as of each acquisition date.  These allocations require the significant use of estimates and are based on the information that was available to management at the time these consolidated financial statements were prepared.  The estimated fair values and useful lives acquired have been supported by third party valuation.  The IBI fair values remain subject to potential adjustments including, but not limited to, assessment of income tax related assets and liabilities.

 

Acquired intangible assets in 2013 of $32.1 million consisted of customer relationships, trade names and noncompete agreements. The amortization period for these intangible assets, except trade names which are indefinite, ranges from five to seven years. We recorded $1.8 million of amortization expense related to these intangible assets during the six months ended June 30, 2014.  The major classes of intangible assets are as follows:

 

 

 

Weighted Average

 

 

 

($ in thousands)

 

Amortization Years

 

At Date of
Acquisition

 

 Customer Relationships

 

7

 

$

19,200

 

 Trade Names

 

Indefinite

 

11,000

 

 Noncompetes

 

5

 

1,900

 

 

 

 

 

$

32,100

 

 

 

 

The estimated future aggregate amortization expense of intangible assets from the 2013 Acquisitions as of June 30, 2014 is set forth below:

 

 

($ in thousands)

 

 

 

 

 

 

 

For the Fiscal Year Ending December 31 --

 

 

 

 2014 (remainder of year)

 

$

1,033

 

 2015

 

3,123

 

 2016

 

3,123

 

 2017

 

3,123

 

 2018

 

2,894

 

 Thereafter

 

3,814

 

 Total

 

$

17,110

 

 

 

 

The goodwill associated with the IBI Power acquisition is deductible for tax purposes whereas the goodwill associated with the Hetsco acquisition is not deductible for tax purposes.

 

The following unaudited pro forma information has been provided for illustrative purposes only and is not necessarily indicative of results if the 2013 Acquisitions of IBI Power and Hetsco occurred on January 1, 2012, nor are they necessarily indicative of future results.

 

 

 

 

Three months ended June 30,

 

Six months ended June 30,

 

 

 

(unaudited)

 

(unaudited)

 

($ in thousands, except per share data)

 

2014

 

2013

 

2014

 

2013

 

 Consolidated revenues

 

$

114,739

 

$

133,417

 

$

219,621

 

$

265,447

 

 Income (loss) from continuing operations before income tax

 

864

 

(1,900)

 

792

 

(592)

 

 Earnings (loss) per share from continuing operations:

 

 

 

 

 

 

 

 

 

Basic

 

$

0.06

 

$

(0.11)

 

$

0.05

 

$

(0.04)

 

Diluted

 

$

0.06

 

$

(0.11)

 

$

0.05

 

$

(0.04)

 

 

 

The unaudited pro forma consolidated results during the three and six months ended June 30, 2014 and 2013 have been prepared by adjusting our historical results to include the 2013 Acquisitions as if they occurred on January 1, 2012. These unaudited pro forma consolidated historical results were then adjusted for the following:

 

·         a net increase in interest expense during the three and six months ended June 30, 2013;

·         an increase in amortization expense due to the incremental intangible assets recorded related to the 2013 Acquisitions;

·         a change in depreciation expense relating to the net impact of adjusting acquired property and equipment to the acquisition date fair values;

·         adjustments to reflect the impact of transaction costs related to the acquisition of IBI Power and Hetsco of $0.3 million in the three months ended June 30, 2013 and $1.0 million in the six months ended June 30, 2013;

·         adjustments to tax effect the pro forma results of the acquisition of IBI Power and Hetsco at Global Power’s estimated domestic statutory tax rate of 39% for all periods and

·         a net increase in stock compensation expense associated with restricted stock granted as a part of the Hetsco acquisition offset by a reduction in stock compensation expense resulting from the cancellation of Hetsco’s previous stock grants.

 

 

The unaudited pro forma results do not include any adjustments to eliminate the impact of cost savings or other synergies that may have resulted from the 2013 Acquisitions. As noted above, the unaudited pro forma results of operations do not purport to be indicative of the actual results that would have been achieved by the combined company for the periods presented or that may be achieved by the combined company in the future.

XML 68 R27.htm IDEA: XBRL DOCUMENT v2.4.0.8
MAJOR CUSTOMERS AND CONCENTRATION OF CREDIT RISK (Tables)
6 Months Ended
Jun. 30, 2014
Accounts receivable
 
Major customers and concentration of credit risk  
Schedule of customers as a percentage of consolidated amounts

 

 

 

 

As of

 

As of

 

 

 

 

 

 

 

 

 

June 30,

 

December 31,

 

 

 

 

 

 

 

Customer

 

2014

 

2013

 

Siemens Energy, Inc.

 

15%

 

21%

 

General Electric Company

 

14%

 

25%

 

Revenue
 
Major customers and concentration of credit risk  
Schedule of customers as a percentage of consolidated amounts

 

 

 

 

Three Months Ended June 30,

 

Six Months Ended June 30,

 

Customer

 

2014

 

2013

 

2014

 

2013

 

Southern Nuclear Operating Company

 

10%

 

13%

 

19%

 

21%

 

Siemens Energy, Inc.

