0001140361-11-041551.txt : 20110812 0001140361-11-041551.hdr.sgml : 20110812 20110812163214 ACCESSION NUMBER: 0001140361-11-041551 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 10 CONFORMED PERIOD OF REPORT: 20110630 FILED AS OF DATE: 20110812 DATE AS OF CHANGE: 20110812 FILER: COMPANY DATA: COMPANY CONFORMED NAME: SOUTHWALL TECHNOLOGIES INC /DE/ CENTRAL INDEX KEY: 0000813619 STANDARD INDUSTRIAL CLASSIFICATION: UNSUPPORTED PLASTICS FILM & SHEET [3081] IRS NUMBER: 942551470 STATE OF INCORPORATION: DE FISCAL YEAR END: 0314 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 001-35116 FILM NUMBER: 111031796 BUSINESS ADDRESS: STREET 1: 1029 CORPORATION WAY CITY: PALO ALTO STATE: CA ZIP: 94303 BUSINESS PHONE: 4159629111 MAIL ADDRESS: STREET 1: 1029 CORPORATION WAY CITY: PALO ALTO STATE: CA ZIP: 94303 10-Q 1 form10q.htm SOUTHWALL TECHNOLOGIES INC 10-Q 6-30-2011 form10q.htm


UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
 


FORM 10-Q
 
(MARK ONE)
 
x
QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
 
For the quarterly period ended June 30, 2011
or
 
o
TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
 
For the transition period from to

Commission File Number: 0-15930
 

 
SOUTHWALL TECHNOLOGIES INC.
(Exact name of registrant as specified in its charter)

Delaware
 
94-2551470
(State or other jurisdiction of incorporation or organization)
 
(I.R.S. Employer Identification Number)
 
 
 
3788 Fabian Way, Palo Alto, California
 
94303
(Address of principal executive offices)
 
(Zip Code)

Registrant's telephone number, including area code: (650) 798-1200
 

Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days. Yes x     No o
 
Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (§232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files).  Yes x     No o
 
Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, or a non-accelerated filer. See definition of  “large accelerated filer”, “accelerated filer”, and “smaller reporting company” in Rule 12b-2 of the Exchange Act. (Check One).
 
Large accelerated filer
o
Accelerated filer
o
Non-accelerated filer
o
Smaller reporting company
x

Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act).  Yes o     No x

As of July 29, 2011, there were 5,811,868 shares of the registrant's Common Stock outstanding.
 


 
 

 

SOUTHWALL TECHNOLOGIES INC.

 
PART I – FINANCIAL INFORMATION
Page
 
 
 
 
Item 1
 
Financial Statements
 
 
 
3
   
4
   
5
 
 
6
Item 2
 
16
Item 3
 
22
Item 4
 
23
 
 
 
 
PART II – OTHER INFORMATION
 
 
 
 
 
Item 1
 
23
Item 1A
 
23
Item 2
 
23
Item 3
 
24
Item 5
 
24
Item 6
 
24
   
25
 
 
2

 
PART I. FINANCIAL INFORMATION
 
Item 1--Financial Statements:
 
SOUTHWALL TECHNOLOGIES INC.
UNAUDITED CONDENSED CONSOLIDATED BALANCE SHEETS
(in thousands, except per share data)
 
   
June 30,
   
December 31,
 
   
2011
   
2010
 
ASSETS
 
Current assets:
           
Cash and cash equivalents
  $ 13,400     $ 13,776  
Accounts receivable, net of allowances for sales returns and doubtful accounts of $1,356 at June 30, 2011 and $1,316 at December 31, 2010
    7,450       5,902  
Inventories
    6,904       5,536  
Prepaid income taxes
    -       2,017  
Other current assets
    4,454       1,901  
Total current assets
    32,208       29,132  
                 
Property, plant and equipment, net
    15,279       15,235  
Goodwill
    366       1,854  
Intangibles assets
    357       901  
Deferred tax and other assets
    3,545       3,468  
Total assets
  $ 51,755     $ 50,590  
                 
LIABILITIES, PREFERRED STOCK AND STOCKHOLDERS' EQUITY
 
                 
Current liabilities:
               
Current portion of long-term debt  and capital lease obligations
  $ 1,048     $ 1,024  
Accounts payable
    2,414       2,628  
Accrued compensation
    1,337       1,742  
Other accrued liabilities
    4,795       4,764  
Total current liabilities
    9,594       10,158  
                 
Term debt and capital lease obligations
    3,213       3,511  
Other long-term liabilities
    122       112  
Total liabilities
    12,929       13,781  
                 
Commitments and contingencies (Note 7)
               
                 
Series A 10% cumulative convertible preferred stock, $0.001 par value; $1.00 stated value; 5,000 shares authorized, 4,893 shares outstanding at June 30, 2011 and December 31, 2010 (liquidation preference: $7,989 and $7,745 at June 30, 2011 andDecember 31, 2010, respectively)
    4,810       4,810  
                 
Southwall stockholders’ equity:
               
Common stock, $0.001 par value per share; 10,000 shares authorized, 5,811 shares outstanding at June 30, 2011 and 5,799 shares outstanding at December 31, 2010
    29       29  
Capital in excess of par value
    78,791       78,759  
Accumulated other comprehensive income
    4,440       3,466  
Accumulated deficit
    (49,244 )     (50,228 )
Total Southwall stockholders’ equity
    34,016       32,026  
Noncontrolling interest
    -       (27 )
Total stockholders' equity
    34,016       31,999  
Total liabilities, preferred stock and stockholders' equity
  $ 51,755     $ 50,590  
 
See accompanying notes to unaudited condensed consolidated financial statements.
 
 
3


SOUTHWALL TECHNOLOGIES INC.
(in thousands, except per share data)

   
Three Months Ended
   
Six Months Ended
 
   
June 30, 2011
   
June 30, 2010
   
June 30, 2011
   
June 30, 2010
 
                         
Net revenues
  $ 13,534     $ 11,790     $ 28,065     $ 22,271  
Cost of revenues
    7,763       5,891       16,167       11,659  
                                 
Gross profit
    5,771       5,899       11,898       10,612  
                                 
Operating expenses:
                               
Research and development
    1,113       792       2,147       1,584  
Selling, general and administrative
    2,938       2,266       5,877       4,266  
Goodwill and  intangible assets impairment
    1,833       -       1,833       -  
                                 
Total operating expenses
    5,884       3,058       9,857       5,850  
                                 
Income (loss) from operations
    (113 )     2,841       2,041       4,762  
                                 
Interest expense, net
    (65 )     (64 )     (131 )     (159 )
Other income (expense), net
    64       123       336       (358 )
                                 
Income (loss) before provision for (benefit from) income taxes
    (114 )     2,900       2,246       4,245  
                                 
Provision for (benefit from) income taxes
    531       (107 )     1,481       (99 )
                                 
Net income (loss)
    (645 )     3,007       765       4,344  
                                 
Net loss attributable to noncontrolling interest
    58       30       219       30  
                                 
Net income (loss) attributable to Southwall
    (587 )     3,037       984       4,374  
                                 
Deemed dividend on preferred stock
    122       122       244       244  
                                 
Net income attributable to common stockholders
  $ (709 )   $ 2,915     $ 740     $ 4,130  
                                 
Net income (loss) per common share (1):
                               
Basic
  $ (0.12 )   $ 0.51     $ 0.13     $ 0.72  
Diluted
  $ (0.12 )   $ 0.42     $ 0.14     $ 0.61  
                                 
Weighted average shares used in computing per share amounts (1):
                               
Basic
    5,811       5,766       5,809       5,762  
Diluted
    5,811       7,215       7,204       7,198  
 
(1)
All share and per share amounts have been retroactively restated for the three and six months ended June 30, 2010 to reflect the Company’s 1-for-5 reverse stock split described in Note 1 to these condensed consolidated financial statements.

See accompanying notes to unaudited condensed consolidated financial statements.
 
 
4

 
SOUTHWALL TECHNOLOGIES INC.
UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS
(in thousands)
 
   
Six Months Ended
 
   
June 30, 2011
   
June 30, 2010
 
Cash flows from operating activities:
           
Net income
  $ 765     $ 4,344  
Adjustments to reconcile net income to net cash (used in) provided by operating activities:
               
Gain on acquisition of controlling interest in SIG
    -       (706 )
Deferred income tax
    (11 )     (12 )
Loss on disposal of property, plant and equipment
    38       2  
Depreciation and amortization
    1,749       1,227  
Goodwill and intangible assets impairment
    1,833       -  
Stock-based compensation
    452       265  
(Provision for) inventory reserves
    (88 )     (279 )
Recovery of returns and allowance resesrve
    40       206  
Non-cash effect of acquisition of controlling interest in SIG
    -       (232 )
Changes in operating assets and liabilities:
               
Accounts receivable, net
    (1,307 )     (1,244 )
Inventories, net
    (1,000 )     891  
Other current and non-current assets
    (504 )     (451 )
Accounts payable and accrued liabilities
    (864 )     (2,416 )
Net cash provided by operating activities
    1,103       1,595  
                 
Cash flows from investing activities:
               
Acquisition of controlling interest in SIG, net of cash acquired
    -       (195 )
Expenditures for property, plant and equipment
    (866 )     (455 )
Net cash used in investing activities
    (866 )     (650 )
                 
Cash flows from financing activities:
               
Proceeds from stock option exercises
    71       39  
Repayments of term debt and capital lease obligations
    (521 )     (448 )
Proceeds from investment credit
    9       -  
Net cash used in financing activities
    (441 )     (409 )
                 
Effect of foreign exchange rate changes on cash and cash equivalents
    (172 )     140  
                 
Net increase (decrease) in cash and cash equivalents
    (376 )     676  
Cash and cash equivalents, beginning of period
    13,776       12,454  
                 
Cash and cash equivalents, end of period
  $ 13,400     $ 13,130  
                 
Supplemental cash flow disclosures:
               
Interest paid
  $ 156     $ 154  
Income taxes paid
  $ 564     $ 230  
                 
Supplemental schedule of non-cash investing and financing activities:
               
Dividends accrued
  $ 244     $ 244  
Deposits applied to acquisition of property, plant and equipment
  $ 86     $ -  
Acquisition of interest in SIG (Note 12)
  $ 246     $ 232  

See accompanying notes to unaudited condensed consolidated financial statements.
 
 
5

 
SOUTHWALL TECHNOLOGIES INC.
NOTES TO UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
(dollar and share amounts in thousands, except per share data)
 
Note 1 – Basis of Presentation

Southwall Technologies Inc., including its wholly owned subsidiaries, Southwall Europe GmbH, Southwall IG Holdings, Inc., Southwall Insulating Glass, LLC (“SIG”) and Crown Operations International, LLC, are hereafter referred to as the “Company,” “Southwall,” “Registrant,” “We,” “Our” or “Us.”

The accompanying interim condensed consolidated financial statements of Southwall are unaudited and have been prepared in accordance with accounting principles generally accepted in the United States of America (GAAP) for interim financial information and with the instructions to Form 10-Q and Article 10 of Regulation S-X. Accordingly, certain information and footnote disclosure normally included in financial statements prepared in accordance with GAAP have been condensed or omitted.  In the opinion of management, the unaudited condensed consolidated financial statements reflect all adjustments considered necessary to present fairly the financial position, results of operations and cash flows of Southwall for all periods presented. The year-end consolidated balance sheet data was derived from audited financial statements, but does not include all disclosures required by GAAP. The Company suggests that these condensed consolidated financial statements be read in conjunction with the consolidated financial statements and notes thereto contained in the Company's Form 10-K for the year ended December 31, 2010 filed with the Securities and Exchange Commission on March 29, 2011. The results of operations for the interim periods presented are not necessarily indicative of the operating results to be expected for any future periods.

The preparation of consolidated financial statements in conformity with GAAP requires management to make estimates and assumptions, based on all known facts and circumstances that affect the reported amounts of assets and liabilities, disclosure of contingent assets and liabilities at the date of the consolidated financial statements and the reported amounts of revenues and expenses during the periods.  Management makes these estimates using the best information available at the time of the estimates.  The estimates included in preparing our financial statements include:  allowance for doubtful accounts and sales returns, quarterly income taxes, inventory valuations (including reserves for excess and obsolete and impaired inventories), reserves for decommissioning costs associated with leasehold asset retirement obligations, impairment of goodwill and other long-lived assets and the valuation of stock-based compensation.  Actual results could differ from those estimates.

Reverse Stock Split

On March 17, 2011, the Company completed a 1-for-5 reverse stock split of its common stock, pursuant to previously obtained stockholder approval on May 12, 2010.  The reverse stock split reduced the number of shares of the Company’s common stock issued and outstanding from approximately 28.8 million to approximately 5.8 million.  In connection with the reverse stock split, the Company also reduced the number of our authorized shares of common stock from 50 million to 10 million to reflect the reverse stock split ratio.  All share and per share amounts for the three and six months ended June 30, 2010 herein are presented on a post-reverse stock split basis.

Reclassifications

Certain reclassifications have been made to the prior year's condensed consolidated balance sheet and condensed consolidated statement of cash flows to conform to the current year presentation.

Note 2 – Recent Accounting Pronouncements:

Since December 31, 2010, there are no recently issued accounting standards that are expected to have a material effect on our financial condition, results of operations or cash flows.

Note 3 – Fair Value Measurements

The Company has estimated the fair value amounts of its financial instruments, including cash and cash equivalents, accounts receivable, accounts payable and accrued liabilities using available market information and valuation methodologies considered to be appropriate and has determined that the book value of those instruments at June 30, 2011 approximates fair value.
 
Based on borrowing rates currently available to the Company for debt and capital lease obligations with similar terms, the carrying value of our term debt and capital lease obligations approximates fair value.
 
 
6


Southwall invests its cash primarily in money market funds.  The Company utilizes the market approach to measure fair value of its financial assets.

Cash and cash equivalents are summarized as follows:
 
   
June 30, 2011
 
   
Fair Value
   
Book Value
   
Unrealized
Gain, net
 
Money market funds, Level I
  $ 8,672     $ 8,672     $ -  
Certificates of deposit
    1,703       1,703       -  
Total cash equivalents
    10,375       10,375       -  
Cash
    3,025       3,025       -  
Total cash and cash equivalents
  $ 13,400     $ 13,400     $ -  
 
   
December 31, 2010
 
   
Fair Value
   
Book Value
   
Unrealized
Gain, net
 
Money Market Funds, Level I
  $ 8,990     $ 8,990     $ -  
Certificates of deposit
    2,000       2,000       -  
Total cash equivalents
    10,990       10,990       -  
Cash
    2,786       2,786       -  
Total cash and cash equivalents
  $ 13,776     $ 13,776     $ -  

The Company’s financial assets and liabilities are valued using market prices on active markets (Level 1).  Level 1 instrument valuations are obtained from real-time quotes for transactions in active exchange markets involving identical assets.  As of June 30, 2011, the Company did not have any Level 2 instrument valuations which were obtained from readily available pricing sources for comparable instruments or any Level 3 instruments without observable market values that would require a high level of judgment to determine fair value.

