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OTHER FINANCIAL INFORMATION (Tables)
12 Months Ended
Feb. 28, 2013
OTHER FINANCIAL INFORMATION [Abstract]  
Schedule of Supplemental Cash Flow Information
  Year Ended February 28,
    2013   2012   2011
Interest expense paid   $ 127   $ 756     $ 1,076  
Income tax paid (net refunds received)   $ 156   $ (64 )   $ (803 )
Schedule of Supplemental Non-Cash Investing and Financing Activities
Year Ended
    February 28,
    2013   2012
Acquisition of Navman Wireless product lines on May 7, 2012:            
Non-interest bearing $4,000 promissory note issued            
to Navman Wireless, less discount of $920   $ 3,080   $ -
 
Accrued liability for earn-out consideration payable            
to Navman Wireless   $ 822   $ -
Schedule of Valuation and Qualifying Accounts
      Charged              
    Balance at   (credited)           Balance at
    beginning   to costs and           end of
    of period   expenses   Deductions   period
Allowance for doubtful accounts:                            
Fiscal 2011   $ 413   $ 386     $ (509 )   $ 290
Fiscal 2012   $ 290   $ 114     $ (150 )   $ 254
Fiscal 2013   $ 254   $ 241     $ (34 )   $ 461
 
Warranty reserve:                            
Fiscal 2011   $ 1,231   $ 647     $ (1,178 )   $ 700
Fiscal 2012   $ 700   $ 635     $ (341 )   $ 994
Fiscal 2013   $ 994   $ 910     $ (576 )   $ 1,328
 
Deferred tax assets valuation allowance:                      
Fiscal 2011   $ 41,297   $ 1,652     $ (1,767 )   $ 41,182
Fiscal 2012   $ 41,182   $ 1,816     $ (3,944 )   $ 39,054
Fiscal 2013   $ 39,054   $ (35,095 )   $ -     $ 3,959