 

13%

 

*     

 

*     

 

12%

 

Tennessee Valley Authority

 

17%

 

14%

 

17%

 

14%

 

General Electric Company

 

12%

 

18%

 

13%

 

14%

 

Energy Northwest

 

*     

 

18%

 

*     

 

10%

 

All others

 

48%

 

37%

 

51%

 

29%

 

Total

 

100%

 

100%

 

100%

 

100%

 

 

 

*         Less than 10% of revenue included in “All others”

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DEBT (Details) (USD $)
6 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Dec. 31, 2013
Credit Facilities      
Repayment of revolving credit facility $ 22,000,000 $ 10,000,000  
Amount of interest expense associated with amortization of deferred financing costs 100,000 100,000  
Unamortized deferred financing fees 629,000   751,000
Revolving Credit Facility
     
Credit Facilities      
Credit Facility, Maximum Borrowing Capacity 150,000,000    
Outstanding borrowings 31,000,000    
Borrowed amount 30,000,000    
Repayment of revolving credit facility 22,000,000    
Weighted-average interest rate on Revolving Credit Facility borrowings 1.49%    
Unused line fee (as a percent) 0.20%    
Unamortized deferred financing fees 600,000    
Revolving Credit Facility | Maximum
     
Credit Facilities      
Amount available under revolving credit facility 107,200,000    
Revolving Credit Facility | Base Rate loans
     
Credit Facilities      
Variable interest rate basis Base Rate    
Revolving Credit Facility | Base Rate loans | Minimum
     
Credit Facilities      
Interest rate percentage 0.25%    
Revolving Credit Facility | Base Rate loans | Maximum
     
Credit Facilities      
Interest rate percentage 1.25%    
Revolving Credit Facility | LIBOR-based loans
     
Credit Facilities      
Variable interest rate basis LIBOR    
Revolving Credit Facility | LIBOR-based loans | Minimum
     
Credit Facilities      
Interest rate percentage 1.25%    
Revolving Credit Facility | LIBOR-based loans | Maximum
     
Credit Facilities      
Interest rate percentage 2.25%    
Letters of credit
     
Credit Facilities      
Credit Facility, Maximum Borrowing Capacity 75,000,000    
Interest rate on letters of credit issued under the revolving letter of credit sublimit 1.25%    
Stand-by letters of credit | U.S.
     
Credit Facilities      
Outstanding letter of credit 11,800,000    
Amounts drawn upon letters of credit 0    
Stand-by letters of credit | Non-U.S. entities
     
Credit Facilities      
Outstanding letter of credit 11,100,000    
Amounts drawn upon letters of credit 0    
Surety bonds
     
Credit Facilities      
Borrowed amount $ 24,700,000    

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SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES (Policies)
6 Months Ended
Jun. 30, 2014
SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES  
Basis of Presentation

Basis of Presentation: These unaudited condensed consolidated financial statements have been prepared by us in accordance with accounting principles generally accepted in the U.S.  The information in the condensed consolidated financial statements, in the opinion of management, includes normal recurring adjustments and reflects all adjustments that are necessary for a fair presentation of such financial statements.  We believe that the disclosures presented are adequate to represent materially correct interim financial statements.  These condensed consolidated financial statements should be read in conjunction with our audited consolidated financial statements and related notes for the year ended December 31, 2013 included in our Annual Report on Form 10-K filed with the U.S. Securities and Exchange Commission on March 17, 2014.

Principles of Consolidation

Principles of Consolidation: The accompanying consolidated financial statements include the accounts of Global Power and its wholly owned subsidiaries. All intercompany accounts and transactions have been eliminated in consolidation.

Use of Estimates

Use of Estimates: The preparation of financial statements in conformity with U.S. Generally Accepted Accounting Principles (“GAAP”) requires management to make estimates and assumptions that affect the amounts reported in the financial statements and accompanying footnotes. Actual results could vary materially from those estimates.

Reclassifications

Reclassifications: Certain reclassifications have been made to prior years’ consolidated balances to conform with the current year presentation.

Discontinued Operations Presentation

Discontinued Operations Presentation: In August 2011, we completed the sale of substantially all of the operating assets of our Deltak L.L.C. (“Deltak”) business unit. Discontinued operations are presented net of tax. The following notes relate to our continuing operations only, unless otherwise noted.

Dollar Amounts

Dollar Amounts: All dollar amounts (except share and per share amounts) presented in the tabulations within the notes to our consolidated financial statements are stated in thousands of dollars, unless otherwise noted.