Note 4 – Balance Sheet Detail

   
June 30,
   
December 31,
 
   
2011
   
2010
 
Inventories, net
           
Raw materials
  $ 4,009     $ 3,072  
Work-in-process
    1,472       817  
Finished goods
    1,423       1,647  
    $ 6,904     $ 5,536  
Property, plant and equipment
               
Land, buildings and leasehold improvements
  $ 10,165     $ 9,453  
Machinery and equipment
    35,749       33,099  
Furniture and fixtures
    2,979       2,769  
      48,893       45,321  
Less: accumulated depreciation and amortization
    (33,614 )     (30,086 )
    $ 15,279     $ 15,235  

Note 5 – Net Income (Loss) Per Common Share

 Basic net income (loss) per common share is computed by dividing net income (loss) attributable to common stockholders (numerator) by the weighted average number of common shares outstanding (denominator) for the period. Diluted net income (loss) per common share gives effect to all dilutive common shares potentially outstanding during the period, including stock options and convertible preferred stock. The Company excludes options from the computation of diluted weighted average shares outstanding if the exercise price of the options is greater than the average market price of the shares because the inclusion of these options would be anti-dilutive to net income (loss) per share. The Company also excludes preferred shares convertible into common stock from the computation of diluted weighted average shares outstanding when the effect would be anti-dilutive.
 
 
7


At June 30, 2011 and 2010, 3 and 156 outstanding options, respectively, were excluded from the dilutive net income per common share calculation, as they were anti-dilutive because the option prices were higher than the average market price during each of the six-month periods.

The Company has accrued a deemed dividend on preferred stock of $122 for each of the three-month periods ended June 30, 2011 and 2010.  The dilutive effect of convertible securities shall be reflected in diluted net income (loss) per share by application of the if-converted method. Under this method, if an entity has convertible preferred stock outstanding, the preferred dividends applicable to convertible preferred stock shall be added back to the numerator unless their effect is anti-dilutive.

Tables summarizing net income attributable to common stockholders, basic and diluted net income (loss) per common share, and weighted shares outstanding are shown below:
 
   
Three Months Ended
   
Six Months Ended
 
   
June 30, 2011
   
June 30, 2010
   
June 30, 2011
   
June 30, 2010
 
Net income (loss) attributable to common stockholders - basic
  $ (709 )   $ 2,915     $ 740     $ 4,130  
Add:  Deemed dividend on preferred stock
    -       122       244       244  
Net income (loss) attributable to common stockholders - diluted
  $ (709 )   $ 3,037     $ 984     $ 4,374  
                                 
Weighted average common shares outstanding - basic (1)
    5,811       5,766       5,809       5,762  
Dilutive effect of Series A preferred shares
    -       978       978       978  
Dilutive effect of stock options
    -       471       417       458  
Weighted average common shares outstanding - diluted (1)
    5,811       7,215       7,204       7,198  
                                 
Basic net income (loss) per common share
  $ (0.12 )   $ 0.51     $ 0.13     $ 0.72  
Diluted net income (loss) per common share
  $ (0.12 )   $ 0.42     $ 0.14     $ 0.61  
 
(1)
All share and per share amounts have been retroactively restated for the three and six months ended June 30, 2010 to reflect the Company’s 1-for-5 reverse stock split described in Note 1 to these condensed consolidated financial statements.

Note 6 – Segment Reporting

The Company is a developer and manufacturer of high performance films and glass products that improve energy efficiency in architectural and automotive glass applications.  Prior to the year ended December 31, 2010, the Company operated only one segment. With the acquisition of the controlling interest in SIG, the Company operates in two segments: film, which is a manufacturer of thin film coatings on flexible substrates, and glass, which is a manufacturer of insulated glass units.
 
The Chief Operating Decision Maker (CODM) is the Company’s President and Chief Executive Officer. The CODM allocates resources to and assesses the performance of each operating segment using information about its revenue and operating income (loss).
 
The Company does not allocate gains and losses from interest and other income, or taxes to operating segments. Although the CODM uses operating income (loss) to evaluate the segments, operating costs included in one segment may benefit the other segment.
 
Segment information is summarized as follows:
 
 
8

 
   
Three Months Ended
   
Six Months Ended
 
   
June 30, 2011
   
June 30, 2010
   
June 30, 2011
   
June 30, 2010
 
Net revenues:
                       
Film:
                       
Automotive
  $ 6,085     $ 5,426     $ 12,239     $ 9,886  
Window
    5,460       4,614       11,630       9,310  
Architectual
    1,374       1,273       3,225       2,571  
Other
    179       44       352       71  
Subtotal
    13,098       11,357       27,446       21,838  
Glass
    436       433       619       433  
Total net revenues
  $ 13,534     $ 11,790     $ 28,065     $ 22,271  
                                 
Segment income (loss) from operations:
                               
Film
  $ 2,552     $ 3,044     $ 5,955     $ 4,965  
Glass
    (2,665 )     (203 )     (3,914 )     (203 )
Total segment income (loss) from operations
  $ (113 )   $ 2,841     $ 2,041     $ 4,762  
                                 
Depreciation and amortization:
                               
Film
  $ 734     $ 523     $ 1,409     $ 1,124  
Glass
    170       103       340       103  
Total depreciation and amortization
  $ 904     $ 626     $ 1,749     $ 1,227  
 
   
June 30,
   
December 31,
 
   
2011
   
2010
 
Long-lived assets:
           
Film
  $ 13,680     $ 13,896  
Glass
    1,599       1,339  
Total long-lived assets
  $ 15,279     $ 15,235  

The following is a summary of net revenues by geographic area (based on the location of the Company's customers) for the three and six months ended June 30, 2011 and 2010:

   
Three Months Ended
   
Six Months Ended
 
   
June 30, 2011
   
June 30, 2010
   
June 30, 2011
   
June 30, 2010
 
United States
  $ 2,120     $ 1,830     $ 3,966     $ 2,723  
Europe: France, Germany
    6,279       5,252       12,501       9,610  
Asia Pacific: Japan, Pacific Rim
    4,765       4,298       10,793       8,890  
Rest of the world
    370       410       805       1,048  
Total net revenues
  $ 13,534     $ 11,790     $ 28,065     $ 22,271  

The Company operates from facilities located in the United States and Germany. Long-lived assets were as follows:

   
June 30,
   
December 31,
 
   
2011
   
2010
 
United States
  $ 4,809     $ 4,724  
Germany
    10,470       10,511  
Consolidated
  $ 15,279     $ 15,235  
 
 
9


Note 7 – Commitments and Contingencies

Commitments

The Company leases certain property and equipment as well as its facilities under noncancellable operating leases.  These leases expire at various dates through 2016.

In January 2006, the Company renewed a lease agreement for its research and development facility in Palo Alto, California. The lease was renewed in January 2011 for an additional twelve months.  Under this lease agreement, the Company had accrued $480 for leasehold retirement obligations, which is included in other accrued liabilities in the accompanying condensed consolidated balance sheets.  The method and timing of payments are not yet finalized, and therefore, this estimate of the Company’s liability could differ from the actual future settlement amount.

As of June 30, 2011, the Company had unconditional purchase obligations to procure manufacturing raw material of $2,258 and equipment of $2,986.

Credit Agreement with Wells Fargo Bank

In June 2011, the Company renewed its Credit Agreement with Wells Fargo Bank (“Bank”).  The Credit Agreement provides for a $3,000 revolving line of credit.  Advances under the line exceeding $1,500 will be limited to 80% of eligible accounts receivable.  The Company will not be eligible for additional borrowings if the Company’s consolidated cash balance falls below $3,500.  Amounts borrowed under the line of credit bear interest at either prime plus 0.75% or LIBOR plus 3.5%, determined at the discretion of the Company, and is annualized on the average daily financed amount outstanding.  All borrowings under the line of credit facility are collateralized by the Company’s assets in the United States and are subject to certain covenants including minimum quarterly net income and minimum liquid asset requirements. The line of credit facility matures in June 2012.

In August 2010, the Company’s Credit Agreement with the Bank was amended to provide for a $1,250 term loan, which was funded on September 2, 2010.  Amounts borrowed under the term loan are payable over 36 months in equal installments and bear interest at a fixed rate of 4.05%.  The Credit Agreement was further amended to provide covenants for tangible net worth and fixed charge coverage ratio.

The Company has classified $481 and $695 outstanding under the Bank term loan and capital lease as a short-term liability and long-term liability, respectively, at June 30, 2011.  The Company is obligated to pay an aggregate of $417 in principal under its Wells Fargo term loan in 2011.

On December 27, 2010, the Company entered into a lease agreement with the Bank to finance research and development equipment.  The lease term is 48 months and requires monthly payments.  As of June 30, 2011, the principal balance of this lease was $238.

We were not in compliance with the minimum net income covenant under the Credit Agreement and capital lease with the Bank as of June 30, 2011.  On August 4, 2011, the Company obtained a waiver of noncompliance from the Bank as of June 30, 2011.

Term Debt and Capital Lease Obligations

As of June 30, 2011, the Company's term debt and capital lease obligations consisted of the following:
 
 
10


Description
 
Rate
   
Term Debt
Balance at
June 30,
2011
   
Capital Lease
Balance at
June 30,
2011
   
Total Debt
Balance at
June 30,
2011
   
Due In
Next 12
Months
   
Balance at
December 31,
2010
 
                                     
                                     
German bank loan dated May 28, 1999 (20 year)
    5.73 %(1)   $ 2,878     $ -     $ 2,878     $ 360     $ 2,816  
                                                 
Wells Fargo Bank dated September 2, 2010 (3 year)
    4.05 %(2)     938       -       938       417       1,146  
Total term debt
            3,816       -       3,816       777       3,962  
                                                 
German bank financed lease dated June 1, 2008
    7.518 %(3)     -       78       78       78       115  
U.S. financing agreement dated May 20, 2008
    19.80 %(4)     -       147       147       147       224  
Wells Fargo Bank financing agreement dated December 27, 2010
    4.47 %(4)     -       257       257       73       296  
Total capital leases
            -       482       482       298       635  
                                                 
Less interest on capital leases
            -       37       37       27       62  
                                                 
Total term debt and capital lease obligations
            3,816       445       4,261       1,048       4,535  
                                                 
Less current portion
            777       271       1,048       -       1,024  
                                                 
Total term debt and capital lease obligations, non-current
          $ 3,039     $ 174     $ 3,213     $ 1,048     $ 3,511  
________
 
(1) Interest rate was reset on September 16, 2009 to 5.73%.

(2) Interest rate is fixed at 4.05%.

(3) Interest rate is fixed at 7.518% until payoff.

(4) Implied interest rate based on a lease rate factor.

Contingencies

The Company is involved in certain other legal actions arising in the ordinary course of business. The Company believes, however, that none of these actions, either individually or in the aggregate, will have a material adverse effect on its business, its consolidated financial position, results of operations or cash flows.

Note 8 – Stock-Based Compensation

The Company has a stock-based compensation program that provides its Board of Directors broad discretion in creating employee equity incentives. The Company has granted stock options under various option plans and agreements in the past and currently grants stock options under the 2007 Long Term Incentive Plan (“2007 Plan”), which authorizes the granting of up to 10,000 shares of common stock. Under the terms of the 2007 Plan, the Company can grant both Incentive Stock Options and Nonstatutory Stock Options.  Grants issued under the 2007 Plan vest and become exercisable at a rate of 25% on each anniversary of the date of grant and become fully vested on the fourth anniversary of the date of grant provided that the participant remains an employee or service provider of the Company or a related company.  Each option granted under the 2007 Plan is non-transferable and expires over terms not exceeding ten years from the date of grant or 30 days after an option holder’s voluntary termination from the Company.  If an option holder’s employment is terminated involuntarily for misconduct, the option will terminate immediately and may no longer be exercised.  Involuntary termination not for misconduct allows for the option holder to exercise options within a period of three months after such termination of service occurs.  The 2007 Plan provides for longer expiration periods for employees who terminate, but who were employed with the Company in excess of five years.  Pursuant to the provisions set forth in the 2007 Plan, the option expiration will be extended anywhere from three months to one year, dependent upon the employee’s years of service.  These provisions apply to options that expire as the result of involuntary termination not for misconduct. As of June 30, 2011, there were 1,066 shares of common stock available for grant under the 2007 Plan.
 
 
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The following table sets forth the total stock-based compensation for the periods indicated:

   
Three Months Ended
   
Six Months Ended
 
   
June 30, 2011
   
June 30, 2010
   
June 30, 2011
   
June 30, 2010
 
Cost of revenues
  $ 6     $ 4     $ 10     $ 6  
Research and development
    45       26       78       45  
Selling, general and administrative
    200       123       363       214  
Stock-based compensation expense before income taxes
    251       153       451       265  
Income tax benefit
    -       -       -       -  
Total
  $ 251     $ 153     $ 451     $ 265  

There were $0 and $20 of cash proceeds from the exercise of stock options for the three months ended June 30, 2011 and 2010, respectively.  The Company presents excess tax benefits from the exercise of stock options, if any, as financing cash flows.

The fair value of stock-based awards was estimated using the Black-Scholes model with the following weighted-average assumptions for stock options granted during the three and six months ended June 30, 2011 and 2010:

   
Three Months Ended
   
Six Months Ended
 
   
June 30, 2011
   
June 30, 2010
   
June 30, 2011
   
June 30, 2010
 
Expected life (in years)
    5.0       -       5.0       5.0  
Risk-free interest rate
    1.67 %     - %     2.16 %     2.62 %
Volatility
    121 %     - %     122 %     104 %
Dividend
    -       -       -       -  
Per share weighted average fair value at grant date (1)
  $ 10.19     $ -     $ 9.28     $ 6.11  
 
(1)
The amount for the three and six months ended June 30, 2010 has been restated to reflect the Company’s 1-for-5 reverse stock split described in Note 1 to these condensed consolidated financial statements.

The Company’s computation of expected volatility was based on historical volatility. The Company’s computation of expected life was based on historical exercise patterns. The interest rate for periods within the expected life of the award is based on the U.S. Treasury yield in effect at the time of grant.

The Company has not in the past and does not plan to issue dividends in the future.

Stock option activity for the six months ended June 30, 2011 was as follows:

   
Number of
Options
   
Weighted
Average
Exercise Price
   
Remaining
Contractual
Weighted
Average
Term (in years)
   
Aggregate
Intrinsic
Value
 
Outstanding at December 31, 2010
    1,287     $ 4.49              
Granted
    252     $ 11.07              
Exercised
    (13 )   $ 5.24              
Cancelled or expired
    (24 )   $ 8.88              
Outstanding at June 30, 2011
    1,502     $ 5.52       6.78     $ 10,593  
                                 
Vested and expected to vest at June 30, 2011
    1,342     $ 5.17       6.52     $ 9,929  
Exercisable at June 30, 2011
    910     $ 3.85       5.47     $ 7,931  

The aggregate intrinsic value in the table above represents the total pretax intrinsic value (the difference between Southwall’s closing stock price on the last trading day of its second quarter of fiscal 2011 and the exercise price, times the number of shares) that would have been received by the option holders had all option holders exercised their options on June 30, 2011.  This amount changes based on the fair market value of Southwall’s stock.  Total intrinsic value of options exercised was $86 for the six months ended June 30, 2011. There were no options exercised during the three months ended June 30, 2011.
 
 
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As of June 30, 2011, $2,299 of total unrecognized compensation cost, net of forfeitures, related to stock options was expected to be recognized over a weighted-average period of approximately 3.16 years.
 
