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Condensed Consolidated Statements Of Cash Flows (USD $)
In Thousands
6 Months Ended
Sep. 30, 2011
Sep. 30, 2010
Operating activities  
Net income (loss)$ 2,460$ (12,466)
Less: Income from discontinued operations(11,138)(742)
Loss from continuing operations(8,678)(13,208)
Adjustments to reconcile loss from continuing operations to net cash used for operating activities:  
Restructuring charges4,716403
Gain on the redemption of Company-owned life insurance policies (2,065)
Gain on the redemption of investment in The Reserve Fund's Primary Fund (147)
Asset impairment charges 59
Loss on the sale of securities166 
Depreciation3,4321,786
Amortization3,3763,681
Deferred income taxes364,429
Stock based compensation1,9891,437
Change in cash surrender value of Company-owned life insurance policies(68)301
Changes in operating assets and liabilities:  
Accounts receivable1,751(7,000)
Inventories(2,729)(3,417)
Accounts payable(1,935)494
Accrued and other liabilities(5,826)(1,950)
Income taxes payable(763)372
Other changes, net(14)(209)
Other non-cash adjustments, net(561)69
Total adjustments3,570(1,757)
Net cash used for operating activities(5,108)(14,965)
Investing activities  
Proceeds from the sale of business59,470 
Proceeds from The Reserve Fund's Primary Fund 147
Proceeds from redemption of/borrowings against Company-owned life insurance policies 2,248
Additional investments in Company-owned life insurance policies(46)(746)
Proceeds from the sale of marketable securities2,03614
Additional investments in marketable securities(22) 
Purchases of software, property, and equipment(1,464)(3,543)
Net cash provided by (used for) investing activities59,974(1,880)
Financing activities  
Proceeds from borrowings under credit facility 15,325
Principal payments under credit facility (15,325)
Repurchases of common shares(6,617) 
Repurchases of shares to satisfy employee tax withholding(972)(188)
Principal payments under long-term obligations(609)(306)
Net cash used for financing activities(8,198)(494)
Effect of exchange rate changes on cash(151)166
Cash flows provided by (used for) continuing operations46,517(17,173)
Cash flows of discontinued operations:  
Operating cash flows, net(23,336)(13,096)
Investing cash flows, net (73)
Financing cash flows, net(78)(2)
Net increase (decrease) in cash23,103(30,344)
Cash at beginning of the period70,55962,801
Cash at end of the period$ 93,662$ 32,457