Long-Lived Assets

Long-Lived Assets: Long-lived assets, such as property, plant, and equipment, and purchased intangible assets subject to amortization, are reviewed for impairment whenever events or changes in circumstances indicate that the carrying amount of an asset may not be recoverable. If circumstances require a long-lived asset to be tested for possible impairment, we first compare undiscounted cash flows expected to be generated by an asset to the carrying value of the asset. If the carrying value of the long-lived asset is not recoverable on an undiscounted cash flow basis, impairment is recognized to the extent that the carrying value exceeds its fair value. Fair value is determined through various valuation techniques including discounted cash flow models, quoted market values and third-party independent appraisals, as considered necessary. We group long-lived assets by legal entity for purposes of recognition and measurement of an impairment loss as this is the lowest level for which cash flows are independent.

Goodwill and Other Intangible Assets

Goodwill and Other Intangible Assets:   Goodwill is not amortized to expense, but rather, we test goodwill for impairment annually and more frequently if circumstances warrant. Impairment write-downs are charged to results of operations in the period in which the impairment is determined.

 

During the three months ended September 30, 2013, we changed our annual impairment testing date from December 31 to the first day of the fourth quarter, which we label as October 1.

 

In 2012, the Financial Accounting Standards Board (“FASB”) issued Accounting Standards Update (“ASU”) 2012-02, “Intangibles—Goodwill and Other (Topic 350): Testing Indefinite-Lived Intangible Assets for Impairment,” which provides entities with the option to assess qualitative factors to determine whether the existence of events and circumstances indicates that it is more likely than not that the indefinite-lived intangible asset is impaired. The Company elected to bypass the qualitative assessment option and continue performing the first step of the goodwill impairment test.

 

In connection with our reportable segments, we also assess our reporting units that are operating segments or one level below the operating segment for impairment testing. We consider the management of operating activities, discrete financial information, similarities of economic characteristics, and the nature of the products, production processes, customers, distribution and regulatory environments. For impairment testing of goodwill and other indefinite-lived assets we test TOG as a separate reporting unit from Product Solutions with the remainder tested as the Auxiliary Products and Electrical Solutions product lines.  We test Hetsco as a separate reporting unit from Energy Solutions with the remainder tested as the Industrial Solutions reporting unit, and we test the Nuclear Solutions segment as a reporting unit.

 

We did not identify any impairment of our recorded goodwill from our most recent annual testing, which was performed as of October 1, 2013. If certain events occur which might indicate goodwill has been impaired, the goodwill is tested for impairment when such events occur. We have not identified any such events and, accordingly, have not tested goodwill for impairment during the six months ended June 30, 2014.

Adoption of New Accounting Pronouncements

Adoption of New Accounting Pronouncements:

 

In March 2014, the FASB issued ASU Update 2014-06 “Technical Corrections and Improvements Related to Glossary Terms” (the “Update”). The amendments in the Update relate to glossary terms and cover a wide range of Topics in the Codification.  These amendments are presented in four sections – Deletion of Master Glossary Terms (Section A), Addition of Master Glossary Term Links (Section B), Duplicate Master Glossary Terms (Section C), and Other Technical Corrections Related to Glossary Terms (Section D).  The amendments in this Update represent changes to clarify the Master Glossary of the Codification, or make improvements to the Master Glossary that are not expected to result in substantive changes to the application of existing guidance or create a significant administrative cost to most entities.  Additionally, the amendments will make the Master Glossary easier to understand, as well as reduce the number of terms that appear in the Master Glossary.  The amendments resulting from this Update do not have transition guidance and will be effective upon issuance for both public and private companies.  The immediate adoption of this standard in March 2014 did not have an impact on our consolidated financial statements, and there was no material impact to our financial statement disclosures.

 

In May 2014, the FASB issued ASU 2014-09 “Revenue from Contracts with Customers” (“ASU 2014-09”).  ASU 2014-09 takes effect in 2017 and establishes a comprehensive revenue recognition standard for virtually all industries in U.S. GAAP, including those that previously followed industry-specific guidance such as the real estate, construction and software industries.  The revenue standard’s core principle is built on the contract between a vendor and a customer for the provision of goods and services.  It attempts to depict the exchange of rights and obligations between the parties in the pattern of revenue recognition based on the consideration to which the vendor is entitled.  To accomplish this objective, the standard requires five basic steps:  (i)  identify the contract with the customer, (ii)  identify the performance obligations in the contract, (iii)  determine the transaction price, (iv)  allocate the transaction price to the performance obligations in the contract, and (v)  recognize revenue when (or as) the entity satisfies a performance obligation.  There are three basic transition methods available:  full retrospective, retrospective with certain practical expedients, and a cumulative effect approach.  We are currently evaluating the impact on our consolidated financial statements and financial statement disclosures.

 

In June 2014, the FASB issued ASU 2014-12 Accounting for Share-Based Payments When the Terms of an Award Provide That a Performance Target Could be Achieved after the Requisite Service Period” (“ASU 2014-12”).  On June 29, 2014, the FASB issued ASU 2014-12 to clarify that a performance target in a share-based compensation award that could be achieved after an employee completes the requisite service period should be treated as a performance condition that affects the vesting of the award.  As such, the performance target should not be reflected in estimating the grant-date fair value of the award.  The Company has reviewed its accounting of these types of share-based payments and has determined that we are in compliance with the stated guidelines.

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