Note 9 – Allowance for Sales Returns

The Company establishes an allowance for sales returns for specifically identified, as well as anticipated sales returns, based on experience. The activity in the allowance for sales returns account during the six months ended June 30, 2011 and 2010 was as follows:
 
   
Balance at
December 31, 2010
   
Provision
   
Utilized
   
Balance at
June 30, 2011
 
Allowance for Sales Returns
  $ 1,187     $ 351     $ (252 )   $ 1,286  
 
   
Balance at
December 31, 2009
   
Provision
   
Utilized
   
Balance at
June 30, 2010
 
Allowance for Sales Returns
  $ 607     $ 656     $ (349 )   $ 914  

These amounts are included in accounts receivable, net, in the condensed consolidated balance sheets.

Note 10 – Comprehensive Income (Loss)

The components of comprehensive income (loss) for the three and six months ended June 30, 2011 and 2010, respectively, were as follows:

   
Three Months Ended
   
Six Months Ended
 
   
June 30, 2011
   
June 30, 2010
   
June 30, 2011
   
June 30, 2010
 
Net income (loss)
  $ (645 )   $ 3,007     $ 765     $ 4,344  
Foreign currency translation adjustment
    266       (982 )     974       (1,707 )
Other comprehensive income (loss)
  $ (379 )   $ 2,025     $ 1,739     $ 2,637  

Note 11 – Income Tax

The Company recorded an income tax provision of $531 and $1,481 for the three and six months ended June 30, 2011, respectively, and a benefit from income taxes of $107 and $99 for the three and six months ended June 30, 2010, respectively.  The effective tax rate was 65.9 % for six months ended June 30, 2011and (2.3) % for the six months ended June 30, 2010.  The primary reason for the change in the effective tax rates for the three and six months ended June 30, 2011, compared to the three and six months ended June 30, 2010, is due to an impairment charge for goodwill and the impact of the valuation allowance during 2010. The Company’s effective tax rate differs from the statutory rate due to various factors, such as tax legislation, the mix of domestic and international pre-tax income, research and development credits, foreign tax credits, share-based compensations and change in valuation allowance.

The impact of an uncertain income tax position on the income tax return must be recognized at the largest amount that is more likely than not to be sustained upon audit by the relevant tax authority.  An uncertain income tax position will not be recognized if it has less than a 50% likelihood of being sustained.  As of June 30, 2011, the Company identified and recorded unrecognized tax benefits in the amount of approximately $394, but no interest and penalties have been recorded due to the immaterial impact to the financial statements.  Management does not expect material changes in the balance of unrecognized tax benefits will occur within the next twelve months.

Note 12 – Acquisitions

Controlling Interest in Joint Venture

In 2008, Southwall IG Holdings, Inc., a wholly owned subsidiary of Southwall Technologies Inc., entered into a Joint Venture Agreement with Sound Solutions Window & Doors, LLC (“Sound Solutions”), creating SIG, which manufactures insulated glass units for the domestic market, to further expand the market for the Company’s Heat Mirror product.  As of December 31, 2009, Southwall IG Holdings, Inc. had a 50% investment in SIG.  In 2009, Southwall IG Holdings, Inc. advanced a total of $300 in the form of a promissory note to Sound Solutions.  Pursuant to the terms of the promissory note dated May 11, 2009, the principal and accrued interest was due and payable to Southwall IG Holdings, Inc. by January 1, 2010.  Under terms of the note, in the event of default, the outstanding principal was to be paid in the form of a credit to the Southwall IG Holdings, Inc. capital account.
 
 
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Effective January 1, 2010, Sound Solutions had not paid the principal balance of $300 and was in default of the promissory note.  The $300, for which Sound Solutions had received equity consideration in SIG, was credited to Southwall IG Holdings, Inc.’s capital account in SIG, thereby increasing the Company’s equity ownership to 66.3%. This change in equity did not result in Southwall IG Holdings, Inc. acquiring a controlling interest in SIG, as governance did not change as a result of the equity event. For the three months and six months ended June 30, 2010, SIG was accounted for under the equity method of accounting and the Company’s share of SIG’s net losses of $108 and $333, respectively, were included in “other income (expense), net” in the condensed consolidated statements of operations.

On May 20, 2010, the Joint Venture Agreement was amended allowing Southwall IG Holding, Inc. to make additional cash contributions to the joint venture.  In order to acquire an additional 8.7% to obtain 75% equity ownership, the Company relinquished $256 of value allowing Sound Solutions to maintain a 25% equity interest in SIG.  This transaction triggered a business combination event, which resulted in the consolidation of total assets and liabilities of SIG. Subsequently in 2010, the Company increased its equity ownership in SIG to 80%. During the six months ended June 30, 2011, the Company increased its equity ownership in SIG to 100%.

The unaudited pro forma net revenues for the three months and six months ended June 30, 2010 were $12,194 and $23,288, respectively, and net income attributable to Southwall for the three and six months ended June 30, 2010 were $2,148 and $3,448, respectively.

Crown Operations International

On August 30, 2010, Crown International Acquisition Company, LLC, a wholly owned subsidiary of Southwall Technologies Inc., acquired the operating assets of Crown Operations International, Ltd. (“Crown Operations”), for $3,302 in cash.  Subsequent to the acquisition of Crown Operations, Crown International Acquisition Company, LLC changed its name to Crown Operations International, LLC (“COI”).  Crown Operations is an interlayer converting and laminating facility.  The unaudited pro forma net revenues for the three and six months ended June 30, 2010 were $12,003 and $22,682, respectively, and net income for the three and six months ended June 30, 2010 were $3,238 and $4,835, respectively.

Note 13 – Goodwill and Intangible Assets

Goodwill

The Company reviews goodwill for impairment annually as of December 31 and whenever events or changes in circumstances indicate the carrying value of an asset may not be recoverable in accordance with authoritative guidance.  The circumstances that could trigger a goodwill impairment could include, but are not limited to, the following items to the extent that management believes the occurrence of one or more would make it more likely than not that we would fail the first step of the goodwill impairment test: significant adverse change in legal factors or in the business climate, an adverse action or assessment by a regulator, unanticipated competition, a loss of key personnel, a more-likely-than-not expectation that a reporting unit or a significant portion will be sold or otherwise disposed of, a portion of a reporting unit’s goodwill has been included in the carrying amounts of a business that will be disposed or if our market capitalization is below our net book value.

During the three month period ending June 30, 2011, the Company altered its business strategy to no longer support the Glass Segment’s standard IGU product and reevaluated its ability to gain market share during the technology development stage.  As a result, the Company determined that the goodwill related to the Glass Segment was impaired and recorded a one-time impairment charge of $1,488, which represents one hundred percent of the goodwill related to the Glass Segment.

Goodwill impairment testing is a two-step process.  Step 1 involves comparing the fair value of the Company’s reporting units to their carrying amount.  If the fair value of the reporting unit is greater than the carrying amount, there is no impairment.  If the reporting unit’s carrying amount is greater than the fair value, the second step must be completed to measure the amount of the impairment, if any.  Step 2 calculates the implied fair value of goodwill by deducting the fair value of all tangible and intangible assets, excluding goodwill, of the reporting unit from the fair value of the reporting unit as determined in Step 1.  The implied fair value of goodwill determined in this step is compared to the carrying value of goodwill.  If the implied fair value of goodwill is less than the carrying value of goodwill, an impairment loss is recognized equal to the difference.  The result of the Company’s analysis indicated that there would be no remaining implied value attributable to the goodwill in the Glass Segment.

The Company’s carrying value of goodwill at June 30, 2011 was $366 as a result of the Company’s acquisition of Crown International Operations.

Intangible Assets

Intangible assets are reviewed for impairment whenever events or circumstances indicate that the carrying amount of an asset or asset group may not be recoverable.  During the three month period ending June 30, 2011, the Company determined that the goodwill of the Glass Segment was impaired.  In conjunction with the valuation study for Step 2 of goodwill impairment testing, a valuation analysis of the Glass Segment’s long-lived assets was also performed.  Based on this analysis, the Company determined that the intangible assets of the Glass Segment were impaired and recorded an impairment charge of $344.
 
 
14


Intangible assets as of June 30, 2011 and December 31, 2010 consisted of the following:

         
June 30, 2011
   
December 31, 2010
 
   
Range of
   
Gross
   
Accumulated
         
Gross
   
Accumulated
       
   
Lives
   
Assets
   
Amortization
   
Net
   
Assets
   
Amortization
   
Net
 
Trade name
    5     $ 15     $ (2 )   $ 13     $ 315     $ (38 )   $ 277  
Customer relationships
    2 - 10       170       (14 )     156       420       (82 )     338  
Trade secrets
    15       190       (11 )     179       190       (4 )     186  
Non-compete agreement
    2       15       (6 )     9       15       (3 )     12  
Other
    2- 5       -       -       -       100       (12 )     88  
            $ 390     $ (33 )   $ 357     $ 1,040     $ (139 )   $ 901  

Amortization expense for the three months ended June 30, 2011 and 2010 for intangible assets was $61 and $18, respectively. Amortization expense for the six months ended June 30, 2011 and 2010 for intangible assets was $122 and $18, respectively.

The following table represents the estimated future amortization expense of intangible assets as of June 30, 2011:
 
Fiscal year
 
Amount
 
2011 (6 months remaining)
  $ 20  
2012
    38  
2013
    33  
2014
    33  
2015
    32  
Thereafter
    201  
Total
  $ 357  

Note 14 – Total Equity

A summary of the changes in equity for the three and six months ended June 30, 2011 is as follows:

   
Six Months Ended June 30, 2011
 
   
Southwall
             
   
Stockholders'
   
Noncontrolling
   
Total
 
   
Equity
   
Interest
   
Equity
 
Balance at December 31, 2010
  $ 32,026     $ (27 )   $ 31,999  
Fair market value NCI of SIG
    (246 )     246       -  
Stock-based compensation expense
    451       -       451  
Stock option exercises
    71       -       71  
Dividend accrual on Series A preferred stock
                       
preferred stock
    (244 )     -       (244 )
Total comprehensive income (loss)
    1,958       (219 )     1,739  
Balance at June 30, 2011
  $ 34,016     $ -     $ 34,016  

Note 15 – Related Party
 
As discussed in Note 12, Southwall IG Holdings, Inc., a wholly-owned subsidiary of Southwall Technologies Inc., obtained a 75% equity ownership in the joint venture with Sound Solutions in 2010, which resulted in the consolidation by the Company of assets and liabilities of SIG in May 2010.  The Company’s accounts receivable balance due from Sound Solutions was $552 and $650 at June 30, 2011 and December 31, 2010, respectively.  The amount owed by the Company to Sound Solutions was $3 at June 30, 2011 and December 31, 2010. Net revenues from Sound Solutions were $0 and $280 for the three and six months ended June 30, 2011, respectively.

 
15

 
Item 2 – Management's Discussion and Analysis of Financial Condition and Results of Operations (in thousands):
 
The following discussion and analysis of our financial condition and results of operations should be read in conjunction with our unaudited condensed consolidated financial statements and notes thereto appearing elsewhere in this report. This discussion and analysis contains forward-looking statements that involve risks and uncertainties, including those discussed below under "Forward-Looking Statements" and "Risk Factors”, set forth in Part I, Item 1A, of our Annual Report on Form 10-K for the year ended December 31, 2010 and in Part II, Item 1A of our Quarterly Report on Form 10-Q for the quarter ended June 30, 2011. You should not place undue reliance on these forward-looking statements. Actual results may differ materially from those anticipated in the forward-looking statements. These forward-looking statements represent our judgment as of the date of the filing of this Form 10-Q.

Forward Looking Statements

Cautionary Statement For the Purpose of the “Safe Harbor” Provisions of the Private Securities Litigation Reform Act of 1995

As used in this report, the terms "we," "us," "our," "Southwall" and the "Company" mean Southwall Technologies Inc. and its subsidiaries, unless the context indicates another meaning. This report contains forward-looking statements as that term is defined in the Private Securities Litigation Reform Act of 1995 that are subject to a number of risks and uncertainties. All statements other than statements of historical facts are forward-looking statements. These statements are identified by terminology such as "may," "will," "could," "should," "expects," "plans," "intends," "seeks," "anticipates," "believes," "estimates," "potential," or "continue," or the negative of such terms or other comparable terminology, or similar terminology, although not all forward-looking statements contain these identifying words. Forward-looking statements are only predictions and include, without limitation, statements relating to:

 
our strategy, expected future operations and financial plans;
 
our revenue expectations and potential financial results;
 
the revenue expectations and potential financial results of Southwall Insulating Glass, LLC;
 
impact of current economic conditions on our business;
 
the continued listing of our common stock on the NASDAQ Capital Market;
 
future applications of thin film coating technologies;
 
our development of new technologies and products and integration;
 
the properties and functionality of our products;
 
our projected need for additional borrowings and future liquidity;
 
our ability to implement and maintain effective internal controls and procedures;
 
the size of and the markets into which we sell or intend to sell our products;
 
our intentions to pursue strategic alliances, acquisitions and business transactions;
 
the possibility of patent and other intellectual property infringement;
 
our opinions regarding energy consumption and the loss of energy through inefficient glass;
 
pending and threatened litigation and its outcome;
 
our competition and our ability to compete in the markets we serve; and
 
our projected capital expenditures.

You should not place undue reliance on our forward-looking statements. Actual events or results may differ materially.  In evaluating these statements, you should specifically consider various factors, including the risks outlined under "Risk Factors" below. These and other factors may cause our actual results to differ materially from any forward-looking statement.  Although we believe the expectations reflected in our forward-looking statements are reasonable as of the date they are being made, we cannot guarantee our future results, levels of activity, performance or achievements. Moreover, we do not assume any responsibility for the future accuracy and completeness of these forward-looking statements.

XIR®, XUV®, Triangle Design®, Superglass®, Heat Mirror®, California Series®, Solis®, ETCH-A-FLEX®, and Southwall® are registered trademarks of Southwall. V-KOOL® is a registered trademark of Solutia, Inc.  All other trade names and trademarks referred to in this Quarterly Report on Form 10-Q are the property of their respective owners.

Overview

Southwall is a developer and manufacturer of high performance films and, beginning in 2008, glass products that improve energy efficiency in architectural and automotive glass applications.  Founded in response to the oil embargo of 1973, Southwall has approximately 35 years of experience and commercial adoption of its products worldwide.  Our products are designed to assist our green building construction and transportation customers in their efforts to decrease carbon emissions which may reduce the use of oil and electricity in the heating and cooling of buildings and vehicles.
 
 
16


Our customers were not immune to the global economic downturn of 2009.  We believe both the architectural and automotive industries experienced material sales declines, which negatively impacted our financial results in the early part of 2010.

In 2010, we acquired a controlling interest in Southwall Insulating Glass, LLC (“Southwall Insulating Glass” or “SIG”), a joint venture between our wholly-owned subsidiary Southwall IG Holdings Inc. and Sound Solutions Windows & Doors, LLC (“Sound Solutions").  During the six months ended June 30, 2011, the Company increased its equity ownership in SIG to 100%.

As a result of our acquisition of a controlling interest in SIG, we operate in two segments:  film, which includes our development and manufacture of thin film coatings on flexible substrates, and glass, which includes the production and sale of glass units through Southwall Insulating Glass.

