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Note 11 - Long-Term Debt (Tables)
12 Months Ended
May 31, 2013
Disclosure Text Block [Abstract]  
Schedule of Debt [Table Text Block]
   

As of May 31

 
   

2013

   

2012

 
                 

Term Loan Facility, net of $11,384 and $16,281 debt discounts, respectively (1)

  $ 650,293       595,104  

Notes, net of $4,370 and $4,821 debt discounts, respectively

    395,630       395,179  

Capital lease agreements

    67       -  
      1,045,990       990,283  

Less current portion, net of discounts

    (6,712 )     (3,922 )

Long-term debt, net of current portion

  $ 1,039,278       986,361  
Schedule of Maturities of Long-term Debt [Table Text Block]

For the Year Ended May 31:

       

2014

  $ 8,661  

2015

    6,661  

2016

    6,633  

2017

    6,633  

2018

    6,633  

Thereafter

    1,026,523  
    $ 1,061,744  
Schedule of Interest Expense [Table Text Block]
           

Successor

   

Predecessor

 
   

Year Ended

May 31, 2013

   

August 20, 2011

through

May 31, 2012

   

June 1, 2011

through

August 19, 2011

   

Year Ended

May 31, 2011

 
                                 

Notes, including OID amortization

  $ 44,951       35,058       -       -  

Term Loan Facility, including OID amortization

    38,780       37,108       -       -  

Amortization of deferred financing costs

    5,107       3,705       -       -  

Interest rate swaps

    1,021       751       -       -  

Revolving Facility fees and interest

    855       425       -       -  

Other interest

    116       1       -       70  

Interest expense

  $ 90,830       77,048       -       70