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Pensions And Other Postretirement Benefits (Tables)
12 Months Ended
Jun. 30, 2012
Pensions And Other Postretirement Benefits [Abstract]  
Schedule Of Obligations And Funded Status
    June 30,  
    2012     2011  
    (Dollars in thousands)  
Change in benefit obligation:            
Benefit obligation at beginning of year $ 4,768   $ 4,090  
Service cost   13     15  
Interest cost   221     223  
Actuarial (gain) loss   524     (70 )
Foreign currency exchange rate change   (641 )   733  
Benefits paid   (233 )   (223 )
Benefit obligation at end of year $ 4,652   $ 4,768  
Change in plan assets:            
Fair value of plan assets at beginning of year $ 2,587   $ 2,338  
Actual return on plan assets   30     9  
Employer contributions   34     38  
Benefits paid   (217 )   (207 )
Foreign currency exchange rate change   (337 )   409  
Fair value of plan assets at end of year $ 2,097   $ 2,587  
 
Funded status at end of year $ (2,555 ) $ (2,181 )
Schedule Of Amounts Recognized In The Consolidated Balance Sheets
    June 30,  
    2012     2011  
    (Dollars in thousands)  
Pension liability - current liabilities $ (14 ) $ (17 )
Pension liability - noncurrent liabilities   (2,541 )   (2,164 )
  $ (2,555 ) $ (2,181 )
Schedule Of Amounts Recognized In Other Comprehensive Income
    June 30,
    2012   2011
Net loss $ 583 $ -
Net transition cost   -   -
  $ 583 $ -
Schedule of Pension Plans With An Accumulated Benefit Obligation In Excess Of Plan Assets
        June 30,
    2012   2011
    (Dollars in thousands)
Projected benefit obligation $ 4,652 $ 4,768
Accumulated benefit obligation   4,652   4,763
Fair value of plan assets   2,097   2,587
Schedule Of Components Of Net Periodic Benefit Cost And Other Amounts Recognized In Other Comprehensive Income
    Year ended June 30,  
    2012     2011     2010  
    (Dollars in thousands)  
Net Periodic Benefit Cost                  
Service cost $ 13   $ 15   $ 16  
Interest cost   221     223     267  
Expected return on plan assets   (93 )   (101 )   (111 )
Amortization of unrecognized net transition obligation (asset)   (1 )   (1 )   4  
Net periodic benefit cost $ 140   $ 136   $ 176  
Schedule Of Assumptions
  June 30,  
  2012   2011  
Discount rate 4.00 % 5.10 %
Expected return on plan assets 3.50 % 4.00 %
Compensation increase rate 0.00 % 1.00 %

 

  Year Ended June 30,  
  2012   2011   2010  
Discount rate 5.10 % 5.00 % 6.01 %
Expected return on plan assets 4.00 % 4.00 % 4.30 %
Compensation increase rate 1.00 % 0.00 % 2.00 %

 

Schedule Of Plan Assets
                  Percentage of  
                Total Plan Assets  
    Level 1   Level 2   Level 3   Assets 2012  
Asset Category:                    
Cash and cash equivalents $ 49 $ - $ - $ 49 2.3 %
Equity securities   453   -   -   453 21.6 %
Debt securities   755   -   -   755 36.0 %
Cash surrender value insurance contracts   -   819   -   819 39.1 %
Other   21   -   -   21 1.0 %
Totals $ 1,278 $ 819 $ - $ 2,097 100.0 %

 

                Percentage of  
              Total Plan Assets  
    Level 1   Level 2 Level 3   Assets 2011  
Asset Category:                  
Cash and cash equivalents $ 9 $ - $ - $ 9 0.3 %
Equity securities   570   - -   570 22.0 %
Debt securities   868   - -   868 33.6 %
Cash surrender value insurance contracts   -   1,113 -   1,113 43.0 %
Other   27   - -   27 1.0 %
Totals $ 1,474 $ 1,113 $ - $ 2,587 100.0 %

 

Schedule Of Estimated Future Benefit Payments
    Pension
    Benefits
2013 $ 220
2014   242
2015   272
2016   297
2017   298
2018 - 2022   1,479