In August 2010, we purchased substantially all of the assets of Crown Operations International, LTD (“Crown Operations”).  Crown Operations is a Wisconsin-based processor of high performance, heat reflective interlayers that improve the energy efficiency of laminated glass in buildings, homes and cars.  We expect the acquisition of these assets to provide additional integration and improvement of our production processes enabling us to bring new, energy-saving interlayer products to the market.  We also believe that the Crown Operations’ laminating and converting capabilities simplify material logistics and facilitate the adoption of high performance interlayers for volume production.   We believe we are now positioned to provide a complete interlayer solution from encapsulation through converting in furtherance of our goal of making it easier for manufacturers to integrate the performance of Southwall's XIR heat-reflective film into their architectural and automotive laminated glass products.

Recent Events

On March 17, 2011, we completed a 1-for-5 reverse stock split of our common stock, pursuant to previously obtained stockholder approval on May 12, 2010.  The reverse stock split reduced the number of shares of our common stock issued and outstanding from approximately 28.8 million to approximately 5.8 million.  In connection with the reverse stock split, we also reduced the number of our authorized shares of common stock from 50 million to 10 million to reflect the reverse stock split ratio.  All share and per share amounts herein are presented on a post-reverse stock split basis.

In 2010, we were awarded a three-year grant of $1,445 from the U.S. Department of Energy to develop advanced technologies aimed at making homes and buildings more energy efficient. We have used and will continue to use the funding to accelerate development of higher performance and lower cost Heat Mirror low-emissivity and solar-reflective films and multi-cavity, suspended-film insulating glass technology to enable the broad commercialization of "super-insulating" R-10 windows.

During the three month period ending June 30, 2011, the Company altered its business strategy to no longer support the Glass Segment’s standard IGU product and reevaluated its ability to gain market share during the technology development stage.  As a result, the Company determined that the goodwill  and intangible assets related to the Glass Segment was impaired.  As a result, the Company recorded a one-time impairment charge of $1,833, which represents all of the goodwill and intangible assets related to the Glass Segment.

Demand for our customers' products. We derive significant benefits from our relationships with a few large customers and suppliers.  Our revenues and gross profit can increase or decrease rapidly, reflecting underlying demand for the products of one or a small number of our customers.  We may also be unable to replace a customer when a relationship ends or demand for our product declines as a result of evolution of our customers' products.

Our three largest customers in the automotive glass and window film market, and architectural glass markets include: Saint Gobain Sekurit, Pilkington PLC, and Solutia Inc., formerly GlobaMatrix Holdings Pte. Ltd., which collectively accounted for approximately 70% and 72% of our total revenues during the six months ended June 30, 2011 and 2010, respectively.

Under our agreement with Solutia Inc., as amended, Solutia Inc. agreed to a 2004 minimum purchase commitment of $9,000 of product. For each year after 2004 through the term of the contract, Solutia Inc. contracted to purchase an amount of product equal to 110% of the amount of product it was required to purchase in the prior year.

Critical Accounting Policies and Estimates

The accompanying discussion and analysis of our financial condition and results of operations are based upon our condensed consolidated financial statements, which have been prepared in accordance with accounting principles generally accepted in the United States (GAAP). The preparation of these financial statements requires us to make estimates and judgments that affect the reported amounts of assets, liabilities, revenues and expenses, and related disclosure of contingent assets and liabilities. These estimates form the basis for making judgments about the carrying values of assets and liabilities that are not readily apparent from other sources. We base our estimates and judgments on historical experience and on various other assumptions that we believe are reasonable under the circumstances. However, future events cannot be forecasted with certainty, and the best estimates and judgments routinely require adjustment. We are required to make estimates and judgments in many areas, including those related to:  revenue recognition, accrual for product returns and warranties, allowance for doubtful accounts, quarterly income taxes, inventory valuations (including reserves for excess and obsolete and impaired inventories), impairment of intangibles and goodwill, reserves for decommissioning costs associated with leasehold asset retirement obligations and valuation of stock-based compensation. We believe these policies are the most critical to our financial statements because their application places the most significant demands on management’s judgment. Senior management has discussed the development, selection and disclosure of these estimates with the Audit Committee of our Board of Directors.
 
 
17


We believe there have been no significant changes during the first six months of fiscal 2011 to the items that we disclosed as our critical accounting policies and estimates in our discussion and analysis of financial condition and results of operations in our 2010 Form 10-K.

Three and Six Months Ended June 30, 2011 compared with Three and Six Months Ended June 30, 2010

Results of Operations

Net revenues

Net revenues by operating segment are summarized in the following table:
 
   
Three Months Ended
               
Six Months Ended
             
   
June 30,
   
Change in
   
June 30,
   
Change in
 
   
2011
   
2010
   
Dollars
   
Percent
   
2011
   
2010
   
Dollars
   
Percent
 
Net revenues:
                                               
Film:
                                               
Automotive film
  $ 6,085     $ 5,426     $ 659       12 %   $ 12,239     $ 9,886     $ 2,353       24 %
Window film
    5,460       4,614       846       18 %     11,630       9,310       2,320       25 %
Architectural
    1,374       1,273       101       8 %     3,225       2,571       654       25 %
Other
    179       44       135       307 %     352       71       281       396 %
Total film
    13,098       11,357       1,741       15 %     27,446       21,838       5,608       26 %
Glass
    436       433       3       1 %     619       433       186       43 %
Total net revenues
  $ 13,534     $ 11,790     $ 1,744       15 %   $ 28,065     $ 22,271     $ 5,794       26 %

Total net revenues increased 15% and 26% for the three and six months ended June 30, 2011, from the same periods in 2010. The increase for both periods for automotive film net revenues was due to increased demand from our OEM customers and the higher window film net revenues was primarily due to greater demand resulting from higher sales of automobiles in the second quarter of 2011, compared to the same period in 2010. The net revenues growth in architectural film was primarily due to increased material required for a major project in China.

Cost of revenues

Cost of revenues increased $1,872, or 32 %, to $7,763 for the three months ended June 30, 2011 from $5,891 for the same period in 2010 primarily as a result of higher sales volume in the three months ended June 30, 2011 as compared to the same period in 2010.  Cost of revenues increased $4,508, or 39 %, to $16,167 for the six months ended June 30, 2011 from $11,659 for the same period in 2010 primarily as a result of higher sales volume in the six months ended June 30, 2011 as compared to the same period in 2010.

Gross profit
 
   
Three Months Ended
               
Six Months Ended
             
   
June 30,
   
Change in
   
June 30,
   
Change in
 
   
2011
   
2010
   
Dollars
   
Percent
   
2011
   
2010
   
Dollars
   
Percent
 
Gross profit
  $ 5,771     $ 5,899     $ (128 )     -2 %   $ 11,898     $ 10,612     $ 1,286       12 %
Percentage of net revenues
    43 %     50 %                     42 %     48 %                

Our gross profit percentage decreased by approximately 7 percentage points to 43 percent for the three months ended June 30, 2011 compared to 50 percent for the same period in 2010.  Our gross profit percentage decreased by approximately 6 percentage points to 42 percent for the six months ended June 30, 2011 compared to 48 percent for the same period in 2010.  The decrease was primarily due to costs associated with the addition of SIG that we began consolidating into our results in the second quarter of 2010 and increased cost of precious metals consumed to manufacture sputtered film.
 
 
18


Operating expenses

Operating expenses are summarized in the following table:

   
Three Months Ended
               
Six Months Ended
             
   
June 30,
   
Change in
   
June 30,
   
Change in
 
   
2011
   
2010
   
Dollars
   
Percent
   
2011
   
2010
   
Dollars
   
Percent
 
Research and development
  $ 1,113     $ 792     $ 321       41 %   $ 2,147     $ 1,584     $ 563       36 %
Percentage of net revenues
    8 %     7 %                     8 %     7 %                
                                                                 
Selling, general and administrative
    2,938       2,266       672       30 %     5,877       4,266       1,611       38 %
Percentage of net revenues
    22 %     19 %                     21 %     19 %                
Goodwill and intangible assets impairment
    1,833       -       1,833    
nm
      1,833       -       1,833    
nm
 
Percentage of net revenues
    14 %     -                       7 %     -                  
                                                                 
Total
  $ 5,884     $ 3,058     $ 2,826       92 %   $ 9,857     $ 5,850     $ 4,007       68 %
Percentage of net revenues
    43 %     26 %                     35 %     26 %                
_____
nm – not meaningful

Research and development. The increase in research and development expenses for the three and six months ended June 31, 2011, as compared to the same periods in 2010, was primarily due to higher headcount related expenses and increased spending for travel and outside services.

Selling, general and administrative. The increase in selling, general and administrative expenses for the three and six months ended June 31, 2010, as compared to the same periods in 2010, was primarily due to higher headcount related expenses, including stock-based compensation expense, increased spending for consulting and outside services and the consolidation of SIG and Crown Operations.

Goodwill and intangible assets impairment.  The Company reviews goodwill for impairment annually as of December 31 and whenever events or changes in circumstances indicate the carrying value of an asset may not be recoverable in accordance with authoritative guidance.  The circumstances that could trigger a goodwill impairment could include, but are not limited to, the following items to the extent that management believes the occurrence of one or more would make it more likely than not that we would fail the first step of the goodwill impairment test: significant adverse change in legal factors or in the business climate, an adverse action or assessment by a regulator, unanticipated competition, a loss of key personnel, a more-likely-than-not expectation that a reporting unit or a significant portion will be sold or otherwise disposed of, a portion of a reporting unit’s goodwill has been included in the carrying amounts of a business that will be disposed or if our market capitalization is below our net book value.

During the three month period ending June 30, 2011, the Company altered its business strategy to no longer support the Glass Segment’s standard IGU product and reevaluated its ability to gain market share during the technology development stage.  As a result, the Company determined that the goodwill and intangible assets related to the Glass Segment was impaired.  As a result, the Company recorded a one-time impairment charge of $1,833, which represents  one hundred percent of the goodwill and intangible assets related to the Glass Segment.

Income from operations

Income from operations decreased $2,954 to an operating loss of $113 for the three months ended June 30, 2011, as compared to operating income of $2,841 for the same period in 2010.  Income from operations decreased $2,721 to an operating income of $2,041 for the six months ended June 30, 2011, as compared to operating income of $4,762 for the same period in 2010. The decrease for both periods was primarily due to higher operating expenses relating to acquisitions and a goodwill and intangible assets impairment charge of $1,833.

Interest expense, net

Interest expense, net of $65 for the three months ended June 30, 2011 was relatively unchanged as compared to $64 for the same period in 2010 and decreased to $131 for the six months ended June 30, 2011 from $159 for the same period in 2010.  The decrease in net interest expense was primarily due to lower average outstanding debt balances for the six months ended June 30, 2011, as compared to the same period in 2010.
 
 
19


Other income (expense), net

Other income (expense), net, was net other income of $64 and $336 for the three and six months ended June 30, 2011, respectively, and was primarily foreign currency gains related to transactions with foreign customers that were denominated in foreign currencies, principally the Euro, as compared to a net other expense of $123 for the same period in 2010. For the three months ended June 30, 2010, we recognized foreign exchange losses of $483 and our 66.3% share of net losses incurred by SIG of $108.

Income (loss) before provision for income taxes

Loss before provision for income taxes for the three months ended June 30, 2011 was $114 and income before provision for income taxes was $2,246 for the six months ended June 30, 2011, as compared to income before provision for income taxes $2,900 and 4,245, respectively for the same periods in 2010. The increases were primarily due to higher sales and production volumes.

Provision for income taxes

We recorded an income tax provision of $531 and $1,481 in the three and six months ended June 30, 2011, respectively, as compared to a benefit from income taxes of $107 and $99 for the three and six months ended June 30, 2011, respectively.  The effective tax rate was 66% for the six months ended June 30, 2011 and (2.3%) for the same period in 2010. The primary reason for the change in the effective tax rates for the period in 2011 as compared to the same period in 2010 is due to the impairment charge for goodwill and the impact of the valuation allowance during 2010. Our effective tax rate differs from the statutory rate due to various factors, such as tax legislation, the mix of domestic and international pre-tax income, research and development credits, foreign tax credits, share-based compensations and change in valuation allowance.

The impact of an uncertain income tax position on the income tax return must be recognized at the largest amount that is more likely than not to be sustained upon audit by the relevant tax authority.  An uncertain income tax position will not be recognized if it has less than a 50% likelihood of being sustained.  As of June 30, 2011, we identified and recorded unrecognized tax benefits in the amount of approximately $394, that if reversed, would impact the tax expense, but no interest and penalties have been recorded due to the immaterial impact to the financial statements.  We do not expect material changes in the balance of unrecognized tax benefits will occur within the next twelve months.
 
Net loss attributable to noncontrolling interest

Net loss attributable to noncontrolling interest of $58 and $219 for the three and six months ended June 30, 2011, respectively, is related to the consolidation of SIG upon acquisition of a controlling interest during the second quarter of 2010. Net loss attributable to noncontrolling interest was $30 and $30 for the three and six months ended June 30, 2010, respectively

Deemed dividend on preferred stock

We accrued $122 of deemed dividend on preferred stock in each of the three months ended June 30, 2011 and 2010, respectively, and $244 in each of the six months ended June 30, 2011 and 2010, respectively.  The holders of our secured convertible promissory notes converted those notes to shares of Series A preferred stock in December 2004. The Series A preferred stock accrues cumulative dividends at the rate of 10% per annum.

Liquidity and Capital Resources

Liquidity

Our principal liquidity requirements are for working capital, consisting primarily of accounts receivable and inventories, for debt repayments and capital expenditures. We believe that because of the production cycle of certain of our products, our inventories will continue to represent a significant portion of our working capital.

Our cash and cash equivalents decreased $376 from $13,776 at December 31, 2010 to $13,400 at June 30, 2011.  The decrease in cash is primarily due to an increase in current assets and a decrease in accounts payable and accrued liabilities, partially offset by net income and non-cash expenses.

Specifically, cash used in operating activities of $1,103 for the six months ended June 30, 2011 was primarily the result of net income of $765, non-cash depreciation and amortization of $1,749, non-cash stock-based compensation expense of $452 and non-cash impairment charge for goodwill and intangible assets of $1,833, offset by an increase in accounts receivable of $1,307, a decrease in accounts payable and accrued liabilities of $864 and an increase in inventories, net of $1,000.
 
 
20


Cash used in investing activities for the six months ended June 30, 2011 was for capital expenditures of $866.

Cash used in financing activities for the six months ended June 30, 2011 of $441 was the result of scheduled payments of other term debt and capital lease obligations of $521, offset by proceeds from stock option exercises of $71.

Borrowing arrangements

Credit Agreement with Wells Fargo Bank

In June 2011, we renewed our Credit Agreement with Wells Fargo Bank (the “Bank”).  The Credit Agreement provides for a $3,000 revolving line of credit.  Advances under the line exceeding $1,500 will be limited to 80% of eligible accounts receivable.  We will not be eligible for additional borrowings if our consolidated cash balance falls below $3,500.  Amounts borrowed under the facility bear interest at either prime plus 0.75% or LIBOR plus 3.5%, determined at our discretion, and is annualized on the average daily financed amount outstanding.  All borrowings under the facilities are collateralized by our assets in the United States and are subject to certain covenants including minimum quarterly net income and minimum liquid asset requirements.

