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Note 9 - Derivative Financial Instruments (Tables)
9 Months Ended
Mar. 31, 2014
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of Interest Rate Derivatives [Table Text Block]
                      Fair Value  

Effective Date

 

Notional

Amount

   

Fixed Rate

 

Maturity

  March 31, 2014    

June 30,

2013

 

June 1, 2010

  $ 5,000       2.495 %

May 24, 2015

  $ (135 )   $ (205 )

June 1, 2010

    5,000       2.495 %

May 24, 2015

    (135 )     (205 )

June 8, 2010

    10,000       2.395 %

May 26, 2015

    (258 )     (389 )

June 9, 2010

    5,000       2.340 %

May 26, 2015

    (126 )     (190 )

June 18, 2010

    5,000       2.380 %

May 24, 2015

    (129 )     (194 )

September 21, 2011

    5,000       1.280 %

September 21, 2013

    -       (14 )

September 21, 2011

    5,000       1.595 %

September 22, 2014

    (37 )     (83 )

March 15, 2012

    10,000       2.745 %

March 15, 2016

    (465 )     (595 )
                      $ (1,285 )   $ (1,875 )
Schedule of Foreign Exchange Contracts, Statement of Financial Position [Table Text Block]
   

Notional Amount

 
   

(in native currency)

 

Currency

 

March 31, 2014

   

June 30, 2013

 

Euro

    43,094       48,349  

British Pound Sterling

    2,000       2,580  

Canadian Dollar

    3,600       3,600  

United States Dollar

    1,139       -  
Schedule of Derivative Instruments, Effect on Other Comprehensive Income (Loss) [Table Text Block]
 

Assets Derivatives

 
 

March 31, 2014

 

June 30, 2013

 

Derivative designated as

hedging instruments

Balance

Sheet

Line Item

 

Fair Value

 

Balance

Sheet

Line Item

 

Fair Value

 
                 

Foreign exchange contracts

Other Assets

  $ 782  

Other Assets

  $ 37  
 

Liability Derivatives

 
 

March 31, 2014

 

June 30, 2013

 

Derivative designated as

hedging instruments

Balance

Sheet

Line Item

 

Fair Value

 

Balance

Sheet

Line Item

 

Fair Value

 

Interest rate swaps

Accrued Liabilities

  $ 1,285  

Accrued Liabilities

  $ 1,875  

Foreign exchange contracts

Accrued Liabilities

    2,691  

Accrued Liabilities

    1,443  
      $ 3,976       $ 3,318  
Derivative Instruments, Gain (Loss) [Table Text Block]
   

Three Months Ended

   

Nine Months Ended

 
   

March 31,

   

March 31,

 
   

2014

   

2013

   

2014

   

2013

 

Interest rate swaps

  $ (47 )   $ (66 )   $ (167 )   $ (275 )
Reclassification out of Accumulated Other Comprehensive Income [Table Text Block]

Details about Accumulated

                               

Affected line item

Other Comprehensive

 

Three Months Ended

   

Nine Months Ended

 

in the Statements

Income (Loss) Components

 

March 31,

   

March 31,

 

of Operations

   

2014

   

2013

   

2014

   

2013

   

Interest rate swaps

  $ 252     $ 261     $ 774     $ 786  

Interest expense