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FINANCING ARRANGEMENTS AND CONTRACTUAL CASH OBLIGATIONS (Tables)
12 Months Ended
Feb. 28, 2015
FINANCING ARRANGEMENTS AND CONTRACTUAL CASH OBLIGATIONS [Abstract]  
Schedule of Long-term Debt

Long-term debt is comprised of the following (in thousands):

February 28,   February 28,
2015   2014
  Note payable to Navman, net of unamortized discount $ 688     $ 1,858  
  Less portion due within one year   (688 )     (1,156 )
  Long-term debt   $ -     $ 702  
Schedule of Other Non-Current Liabilities

Other non-current liabilities consist of the following (in thousands):

  February 28,   February 28,
  2015   2014
Deferred revenue   $ 1,652   $ 1,977
Acquisition-related contingent consideration   -   1,092
  Deferred compensation     2,246   131
  Deferred rent   329   98
      $ 4,227   $ 3,298
Schedule of Contractual Cash Obligations

Following is a summary of the Company's contractual cash obligations as of February 28, 2015 (in thousands):

  Future Estimated Cash Payments Due by Fiscal Year  
Contractual Obligations   2016   2017   2018   2019   2020   Total
Note payable to Navman   $ 753   $ -   $ -   $ -   $ -   $ 753
Operating leases   1,640   1,732   1,564   1,513   880   7,329
Purchase obligations     44,711   -   -   -   -   44,711
Total contractual obligations   $ 47,104   $ 1,732   $ 1,564   $ 1,513   $ 880   $ 52,793