Generally, if any event of default occurs, the Bank may declare all outstanding indebtedness under the Credit Agreement to be due and payable.  The maturity date of the facility is June 2012.  Although we expect to renew the credit line, we can provide no assurance that we will be successful in obtaining a new or replacement credit facility due to restrictive credit markets.  As of June 30, 2011, we had no balance outstanding on our line of credit.  The foregoing does not purport to be a complete statement of the parties’ rights and obligations under the Credit Agreement, and the transactions contemplated thereby or a complete explanation of material terms thereof.

In August 2010, our Credit Agreement with the Bank was amended to provide for a $1,250 term loan, which was funded on September 2, 2010.  Amounts borrowed under the term loan are payable over 36 months in equal installments and bear interest at a fixed rate 4.05%.  The Credit Agreement was further amended to provide covenants for tangible net worth and fixed charge coverage ratio.

We have classified $481 and $695 outstanding under the Bank term loan and capital lease as a short-term liability and long-term liability, respectively, at June 30, 2011.  We are obligated to pay an aggregate of $417 in principal under our Wells Fargo term loan in 2011.

On December 27, 2010, we entered into a lease agreement with the Bank to finance research and development equipment.  The lease term is 48 months and requires monthly payments.  As of June 30, 2011, the principal balance of this lease was $238.

We were not in compliance with the minimum net income covenant under the Credit Agreement and capital lease with the Bank as of June 30, 2011.  On August 4, 2011, the Company obtained a waiver of noncompliance from the Bank as of June 30, 2011.

Borrowing Arrangements with German Banks

Our borrowing arrangements with various German banks as of June 30, 2011 are described in Note 7 of the Notes to Unaudited Condensed Consolidated Financial Statements (Item 1. “Financial Statements”) set forth herein. We are in compliance with all of the covenants of the German bank loans and capital leases, and we have classified $435 and $2,518 outstanding under the German bank loans and capital leases as a short-term liability and long-term liability, respectively, at June 30, 2011.
 
 
21


Capital expenditures

We expect to spend approximately $5,800 in 2011 primarily related to machinery and equipment for production automation and additional equipment investment in our Germany facility.

Future payment obligations

Our future payment obligations on our borrowings pursuant to our term debt, non-cancelable operating and capital leases and other non-cancelable contractual commitments were as follows at June 30, 2011:

   
Total
   
Less Than
1 Year
   
1-3 Years
   
3-5 Years
   
Greater Than
5 Years
 
Term debt (1)
  $ 3,816     $ 777     $ 1,240     $ 719     $ 1,080  
Capital lease obligations (1)
    445       271       138       36       -  
Term debt and capital lease obligation interest (1)
    734       207       261       169       97  
Other obligations (2)
    5,438       2,258       -       -       3,180  
Operating leases (3)
    2,859       383       1,386       865       225  
Total
  $ 13,292     $ 3,896     $ 3,025     $ 1,789     $ 4,582  
 
(1)
Represents the principal and interest allocations of loan and capital lease agreements with Varilease Finance Inc. and several German Banks and Wells Fargo Bank.

(2)
Represents commitments to purchase manufacturing material (less than one year) and accumulated dividends on Series A preferred stock (greater than five years).

(3)
Represents the remaining rents owed on buildings we rent in Palo Alto, California, and Chicago, Illinois.
 
As of June 30, 2011, we maintained 30,174 square feet of office and warehouse space at 3780-3788 Fabian Way, Palo Alto, California 94303.   In 2011, the monthly rent payments are $40 and will increase annually at a rate of 3% through the expiration of the lease.

As of June 30, 2011, we had a lease obligation for 9,200 square feet at 3961 East Bayshore Road, Palo Alto, California 94303.  The monthly rent payments for this facility are $4.

As of June 30, 2011, we had a lease obligation for 75,640 square feet at 4404 W. Ann Lurie Place, Chicago, IL 60632.  The monthly rent payments for this facility are $20, which increases to $25 in April 2011, $26 in October 2011, and increases thereafter annually at a rate of 3.6% through the expiration of the lease.

As of June 30, 2011, we had unconditional purchase obligations to procure equipment of $2,986.

Item 3 – Quantitative and Qualitative Disclosures about Market Risk

We are exposed to the impact of interest rate changes, foreign currency fluctuations, and changes in the market values of our investments.

Financing risk. The interest rate on one of our German loans was reset to the prevailing market rate of 5.73% in September 2009. Fluctuations or changes in interest rates may adversely affect our expected interest expense. The effect of a 10% fluctuation in the interest rate on our line of credit and term debt would not have a material effect on our interest expense for the first quarter of 2011.

Investment risk. We invest our excess cash in money market accounts and, by practice, make every effort to limit the amount of exposure by investing with strong, well-known institutions. Investments in both fixed rate and floating rate interest earning instruments carry a degree of interest rate risk. Fixed rate securities may have their fair market value adversely affected due to a rise in interest rates, while floating rate securities may produce less income than expected if interest rates fall. The effect of a 10% fluctuation in the interest rate on our excess cash investments would not have had a material effect on our interest income in the six months ended June 30, 2011.

 
22


Foreign currency risk. International net revenues (defined as sales to customers located outside of the United States) accounted for approximately 84% of our total net revenues in the three months ended June 30, 2011. Approximately 46% of our international net revenues were denominated in Euros in the second quarter of 2011. The remaining 38% of our international net revenues were denominated in U.S. dollars.  In addition, certain transactions with foreign suppliers are denominated in foreign currencies. The effect of a 10% fluctuation in the Euro exchange rate would have had an effect of approximately $616 on net revenues and $630 on expenses and the effect on expenses of a 10% reduction in the Yen exchange rate would have an effect of approximately $134 for the second quarter of 2011.

Item 4 – Controls and Procedures
 
 
(a)
Evaluation of Disclosure Controls and Procedures.  Under the supervision and with the participation of our management, including our Principal Executive Officer and Principal Financial Officer, we conducted an evaluation of the effectiveness of the design and operation of our disclosure controls and procedures, as defined in Rules 13a-15(e) and 15d-15(e) under the Securities Exchange Act of 1934, as amended.  Based on this evaluation, our Principal Executive Officer and Principal Financial Officer concluded as of the end of the period covered by this report, that our disclosure controls and procedures were effective, such that the information relating to our company, including our consolidated subsidiaries, required to be disclosed in our Securities and Exchange Commission (“SEC”) reports (i) is recorded, processed, summarized and reported within the time periods specified in SEC rules and forms, and (ii) is accumulated and communicated to our management, including our principal executive officer and principal financial officer, as appropriate to allow timely decisions regarding required disclosure.

 
(b)
Changes in Internal Controls.  There were no changes during the six month period ended June 30, 2011 in our internal controls over financial reporting that have materially affected, or are reasonably likely to materially affect, the internal controls over financial reporting.
  
Internal control systems, no matter how well designed and operated, have inherent limitations.  Consequently, even a system which is determined to be effective cannot provide absolute assurance that all control issues have been detected or prevented.  Our systems of internal controls are designed to provide reasonable assurance with respect to financial statement preparation and presentation.
 
 
Item 1– Legal Proceedings

We may be a party to various pending judicial and administrative proceedings arising in the ordinary course of business.  While the outcome of the pending proceedings cannot be predicted with certainty, based on our review, we believe that any unrecorded liability that may result is not likely to have a material effect on our liquidity, financial condition or results of operations.

Item 1A – Risk Factors

The following information updates should be read in conjunction with the information disclosed in Item 1A, “Risk Factors,” of our Annual Report on Form 10-K for the year ended December 31, 2010, filed with the SEC on March 29, 2011.

Financial Risks

There have been no significant changes in financial risk factors for the six months ended June 30, 2011.  See the information set forth in the section entitled “Risk Factors” in our Annual Report on Form 10-K for the fiscal year ended December 31, 2010.

Operational Risks

There have been no significant changes in operational risk factors for the six months ended June 30, 2011.  See the information set forth in the section entitled “Risk Factors” in our Annual Report on Form 10-K for the fiscal year ended December 31, 2010.

Market Risks

There have been no significant changes in market risk factors for the six months ended June 30, 2011.  See the information set forth in the section entitled “Risk Factors” in our Annual Report on Form 10-K for the fiscal year ended December 31, 2010.

Item 2 – Unregistered Sales of Equity Securities and Use of Proceeds

None.
 
 
23


Item 3 – Defaults upon Senior Securities

None.

Item 5 – Other Information

None.

Item 6 – Exhibits

(a) Exhibits

Exhibit Number
 
Item
 
Certification of Principal Executive Officer pursuant to Exchange Act Rules 13a-14 and 15d-14
 
 
 
 
Certification of Principal Financial Officer pursuant to Exchange Act Rules 13a-14 and 15d-14
 
 
 
 
Certification of Principal Executive Officer pursuant to 18 U.S.C Section 1350
 
 
 
 
Certification of Principal Financial Officer pursuant to 18 U.S.C Section 1350
     
101.ins   XBRL Instance Document (.xml)
     
101.sch   XBRL Taxonomy Extension Schema Document (.xsd)
     
101.cal   XBRL Taxonomy Extension Calculation Linkbase Document (cal)
     
101.lab   XBRL Taxonomy Extension Label Linkbase (lab)
     
101.pre   XBRL Taxonomy Extension Presentation Linkbase Document (pre)
 
 
24

 
SIGNATURES
 
Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized.
 
Dated:   August 12, 2011
 
 
 
 
Southwall Technologies Inc.
 
 
 
 
By:
/s/ Dennis F. Capovilla
 
 
 
Dennis F. Capovilla
 
 
Chief Executive Officer
 
 
 
 
By:
/s/ Mallorie Burak
 
 
 
Mallorie Burak
 
 
Vice President and Chief Accounting Officer
 
 
25

EX-31.1 2 ex31_1.htm EXHIBIT 31.1 ex31_1.htm

EXHIBIT 31.1
 
CERTIFICATION PURSUANT TO SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002
(Principal Executive Officer)

I, Dennis Capovilla certify that:
 
1.
I have reviewed this Quarterly Report on Form 10-Q of Southwall Technologies Inc.;

2.
Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3.
Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

4.
The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rule 13a-15(f) and 15d-15(f)) for the registrant and have:

 
a)
Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 
b)
Designed such internal controls over financial reporting, or caused such internal controls over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 
c)
Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures as of the end of the period covered by this report based on such evaluations; and

 
d)
Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the registrant's most recent fiscal quarter (the registrant's fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting;

5.
The registrant’s other certifying officer and I have disclosed, based on our most recent valuation of internal control over financial reporting, to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

 
a)
All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize and report financial information; and

 
b)
Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.
 
Date:  August 12, 2011
By:
 
 
 
 
 
/s/ Dennis F. Capovilla
 
 
Dennis F. Capovilla
 
 
Chief Executive Officer
 
 
 

EX-31.2 3 ex31_2.htm EXHIBIT 31.2 ex31_2.htm
EXHIBIT 31.2

CERTIFICATION PURSUANT TO SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002
(Principal Financial Officer)
 
I, Mallorie Burak, certify that:
 
1.
I have reviewed this quarterly report on Form 10-Q of Southwall Technologies Inc.;

2.
Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3.
Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

4.
The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rule 13a-15(f) and 15d-15(f)) for the registrant and have:

 
a)
Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 
b)
Designed such internal controls over financial reporting, or caused such internal controls over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 
c)
Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures as of the end of the period covered by this report based on our evaluation; and

 
d)
Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the registrant's most recent fiscal quarter (the registrant's fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting;

5.
The registrant’s other certifying officer and I have disclosed, based on our most recent valuation of internal control over financial reporting, to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

 
a)
All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize and report financial information; and

 
b)
Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.
 
Date:  August 12, 2011
By:
 
 
 
 
 
/s/ Mallorie Burak
 
 
Mallorie Burak
 
 
Vice President and Chief Accounting Officer
 
 
 

EX-32.1 4 ex32_1.htm EXHIBIT 32.1 ex32_1.htm
EXHIBIT 32.1
 
CERTIFICATION PURSUANT TO
PURSUANT TO SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002
(Subsections (a) and (b) of Section 1350, Chapter 63 of Title 18, United States Code)

In connection with the Quarterly Report on Form 10-Q of Southwall Technologies Inc. (the “Company”), for the quarter ended June 30, 2011, as filed with the Securities and Exchange Commission on the date hereof (the “Report”), I, Mr. Dennis Capovilla, the Principal Executive Officer of the Company, hereby certify, pursuant to Section 906 of the Sarbanes-Oxley Act of 2002 (subsections (a) and (b) of Section 1350, Chapter 63 of Title 18, United States Code) that:

 
1)
the Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and
 
2)
the information contained in the Report fairly presents, in all material respects, the financial condition and result of operations of the Company.
 
Date:   August 12, 2011
By:
/s/ Dennis F. Capovilla
 
 
 
Dennis F. Capovilla
 
 
 
Chief Executive Officer
 
 
A signed original of this written statement required by Section 906 has been provided to the Company and will be retained by the Company and furnished to the Securities and Exchange Commission or its staff upon request.
 
 

EX-32.2 5 ex32_2.htm EXHIBIT 32.2 ex32_2.htm
EXHIBIT 32.2
 
CERTIFICATION PURSUANT TO
PURSUANT TO SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002
(Subsections (a) and (b) of Section 1350, Chapter 63 of Title 18, United States Code)

In connection with the Quarterly Report on Form 10-Q of Southwall Technologies Inc. (the “Company”), for the quarter ended June 30, 2011, as filed with the Securities and Exchange Commission on the date hereof (the “Report”), I, Mallorie Burak, the Principal Financial Officer of the Company, hereby certify, pursuant to Section 906 of the Sarbanes-Oxley Act of 2002 (subsections (a) and (b) of Section 1350, Chapter 63 of Title 18, United States Code) that:
 
 
1)
the Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and
 
2)
the information contained in the Report fairly presents, in all material respects, the financial condition and result of operations of the Company.

Date:   August 12, 2011
By:
/s/ Mallorie Burak
 
 
 
Mallorie Burak
 
 
 
Vice President and Chief Accounting Officer
 
A signed original of this written statement required by Section 906 has been provided to the Company and will be retained by the Company and furnished to the Securities and Exchange Commission or its staff upon request.
 
