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Acquisitions (Tables)
12 Months Ended
Jun. 30, 2017
Business Combinations [Abstract]  
Schedule Of Consideration And Purchase Price Allocation
The following table summarizes the consideration related to the acquisition and the final purchase price allocation based on the fair value of the net assets acquired, as adjusted for the final net working capital adjustment. The initial fair value of the contingent consideration is a noncash investing activity for the purposes of the Consolidated Statements of Cash Flows.
Consideration
 
Purchase price
$
35,487

Contingent consideration - fair value of earn-out at date of closing
13,872

Fair value of total consideration
$
49,359

 
 
Purchase Price Allocation
 
Trade receivables
$
831

Other receivables
550

Inventories
430

Other current assets
19

Property, plant and equipment
5,083

Goodwill (tax deductible)
24,242

Other intangible assets
18,749

Current liabilities
(545
)
Net assets acquired
$
49,359