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Consolidated Statements of Cash Flows (USD $)
12 Months Ended
Feb. 28, 2014
Feb. 28, 2013
Feb. 29, 2012
Cash Flows From Operating Activities:      
Net income $ 4,392,444 $ 1,478,212 $ 3,876,032
Depreciation and amortization 1,026,775 935,377 750,860
Provision for loss on accounts and notes receivable 216,000 330,000 352,000
Provision for inventory loss 44,127 60,000 60,000
Asset impairment and store closure losses 65,000 172,000 28,000
(Gain) loss on sale of assets 21,236 1,994,069 27,153
Expense recorded for stock compensation 601,969 418,633 457,449
Deferred income taxes 258,557 (1,144,622) 733,875
Accounts receivable (1,408,048) (235,345) 479,099
Refundable income taxes (160,890) 724,911 (605,023)
Inventories 12,793 98,478 154,143
Other assets (63,958) 18,664 (11,137)
Accounts payable (439,014) 513,119 (197,772)
Accrued liabilities 915,213 1,065,090 147,782
Deferred income 1,381,297 (58,516) (105,410)
Net cash provided by operating activities 6,863,501 6,370,070 6,147,051
Cash Flows From Investing Activities:      
Additions to notes receivable (784,098) (285,191) (102,529)
Proceeds received on notes receivable 344,010 113,633 226,896
Proceeds from sale or distribution of assets 2,600 888,700 52,800
Acquisitions, net of cash acquired and franchise rights   (1,688)  
Intangible assets (8,949,534) (800,000)  
Increase in other assets 1,597,762 (148,618) (40,092)
Purchase of property and equipment (2,518,317) (742,871) (3,260,638)
Net cash used in investing activities (10,307,577) (976,035) (3,123,563)
Cash Flows From Financing Activities:      
Proceeds from long-term debt 6,400,000    
Repurchase of common stock   (1,715,352)  
Issuance of common stock 195,130 82,223 173,064
Tax benefit of stock option exercise 68,832 58,377 24,962
Dividends paid (2,681,853) (2,623,031) (2,440,560)
Net cash provided by (used in) financing activities 3,982,109 (4,197,783) (2,242,534)
Net Increase (Decrease) In Cash And Cash Equivalents 538,033 1,196,252 780,954
Cash And Cash Equivalents At Beginning Of Year 5,321,696 4,125,444 3,344,490
Cash And Cash Equivalents At End Of Year $ 5,859,729 $ 5,321,696 $ 4,125,444