 

EX-101.INS 6 swtx-20110630.xml XBRL INSTANCE DOCUMENT 0000813619 2011-06-30 0000813619 2010-12-31 0000813619 2011-04-01 2011-06-30 0000813619 2010-04-01 2010-06-30 0000813619 2011-01-01 2011-06-30 0000813619 2010-01-01 2010-06-30 0000813619 2009-12-31 0000813619 2010-06-30 0000813619 2011-07-29 iso4217:USD iso4217:USD xbrli:shares xbrli:shares 7450000 5902000 4440000 3466000 0 195000 78791000 78759000 1356000 1316000 -0.12 0.51 0.13 0.72 13400000 13776000 12454000 13130000 156000 154000 -863000 -2416000 1307000 1244000 1000000 -891000 <div><div style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><div align="left" style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><font style="display: inline; font-weight: bold; font-size: 10pt; font-family: Times New Roman;"><font style="display: inline; background-color: #ffffff;">Note 7 &#8211; Commitments and Contingencies</font></font></div></div><div style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><div style="display: block; text-indent: 0pt;"><br /></div></div><div style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><div align="left" style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-style: italic; font-family: Times New Roman;"><font style="display: inline; background-color: #ffffff;">Commitments</font></font></div></div><div style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><div style="display: block; text-indent: 0pt;"><br /></div></div><div style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><div align="left" style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: Times New Roman;"><font style="display: inline; background-color: #ffffff;">The Company leases certain property and equipment as well as its facilities under noncancellable operating leases.&#160;&#160;These leases expire at various dates through 2016.</font></font></div></div><div style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><div style="display: block; text-indent: 0pt;"><br /></div></div><div style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><div align="left" style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: Times New Roman;"><font style="display: inline; background-color: #ffffff;">In January 2006, the Company renewed a lease agreement for its research and development facility in Palo Alto, California. 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font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; 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font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">7.518</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">%(3)</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">-</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">78</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">78</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">78</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">115</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="#cceeff"><td valign="bottom" width="25%" style="margin-left: 0pt; text-indent: 0pt; margin-right: 0pt; text-align: left;"><div style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt; text-align: left;"><div align="left" style="display: block; margin-left: 9pt; text-indent: -9pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: times new roman;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">U.S. financing agreement dated </font>May 20, 2008</font></div></div></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">19.80</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">%(4)</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">-</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">147</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">147</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">147</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">224</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="white"><td valign="bottom" width="25%" style="padding-bottom: 2px; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt; text-align: left;"><div style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt; text-align: left;"><div style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt; text-align: left;"><div align="left" style="display: block; margin-left: 9pt; text-indent: -9pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: times new roman;"><font style="display: inline; font-size: 10pt; font-family: times new roman;"><font style="display: inline; 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text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">257</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">73</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">296</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; 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font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">-</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">482</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">482</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">298</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">635</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="white"><td valign="bottom" width="25%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160; </font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; 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font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">37</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">37</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">27</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">62</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="white"><td valign="bottom" width="25%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160; </font></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="#cceeff"><td valign="bottom" width="25%" style="margin-left: 0pt; text-indent: 0pt; margin-right: 0pt; text-align: left;"><div style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt; text-align: left;"><div align="left" style="display: block; margin-left: 18pt; text-indent: -9pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: times new roman;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">Total term debt and capital </font>lease obligations</font></div></div></td><td align="right" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">3,816</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">445</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">4,261</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">1,048</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; 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font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; 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font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">352</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; 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font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">11,357</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; 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text-indent: -9pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">Glass</font></div></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">436</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">433</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">619</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">433</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="#cceeff"><td align="left" valign="bottom" width="52%" style="padding-bottom: 4px;"><div align="left" style="display: block; margin-left: 9pt; 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font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 4px double; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">$</font></td><td valign="bottom" width="9%" style="border-bottom: black 4px double; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">11,790</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 4px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 4px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 4px double; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">$</font></td><td valign="bottom" width="9%" style="border-bottom: black 4px double; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">28,065</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 4px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 4px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 4px double; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">$</font></td><td valign="bottom" width="9%" style="border-bottom: black 4px double; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">22,271</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 4px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="white"><td valign="bottom" width="52%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160; </font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="#cceeff"><td align="left" valign="bottom" width="52%"><div align="left" style="display: block; margin-left: 9pt; text-indent: -9pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">Segment income (loss) from operations:</font></div></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="white"><td align="left" valign="bottom" width="52%"><div align="left" style="display: block; 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font-family: times new roman;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">3,044</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">5,955</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">4,965</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="#cceeff"><td align="left" valign="bottom" width="52%" style="padding-bottom: 2px;"><div align="left" style="display: block; margin-left: 18pt; text-indent: -9pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">Glass</font></div></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; 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font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="white"><td align="left" valign="bottom" width="52%"><div align="left" style="display: block; 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font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="#cceeff"><td align="left" valign="bottom" width="52%"><div align="left" style="display: block; margin-left: 18pt; text-indent: -9pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">Film</font></div></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; 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font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="white"><td align="left" valign="bottom" width="52%" style="padding-bottom: 2px;"><div align="left" style="display: block; margin-left: 18pt; text-indent: -9pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">Glass</font></div></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">170</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; 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font-family: times new roman;">&#160;</font></td><td valign="bottom" style="padding-bottom: 2px;"><font style="display: inline; font-weight: bold; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td colspan="2" valign="bottom" style="border-bottom: black 2px solid;"><div align="center" style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><font style="display: inline; font-weight: bold; font-size: 10pt; font-family: times new roman;">June&#160;30, 2011</font></div></td><td nowrap="nowrap" valign="bottom" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-weight: bold; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" style="padding-bottom: 2px;"><font style="display: inline; font-weight: bold; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td colspan="2" valign="bottom" style="border-bottom: black 2px solid;"><div align="center" style="display: block; margin-left: 0pt; 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font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">5</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">15</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">(2</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">)</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">13</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">315</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">(38</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">)</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">277</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="white"><td align="left" valign="bottom" width="16%"><div align="left" style="display: block; margin-left: 9pt; text-indent: -9pt; margin-right: 0pt;"><font style="display: inline; 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font-size: 10pt; font-family: times new roman;">170</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">(14</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">)</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">156</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">420</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">(82</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">)</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">338</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; 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font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">190</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">(11</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">)</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">179</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">190</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">(4</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">)</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">186</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="white"><td align="left" valign="bottom" width="16%"><div align="left" style="display: block; margin-left: 9pt; text-indent: -9pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">Non-compete agreement</font></div></td><td valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; 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font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">(6</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">)</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">9</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">15</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">(3</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">)</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">12</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="#cceeff"><td align="left" valign="bottom" width="16%" style="padding-bottom: 2px;"><div align="left" style="display: block; margin-left: 9pt; text-indent: -9pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">Other</font></div></td><td valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="padding-bottom: 2px; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">2- 5</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; 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font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">-</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; 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text-indent: 0pt; margin-right: 0pt;"><font style="display: inline; font-weight: bold; font-size: 10pt; font-family: Times New Roman;"><font style="display: inline; background-color: #ffffff;">Note 8 &#8211; Stock-Based Compensation</font></font></div></div><div style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><div style="display: block; text-indent: 0pt;"><br /></div></div><div style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><div align="left" style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: Times New Roman;"><font style="display: inline; background-color: #ffffff;">The Company has a stock-based compensation program that provides its Board of Directors broad discretion in creating employee equity incentives. 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margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><font style="display: inline; font-weight: bold; font-size: 10pt; font-family: times new roman;">June 30, 2011</font></div></td><td nowrap="nowrap" valign="bottom" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-weight: bold; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" style="padding-bottom: 2px;"><font style="display: inline; font-weight: bold; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td colspan="2" valign="bottom" style="border-bottom: black 2px solid;"><div align="center" style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><font style="display: inline; font-weight: bold; font-size: 10pt; font-family: times new roman;">June 30, 2010</font></div></td><td nowrap="nowrap" valign="bottom" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-weight: bold; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="#cceeff"><td align="left" valign="bottom" width="52%"><div align="left" style="display: block; 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font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">45</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">26</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">78</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">45</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; 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font-size: 10pt; font-family: times new roman;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">8,672</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">-</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="white"><td align="left" valign="bottom" width="64%" style="padding-bottom: 2px;"><div align="left" style="display: block; margin-left: 9pt; text-indent: -9pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">Certificates of deposit</font></div></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">1,703</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">1,703</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">-</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="#cceeff"><td align="left" valign="bottom" width="64%"><div align="left" style="display: block; margin-left: 18pt; text-indent: -9pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">Total cash equivalents</font></div></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">10,375</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">10,375</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">-</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="white"><td align="left" valign="bottom" width="64%" style="padding-bottom: 2px;"><div align="left" style="display: block; margin-left: 9pt; text-indent: -9pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">Cash</font></div></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">3,025</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">3,025</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">-</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="#cceeff"><td align="left" valign="bottom" width="64%" style="padding-bottom: 4px;"><div align="left" style="display: block; margin-left: 18pt; text-indent: -9pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">Total cash and cash equivalents</font></div></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 4px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 4px double; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">$</font></td><td valign="bottom" width="9%" style="border-bottom: black 4px double; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">13,400</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 4px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 4px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 4px double; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">$</font></td><td valign="bottom" width="9%" style="border-bottom: black 4px double; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">13,400</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 4px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 4px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 4px double; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">$</font></td><td valign="bottom" width="9%" style="border-bottom: black 4px double; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">-</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 4px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr></table></div><div>&#160;</div><div align="left"><table cellpadding="0" cellspacing="0" width="100%" style="font-size: 10pt; font-family: times new roman;"><tr><td align="left" valign="bottom" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160; </font></td><td valign="bottom" style="padding-bottom: 2px;"><font style="display: inline; font-weight: bold; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td colspan="10" valign="bottom" style="border-bottom: black 2px solid;"><div align="center" style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><font style="display: inline; font-weight: bold; font-size: 10pt; font-family: times new roman;">December 31, 2010</font></div></td><td nowrap="nowrap" valign="bottom" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-weight: bold; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr><td align="left" valign="bottom" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160; </font></td><td valign="bottom" style="padding-bottom: 2px;"><font style="display: inline; font-weight: bold; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td colspan="2" valign="bottom" style="border-bottom: black 2px solid;"><div align="center" style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><font style="display: inline; font-weight: bold; font-size: 10pt; font-family: times new roman;">Fair Value</font></div></td><td nowrap="nowrap" valign="bottom" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-weight: bold; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" style="padding-bottom: 2px;"><font style="display: inline; font-weight: bold; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td colspan="2" valign="bottom" style="border-bottom: black 2px solid;"><div align="center" style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><font style="display: inline; 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font-size: 10pt; font-family: times new roman;">Gain, net</font></div></td><td nowrap="nowrap" valign="bottom" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-weight: bold; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="#cceeff"><td align="left" valign="bottom" width="64%"><div align="left" style="display: block; margin-left: 9pt; text-indent: -9pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">Money Market Funds, Level I</font></div></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">8,990</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">8,990</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">$</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">-</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="white"><td align="left" valign="bottom" width="64%" style="padding-bottom: 2px;"><div align="left" style="display: block; margin-left: 9pt; text-indent: -9pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">Certificates of deposit</font></div></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">2,000</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">2,000</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%" style="padding-bottom: 2px;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="border-bottom: black 2px solid; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="border-bottom: black 2px solid; text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">-</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="padding-bottom: 2px; text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td></tr><tr bgcolor="#cceeff"><td align="left" valign="bottom" width="64%"><div align="left" style="display: block; margin-left: 18pt; text-indent: -9pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">Total cash equivalents</font></div></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">10,990</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td align="left" valign="bottom" width="1%"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">&#160;</font></td><td valign="bottom" width="9%" style="text-align: right;"><font style="display: inline; font-size: 10pt; font-family: times new roman;">10,990</font></td><td nowrap="nowrap" valign="bottom" width="1%" style="text-align: left;"><font style="display: inline; 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&#8220;Southwall,&#8221; &#8220;Registrant,&#8221; &#8220;We,&#8221; &#8220;Our&#8221; or &#8220;Us.&#8221;</font></font></div></div><div style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><div style="display: block; text-indent: 0pt;"><br /></div></div><div style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><div align="left" style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: Times New Roman;"><font style="display: inline; background-color: #ffffff;">The accompanying interim condensed consolidated financial statements of Southwall are unaudited and have been prepared in accordance with accounting principles generally accepted in the United States of America (GAAP) for interim financial information and with the instructions to Form 10-Q and Article 10 of Regulation S-X. 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The results of operations for the interim periods presented are not necessarily indicative of the operating results to be expected for any future periods.</font></font></div></div><div style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><div style="display: block; text-indent: 0pt;"><br /></div></div><div style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><div align="left" style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: Times New Roman;"><font style="display: inline; background-color: #ffffff;">The preparation of consolidated financial statements in conformity with GAAP requires management to make estimates and assumptions, based on all known facts and circumstances that affect the reported amounts of assets and liabilities, disclosure of contingent assets and liabilities at the date of the consolidated financial statements and the reported amounts of revenues and expenses during the periods.&#160;&#160;Management makes these estimates using the best information available at the time of the estimates.&#160;&#160;The estimates included in preparing our financial statements include:&#160;&#160;allowance for doubtful accounts and sales returns, quarterly income taxes, inventory valuations (including reserves for excess and obsolete and impaired inventories), reserves for decommissioning costs associated with leasehold asset retirement obligations, impairment of goodwill and other long-lived assets and the valuation of stock-based compensation.&#160;&#160;Actual results could differ from those estimates.</font></font></div><div style="display: block; text-indent: 0pt;"><br /></div></div><div align="left" style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-style: italic; font-family: Times New Roman;">Reverse Stock Split</font></div><div style="display: block; text-indent: 0pt;"><br /></div><div align="left" style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><font style="display: inline; font-size: 10pt; font-family: Times New Roman;">On March 17, 2011, the Company completed a 1-for-5 reverse stock split of its common stock, pursuant to previously obtained stockholder approval on May 12, 2010.&#160;&#160;The reverse stock split reduced the number of shares of the Company's common stock issued and outstanding from approximately 28.8 million to approximately 5.8 million.&#160;&#160;In connection with the reverse stock split, the Company also reduced the number of our authorized shares of common stock from 50 million to 10 million to reflect the reverse stock split ratio.&#160;&#160;All share and per share amounts for the three and six months ended June 30, 2010 herein are presented on a post-reverse stock split basis.</font></div><div style="display: block; 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Doors, LLC (&#8220;Sound Solutions&#8221;), creating SIG, which manufactures insulated glass units for the domestic market, to further expand the market for the Company's Heat Mirror product.&#160;&#160;As of December 31, 2009, Southwall IG Holdings, Inc. had a 50% investment in SIG.&#160;&#160;In 2009, Southwall IG Holdings, Inc. advanced a total of $300 in the form of a promissory note to Sound Solutions.&#160;&#160;Pursuant to the terms of the promissory note dated May 11, 2009, the principal and accrued interest was due and payable to Southwall IG Holdings, Inc. by January 1, 2010.&#160;&#160;Under terms of the note, in the event of default, the outstanding principal was to be paid in the form of a credit to the Southwall IG Holdings, Inc. capital account.</font></font></div></div><div style="display: block; margin-left: 0pt; text-indent: 0pt; margin-right: 0pt;"><div style="display: block; text-indent: 0pt;"><br /></div></div><div style="display: block; margin-left: 0pt; text-indent: 0pt; 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$1.00 stated value; 5,000 shares authorized, 4,893 shares outstanding at June 30, 2011 and December 31, 2010 (liquidation preference: $7,989 and $7,745 at June 30, 2011 and December 31, 2010, respectively) Series A 10% cumulative convertible preferred stock, shares authorized (in share) Series A 10% cumulative convertible preferred stock, shares outstanding (in shares) Deferred tax and other assets Operating expenses: Total operating expenses Operating Expenses Net income (loss) per common share (1): Earnings Per Share [Abstract] Common stock, par value (in dollars per share) Total Southwall stockholders' equity Stockholders' Equity Attributable to Parent Provision for (benefit from) income taxes Net Income Per Common Share Earnings Per Share [Text Block] Net income (loss) Net income Net loss attributable to noncontrolling interest Net Income (Loss) Attributable to Noncontrolling Interest Weighted average shares used in computing per share amounts (1): Depreciation and amortization Total stockholders' equity Stockholders' Equity, Including Portion Attributable to Noncontrolling Interest Commitments and contingencies (Note 7) Commitments and Contingencies Adjustments to reconcile net income to net cash (used in) provided by operating activities: Accounts payable Accrued compensation Other accrued liabilities Basis of Presentation Organization, Consolidation and Presentation of Financial Statements Disclosure and Significant Accounting Policies [Text Block] Income (loss) before provision for (benefit from) income taxes Income (Loss) from Continuing Operations before Income Taxes, Extraordinary Items, Noncontrolling Interest Recent Accounting Pronouncements Description of New Accounting Pronouncements Not yet Adopted [Text Block] Series A 10% cumulative convertible preferred stock, par value (in dollars per share) Series A 10% cumulative convertible preferred stock, liquidation preference (in dollars per share) Acquisitions Mergers, Acquisitions and Dispositions Disclosures [Text Block] Segment Reporting Non-cash effect of acquisition of controlling interest in SIG Other Noncash Income (Expense) Balance Sheet Detail Supplemental Balance Sheet Disclosures [Text Block] Supplemental cash flow disclosures: Supplemental schedule of non-cash investing and financing activities: Deemed dividend on preferred stock Amendment Flag Current Fiscal Year End Date Document Period End Date Entity [Text Block] Entity Well-known Seasoned Issuer Entity Voluntary Filers Entity Current Reporting Status Entity Filer Category Entity Public Float Entity Registrant Name Entity Central Index Key Entity Common Stock, Shares Outstanding Document Fiscal Year Focus Document Fiscal Period Focus Document Type Cumulative Convertible Preferred Stock Stated Value Stated value per share of stock classified as temporary equity; 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Series A 10% cumulative convertible preferred stock, stated value (in dollars per share) Deposits applied to acquisition of property, plant and equipment Deposits applied related to property, plant and equipment in noncash investing and financing transactions. Basis of Presentation [Abstract] Basis of Presentation Recent Accounting Pronouncements [Abstract] Recent Accounting Pronouncements Fair Value Measurements [Abstract] Fair Value Measurements Balance Sheet Detail [Abstract] Balance Sheet Detail Net Income Per Common Share [Abstract] Net Income Per Common Share Commitments and Contingencies [Abstract] Commitments and Contingencies Stock-Based Compensation [Abstract] Stock-Based Compensation Allowance for Sales Returns [Text Block] The entire disclosure for the valuation allowance for the amount of products sold that the entity expects to be returned by the purchaser. 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UNAUDITED CONDENSED CONSOLIDATED BALANCE SHEETS (Parenthetical) (USD $)
In Thousands, except Share data
Jun. 30, 2011
Dec. 31, 2010
Current assets:    
Accounts receivable, net of allowances for sales returns and doubtful accounts $ 1,356 $ 1,316
LIABILITIES, PREFERRED STOCK AND STOCKHOLDERS' EQUITY    
Series A 10% cumulative convertible preferred stock, par value (in dollars per share) $ 0.001 $ 0.001
Series A 10% cumulative convertible preferred stock, stated value (in dollars per share) $ 1.00 $ 1.00
Series A 10% cumulative convertible preferred stock, shares authorized (in share) 5,000 5,000
Series A 10% cumulative convertible preferred stock, shares outstanding (in shares) 4,893 4,893
Series A 10% cumulative convertible preferred stock, liquidation preference (in dollars per share) $ 7,989 $ 7,745
Southwall stockholders' equity:    
Common stock, par value (in dollars per share) $ 0.001 $ 0.001
Common stock, shares authorized (in shares) 10,000 10,000
Common stock, shares outstanding (in shares) 5,811 5,799
XML 12 R4.htm IDEA: XBRL DOCUMENT  v2.3.0.11
UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS (USD $)
In Thousands, except Share data
3 Months Ended 6 Months Ended
Jun. 30, 2011
Jun. 30, 2010
Jun. 30, 2011
Jun. 30, 2010
UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS [Abstract]        
Net revenues $ 13,534 $ 11,790 $ 28,065 $ 22,271
Cost of revenues 7,763 5,891 16,167 11,659
Gross profit 5,771 5,899 11,898 10,612
Operating expenses:        
Research and development 1,113 792 2,147 1,584
Selling, general and administrative 2,938 2,266 5,877 4,266
Goodwill and intangible assets impairment 1,833 0 1,833 0
Total operating expenses 5,884 3,058 9,857 5,850
Income (loss) from operations (113) 2,841 2,041 4,762
Interest expense, net (65) (64) (131) (159)
Other income (expense), net 64 123 336 (358)
Income (loss) before provision for (benefit from) income taxes (114) 2,900 2,246 4,245
Provision for (benefit from) income taxes 531 (107) 1,481 (99)
Net income (loss) (645) 3,007 765 4,344
Net loss attributable to noncontrolling interest 58 30 219 30
Net income (loss) attributable to Southwall (587) 3,037 984 4,374
Deemed dividend on preferred stock 122 122 244 244
Net income attributable to common stockholders $ (709) $ 2,915 $ 740 $ 4,130
Net income (loss) per common share (1):        
Basic (in dollars per share) $ (0.12) $ 0.51 $ 0.13 $ 0.72
Diluted (in dollars per share) $ (0.12) $ 0.42 $ 0.14 $ 0.61
Weighted average shares used in computing per share amounts (1):        
Basic (in shares) 5,811 5,766 5,809 5,762
Diluted (in shares) 5,811 7,215 7,204 7,198
XML 13 R1.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Document And Entity Information (USD $)
6 Months Ended
Jun. 30, 2011
Jul. 29, 2011
Jun. 30, 2010
Entity Registrant Name SOUTHWALL TECHNOLOGIES INC /DE/    
Entity Central Index Key 0000813619    
Current Fiscal Year End Date --12-31    
Entity Well-known Seasoned Issuer No    
Entity Voluntary Filers No    
Entity Current Reporting Status Yes    
Entity Filer Category Smaller Reporting Company    
Entity Public Float     $ 18,936,205
Entity Common Stock, Shares Outstanding   5,811,868  
Document Fiscal Year Focus 2011    
Document Fiscal Period Focus Q2    
Document Type 10-Q    
Amendment Flag false    
Document Period End Date Jun. 30, 2011
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Commitments and Contingencies
6 Months Ended
Jun. 30, 2011
Commitments and Contingencies [Abstract]  
Commitments and Contingencies
Note 7 – Commitments and Contingencies

Commitments

The Company leases certain property and equipment as well as its facilities under noncancellable operating leases.  These leases expire at various dates through 2016.

In January 2006, the Company renewed a lease agreement for its research and development facility in Palo Alto, California. The lease was renewed in January 2011 for an additional twelve months.  Under this lease agreement, the Company had accrued $480 for leasehold retirement obligations, which is included in other accrued liabilities in the accompanying condensed consolidated balance sheets.  The method and timing of payments are not yet finalized, and therefore, this estimate of the Company's liability could differ from the actual future settlement amount.

As of June 30, 2011, the Company had unconditional purchase obligations to procure manufacturing raw material of $2,258 and equipment of $2,986.

Credit Agreement with Wells Fargo Bank

In June 2011, the Company renewed its Credit Agreement with Wells Fargo Bank (“Bank”).  The Credit Agreement provides for a $3,000 revolving line of credit.  Advances under the line exceeding $1,500 will be limited to 80% of eligible accounts receivable.  The Company will not be eligible for additional borrowings if the Company's consolidated cash balance falls below $3,500.  Amounts borrowed under the line of credit bear interest at either prime plus 0.75% or LIBOR plus 3.5%, determined at the discretion of the Company, and is annualized on the average daily financed amount outstanding.  All borrowings under the line of credit facility are collateralized by the Company's assets in the United States and are subject to certain covenants including minimum quarterly net income and minimum liquid asset requirements. The line of credit facility matures in June 2012.

In August 2010, the Company's Credit Agreement with the Bank was amended to provide for a $1,250 term loan, which was funded on September 2, 2010.  Amounts borrowed under the term loan are payable over 36 months in equal installments and bear interest at a fixed rate of 4.05%.  The Credit Agreement was further amended to provide covenants for tangible net worth and fixed charge coverage ratio.

The Company has classified $481 and $695 outstanding under the Bank term loan and capital lease as a short-term liability and long-term liability, respectively, at June 30, 2011.  The Company is obligated to pay an aggregate of $417 in principal under its Wells Fargo term loan in 2011.

On December 27, 2010, the Company entered into a lease agreement with the Bank to finance research and development equipment.  The lease term is 48 months and requires monthly payments.  As of June 30, 2011, the principal balance of this lease was $238.

We were not in compliance with the minimum net income covenant under the Credit Agreement and capital lease with the Bank as of June 30, 2011.  On August 4, 2011, the Company obtained a waiver of noncompliance from the Bank as of June 30, 2011.

Term Debt and Capital Lease Obligations

As of June 30, 2011, the Company's term debt and capital lease obligations consisted of the following:
 
Description
 
Rate
  
Term Debt
Balance at
June 30,
2011
  
Capital Lease
Balance at
June 30,
2011
  
Total Debt
Balance at
June 30,
2011
  
Due In
Next 12
Months
  
Balance at
December 31,
2010
 
                    
                   
German bank loan dated May 28, 1999 (20 year)
  5.73%(1) $2,878  $-  $2,878  $360  $2,816 
                         
Wells Fargo Bank dated September 2, 2010 (3 year)
  4.05%(2)  938   -   938   417   1,146 
Total term debt
      3,816   -   3,816   777   3,962 
                          
German bank financed lease dated June 1, 2008
  7.518%(3)  -   78   78   78   115 
U.S. financing agreement dated May 20, 2008
  19.80%(4)  -   147   147   147   224 
Wells Fargo Bank financing agreement dated December 27, 2010
  4.47%(4)  -   257   257   73   296 
Total capital leases
      -   482   482   298   635 
                          
Less interest on capital leases
      -   37   37   27   62 
                          
Total term debt and capital lease obligations
      3,816   445   4,261   1,048   4,535 
                          
Less current portion
      777   271   1,048   -   1,024 
                          
Total term debt and capital lease obligations, non-current
     $3,039  $174  $3,213  $1,048  $3,511 
________
 
(1) Interest rate was reset on September 16, 2009 to 5.73%.

(2) Interest rate is fixed at 4.05%.

(3) Interest rate is fixed at 7.518% until payoff.

(4) Implied interest rate based on a lease rate factor.

Contingencies

The Company is involved in certain other legal actions arising in the ordinary course of business. The Company believes, however, that none of these actions, either individually or in the aggregate, will have a material adverse effect on its business, its consolidated financial position, results of operations or cash flows.
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Acquisitions
6 Months Ended
Jun. 30, 2011
Acquisitions [Abstract]  
Acquisitions
Note 12 – Acquisitions

Controlling Interest in Joint Venture

In 2008, Southwall IG Holdings, Inc., a wholly owned subsidiary of Southwall Technologies Inc., entered into a Joint Venture Agreement with Sound Solutions Window & Doors, LLC (“Sound Solutions”), creating SIG, which manufactures insulated glass units for the domestic market, to further expand the market for the Company's Heat Mirror product.  As of December 31, 2009, Southwall IG Holdings, Inc. had a 50% investment in SIG.  In 2009, Southwall IG Holdings, Inc. advanced a total of $300 in the form of a promissory note to Sound Solutions.  Pursuant to the terms of the promissory note dated May 11, 2009, the principal and accrued interest was due and payable to Southwall IG Holdings, Inc. by January 1, 2010.  Under terms of the note, in the event of default, the outstanding principal was to be paid in the form of a credit to the Southwall IG Holdings, Inc. capital account.

Effective January 1, 2010, Sound Solutions had not paid the principal balance of $300 and was in default of the promissory note.  The $300, for which Sound Solutions had received equity consideration in SIG, was credited to Southwall IG Holdings, Inc.'s capital account in SIG, thereby increasing the Company's equity ownership to 66.3%. This change in equity did not result in Southwall IG Holdings, Inc. acquiring a controlling interest in SIG, as governance did not change as a result of the equity event. For the three months and six months ended June 30, 2010, SIG was accounted for under the equity method of accounting and the Company's share of SIG's net losses of $108 and $333, respectively, were included in “other income (expense), net” in the condensed consolidated statements of operations.

On May 20, 2010, the Joint Venture Agreement was amended allowing Southwall IG Holding, Inc. to make additional cash contributions to the joint venture.  In order to acquire an additional 8.7% to obtain 75% equity ownership, the Company relinquished $256 of value allowing Sound Solutions to maintain a 25% equity interest in SIG.  This transaction triggered a business combination event, which resulted in the consolidation of total assets and liabilities of SIG. Subsequently in 2010, the Company increased its equity ownership in SIG to 80%. During the six months ended June 30, 2011, the Company increased its equity ownership in SIG to 100%.

The unaudited pro forma net revenues for the three months and six months ended June 30, 2010 were $12,194 and $23,288, respectively, and net income attributable to Southwall for the three and six months ended June 30, 2010 were $2,148 and $3,448, respectively.

Crown Operations International

On August 30, 2010, Crown International Acquisition Company, LLC, a wholly owned subsidiary of Southwall Technologies Inc., acquired the operating assets of Crown Operations International, Ltd. (“Crown Operations”), for $3,302 in cash.  Subsequent to the acquisition of Crown Operations, Crown International Acquisition Company, LLC changed its name to Crown Operations International, LLC (“COI”).  Crown Operations is an interlayer converting and laminating facility.  The unaudited pro forma net revenues for the three and six months ended June 30, 2010 were $12,003 and $22,682, respectively, and net income for the three and six months ended June 30, 2010 were $3,238 and $4,835, respectively.
XML 18 R8.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Fair Value Measurements
6 Months Ended
Jun. 30, 2011
Fair Value Measurements [Abstract]  
Fair Value Measurements
Note 3 – Fair Value Measurements

The Company has estimated the fair value amounts of its financial instruments, including cash and cash equivalents, accounts receivable, accounts payable and accrued liabilities using available market information and valuation methodologies considered to be appropriate and has determined that the book value of those instruments at June 30, 2011 approximates fair value.
 
Based on borrowing rates currently available to the Company for debt and capital lease obligations with similar terms, the carrying value of our term debt and capital lease obligations approximates fair value.

Southwall invests its cash primarily in money market funds.  The Company utilizes the market approach to measure fair value of its financial assets.

Cash and cash equivalents are summarized as follows:
 
   
June 30, 2011
 
   
Fair Value
  
Book Value
  
Unrealized
Gain, net
 
Money market funds, Level I
 $8,672  $8,672  $- 
Certificates of deposit
  1,703   1,703   - 
Total cash equivalents
  10,375   10,375   - 
Cash
  3,025   3,025   - 
Total cash and cash equivalents
 $13,400  $13,400  $- 
 
   
December 31, 2010
 
   
Fair Value
  
Book Value
  
Unrealized
Gain, net
 
Money Market Funds, Level I
 $8,990  $8,990  $- 
Certificates of deposit
  2,000   2,000   - 
Total cash equivalents
  10,990   10,990   - 
Cash
  2,786   2,786   - 
Total cash and cash equivalents
 $13,776  $13,776  $- 

The Company's financial assets and liabilities are valued using market prices on active markets (Level 1).  Level 1 instrument valuations are obtained from real-time quotes for transactions in active exchange markets involving identical assets.  As of June 30, 2011, the Company did not have any Level 2 instrument valuations which were obtained from readily available pricing sources for comparable instruments or any Level 3 instruments without observable market values that would require a high level of judgment to determine fair value.
XML 19 R14.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Allowance for Sales Returns
6 Months Ended
Jun. 30, 2011
Allowance for Sales Returns [Abstract]  
Allowance for Sales Returns
Note 9 – Allowance for Sales Returns

The Company establishes an allowance for sales returns for specifically identified, as well as anticipated sales returns, based on experience. The activity in the allowance for sales returns account during the six months ended June 30, 2011 and 2010 was as follows:
 
  
Balance at
December 31, 2010
  
Provision
  
Utilized
  
Balance at
June 30, 2011
 
Allowance for Sales Returns
 $1,187  $351  $(252) $1,286 
 
  
Balance at
December 31, 2009
  
Provision
  
Utilized
  
Balance at
June 30, 2010
 
Allowance for Sales Returns
 $607  $656  $(349) $914 

These amounts are included in accounts receivable, net, in the condensed consolidated balance sheets.
XML 20 R19.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Total Equity
6 Months Ended
Jun. 30, 2011
Total Equity [Abstract]  
Total Equity
Note 14 – Total Equity

A summary of the changes in equity for the three and six months ended June 30, 2011 is as follows:

   
Six Months Ended June 30, 2011
 
   
Southwall
       
   
Stockholders'
  
Noncontrolling
  
Total
 
   
Equity
  
Interest
  
Equity
 
Balance at December 31, 2010
 $32,026  $(27) $31,999 
Fair market value NCI of SIG
  (246)  246   - 
Stock-based compensation expense
  451   -   451 
Stock option exercises
  71   -   71 
Dividend accrual on Series A preferred stock
            
preferred stock
  (244)  -   (244)
Total comprehensive income (loss)
  1,958   (219)  1,739 
Balance at June 30, 2011
 $34,016  $-  $34,016 
XML 21 R15.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Comprehensive Income (Loss)
6 Months Ended
Jun. 30, 2011
Comprehensive Income [Abstract]  
Comprehensive Income
Note 10 – Comprehensive Income (Loss)

The components of comprehensive income (loss) for the three and six months ended June 30, 2011 and 2010, respectively, were as follows:

   
Three Months Ended
  
Six Months Ended
 
   
June 30, 2011
  
June 30, 2010
  
June 30, 2011
  
June 30, 2010
 
Net income (loss)
 $(645) $3,007  $765  $4,344 
Foreign currency translation adjustment
  266   (982)  974   (1,707)
Other comprehensive income (loss)
 $(379) $2,025  $1,739  $2,637 
XML 22 R13.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Stock-Based Compensation
6 Months Ended
Jun. 30, 2011
Stock-Based Compensation [Abstract]  
Stock-Based Compensation
Note 8 – Stock-Based Compensation

The Company has a stock-based compensation program that provides its Board of Directors broad discretion in creating employee equity incentives. The Company has granted stock options under various option plans and agreements in the past and currently grants stock options under the 2007 Long Term Incentive Plan (“2007 Plan”), which authorizes the granting of up to 10,000 shares of common stock. Under the terms of the 2007 Plan, the Company can grant both Incentive Stock Options and Nonstatutory Stock Options.  Grants issued under the 2007 Plan vest and become exercisable at a rate of 25% on each anniversary of the date of grant and become fully vested on the fourth anniversary of the date of grant provided that the participant remains an employee or service provider of the Company or a related company.  Each option granted under the 2007 Plan is non-transferable and expires over terms not exceeding ten years from the date of grant or 30 days after an option holder's voluntary termination from the Company.  If an option holder's employment is terminated involuntarily for misconduct, the option will terminate immediately and may no longer be exercised.  Involuntary termination not for misconduct allows for the option holder to exercise options within a period of three months after such termination of service occurs.  The 2007 Plan provides for longer expiration periods for employees who terminate, but who were employed with the Company in excess of five years.  Pursuant to the provisions set forth in the 2007 Plan, the option expiration will be extended anywhere from three months to one year, dependent upon the employee's years of service.  These provisions apply to options that expire as the result of involuntary termination not for misconduct. As of June 30, 2011, there were 1,066 shares of common stock available for grant under the 2007 Plan.

The following table sets forth the total stock-based compensation for the periods indicated:

   
Three Months Ended
  
Six Months Ended
 
   
June 30, 2011
  
June 30, 2010
  
June 30, 2011
  
June 30, 2010
 
Cost of revenues
 $6  $4  $10  $6 
Research and development
  45   26   78   45 
Selling, general and administrative
  200   123   363   214 
Stock-based compensation expense before income taxes
  251   153   451   265 
Income tax benefit
  -   -   -   - 
Total
 $251  $153  $451  $265 

There were $0 and $20 of cash proceeds from the exercise of stock options for the three months ended June 30, 2011 and 2010, respectively.  The Company presents excess tax benefits from the exercise of stock options, if any, as financing cash flows.

The fair value of stock-based awards was estimated using the Black-Scholes model with the following weighted-average assumptions for stock options granted during the three and six months ended June 30, 2011 and 2010:

   
Three Months Ended
  
Six Months Ended
 
   
June 30, 2011
  
June 30, 2010
  
June 30, 2011
  
June 30, 2010
 
Expected life (in years)
  5.0   -   5.0   5.0 
Risk-free interest rate
  1.67%  -%  2.16%  2.62%
Volatility
  121%  -%  122%  104%
Dividend
  -   -   -   - 
Per share weighted average fair value at grant date (1)
 $10.19  $-  $9.28  $6.11 
 
(1)
The amount for the three and six months ended June 30, 2010 has been restated to reflect the Company's 1-for-5 reverse stock split described in Note 1 to these condensed consolidated financial statements.

The Company's computation of expected volatility was based on historical volatility. The Company's computation of expected life was based on historical exercise patterns. The interest rate for periods within the expected life of the award is based on the U.S. Treasury yield in effect at the time of grant.

The Company has not in the past and does not plan to issue dividends in the future.

Stock option activity for the six months ended June 30, 2011 was as follows:

   
Number of
Options
  
Weighted
Average
Exercise Price
  
Remaining
Contractual
Weighted
Average
Term (in years)
  
Aggregate
Intrinsic
Value
 
Outstanding at December 31, 2010
  1,287  $4.49       
Granted
  252  $11.07       
Exercised
  (13) $5.24       
Cancelled or expired
  (24) $8.88       
Outstanding at June 30, 2011
  1,502  $5.52   6.78  $10,593 
                  
Vested and expected to vest at June 30, 2011
  1,342  $5.17   6.52  $9,929 
Exercisable at June 30, 2011
  910  $3.85   5.47  $7,931 

The aggregate intrinsic value in the table above represents the total pretax intrinsic value (the difference between Southwall's closing stock price on the last trading day of its second quarter of fiscal 2011 and the exercise price, times the number of shares) that would have been received by the option holders had all option holders exercised their options on June 30, 2011.  This amount changes based on the fair market value of Southwall's stock.  Total intrinsic value of options exercised was $86 for the six months ended June 30, 2011. There were no options exercised during the three months ended June 30, 2011.

As of June 30, 2011, $2,299 of total unrecognized compensation cost, net of forfeitures, related to stock options was expected to be recognized over a weighted-average period of approximately 3.16 years.
XML 23 R6.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Basis of Presentation
6 Months Ended
Jun. 30, 2011
Basis of Presentation [Abstract]  
Basis of Presentation
Note 1 – Basis of Presentation

Southwall Technologies Inc., including its wholly owned subsidiaries, Southwall Europe GmbH, Southwall IG Holdings, Inc., Southwall Insulating Glass, LLC (“SIG”) and Crown Operations International, LLC, are hereafter referred to as the “Company,” “Southwall,” “Registrant,” “We,” “Our” or “Us.”

The accompanying interim condensed consolidated financial statements of Southwall are unaudited and have been prepared in accordance with accounting principles generally accepted in the United States of America (GAAP) for interim financial information and with the instructions to Form 10-Q and Article 10 of Regulation S-X. Accordingly, certain information and footnote disclosure normally included in financial statements prepared in accordance with GAAP have been condensed or omitted.  In the opinion of management, the unaudited condensed consolidated financial statements reflect all adjustments considered necessary to present fairly the financial position, results of operations and cash flows of Southwall for all periods presented. The year-end consolidated balance sheet data was derived from audited financial statements, but does not include all disclosures required by GAAP. The Company suggests that these condensed consolidated financial statements be read in conjunction with the consolidated financial statements and notes thereto contained in the Company's Form 10-K for the year ended December 31, 2010 filed with the Securities and Exchange Commission on March 29, 2011. The results of operations for the interim periods presented are not necessarily indicative of the operating results to be expected for any future periods.

The preparation of consolidated financial statements in conformity with GAAP requires management to make estimates and assumptions, based on all known facts and circumstances that affect the reported amounts of assets and liabilities, disclosure of contingent assets and liabilities at the date of the consolidated financial statements and the reported amounts of revenues and expenses during the periods.  Management makes these estimates using the best information available at the time of the estimates.  The estimates included in preparing our financial statements include:  allowance for doubtful accounts and sales returns, quarterly income taxes, inventory valuations (including reserves for excess and obsolete and impaired inventories), reserves for decommissioning costs associated with leasehold asset retirement obligations, impairment of goodwill and other long-lived assets and the valuation of stock-based compensation.  Actual results could differ from those estimates.

Reverse Stock Split

On March 17, 2011, the Company completed a 1-for-5 reverse stock split of its common stock, pursuant to previously obtained stockholder approval on May 12, 2010.  The reverse stock split reduced the number of shares of the Company's common stock issued and outstanding from approximately 28.8 million to approximately 5.8 million.  In connection with the reverse stock split, the Company also reduced the number of our authorized shares of common stock from 50 million to 10 million to reflect the reverse stock split ratio.  All share and per share amounts for the three and six months ended June 30, 2010 herein are presented on a post-reverse stock split basis.

Reclassifications

Certain reclassifications have been made to the prior year's condensed consolidated balance sheet and condensed consolidated statement of cash flows to conform to the current year presentation.
XML 24 R9.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Balance Sheet Detail
6 Months Ended
Jun. 30, 2011
Balance Sheet Detail [Abstract]  
Balance Sheet Detail
Note 4 – Balance Sheet Detail

   
June 30,
  
December 31,
 
   
2011
  
2010
 
Inventories, net
      
Raw materials
 $4,009  $3,072 
Work-in-process
  1,472   817 
Finished goods
  1,423   1,647 
   $6,904  $5,536 
Property, plant and equipment
        
Land, buildings and leasehold improvements
 $10,165  $9,453 
Machinery and equipment
  35,749   33,099 
Furniture and fixtures
  2,979   2,769 
    48,893   45,321 
Less: accumulated depreciation and amortization
  (33,614)  (30,086)
   $15,279  $15,235 
XML 25 R10.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Net Income (Loss) Per Common Share
6 Months Ended
Jun. 30, 2011
Net Income Per Common Share [Abstract]  
Net Income Per Common Share
Note 5 – Net Income (Loss) Per Common Share

 Basic net income (loss) per common share is computed by dividing net income (loss) attributable to common stockholders (numerator) by the weighted average number of common shares outstanding (denominator) for the period. Diluted net income (loss) per common share gives effect to all dilutive common shares potentially outstanding during the period, including stock options and convertible preferred stock. The Company excludes options from the computation of diluted weighted average shares outstanding if the exercise price of the options is greater than the average market price of the shares because the inclusion of these options would be anti-dilutive to net income (loss) per share. The Company also excludes preferred shares convertible into common stock from the computation of diluted weighted average shares outstanding when the effect would be anti-dilutive.

At June 30, 2011 and 2010, 3 and 156 outstanding options, respectively, were excluded from the dilutive net income per common share calculation, as they were anti-dilutive because the option prices were higher than the average market price during each of the six-month periods.

The Company has accrued a deemed dividend on preferred stock of $122 for each of the three-month periods ended June 30, 2011 and 2010.  The dilutive effect of convertible securities shall be reflected in diluted net income (loss) per share by application of the if-converted method. Under this method, if an entity has convertible preferred stock outstanding, the preferred dividends applicable to convertible preferred stock shall be added back to the numerator unless their effect is anti-dilutive.

Tables summarizing net income attributable to common stockholders, basic and diluted net income (loss) per common share, and weighted shares outstanding are shown below:
 
   
Three Months Ended
  
Six Months Ended
 
   
June 30, 2011
  
June 30, 2010
  
June 30, 2011
  
June 30, 2010
 
Net income (loss) attributable to common stockholders - basic
 $(709) $2,915  $740  $4,130 
Add:  Deemed dividend on preferred stock
  -   122   244   244 
Net income (loss) attributable to common stockholders - diluted
 $(709) $3,037  $984  $4,374 
                  
Weighted average common shares outstanding - basic (1)
  5,811   5,766   5,809   5,762 
Dilutive effect of Series A preferred shares
  -   978   978   978 
Dilutive effect of stock options
  -   471   417   458 
Weighted average common shares outstanding - diluted (1)
  5,811   7,215   7,204   7,198 
                  
Basic net income (loss) per common share
 $(0.12) $0.51  $0.13  $0.72 
Diluted net income (loss) per common share
 $(0.12) $0.42  $0.14  $0.61 
 
(1)
All share and per share amounts have been retroactively restated for the three and six months ended June 30, 2010 to reflect the Company's 1-for-5 reverse stock split described in Note 1 to these condensed consolidated financial statements.

 
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Goodwill and Intangible Assets
6 Months Ended
Jun. 30, 2011
Goodwill and Intangible Assets [Abstract]  
Goodwill and Intangible Assets
Note 13 – Goodwill and Intangible Assets

Goodwill

The Company reviews goodwill for impairment annually as of December 31 and whenever events or changes in circumstances indicate the carrying value of an asset may not be recoverable in accordance with authoritative guidance.  The circumstances that could trigger a goodwill impairment could include, but are not limited to, the following items to the extent that management believes the occurrence of one or more would make it more likely than not that we would fail the first step of the goodwill impairment test: significant adverse change in legal factors or in the business climate, an adverse action or assessment by a regulator, unanticipated competition, a loss of key personnel, a more-likely-than-not expectation that a reporting unit or a significant portion will be sold or otherwise disposed of, a portion of a reporting unit's goodwill has been included in the carrying amounts of a business that will be disposed or if our market capitalization is below our net book value.

During the three month period ending June 30, 2011, the Company altered its business strategy to no longer support the Glass Segment's standard IGU product and reevaluated its ability to gain market share during the technology development stage.  As a result, the Company determined that the goodwill related to the Glass Segment was impaired and recorded a one-time impairment charge of $1,488, which represents one hundred percent of the goodwill related to the Glass Segment.

Goodwill impairment testing is a two-step process.  Step 1 involves comparing the fair value of the Company's reporting units to their carrying amount.  If the fair value of the reporting unit is greater than the carrying amount, there is no impairment.  If the reporting unit's carrying amount is greater than the fair value, the second step must be completed to measure the amount of the impairment, if any.  Step 2 calculates the implied fair value of goodwill by deducting the fair value of all tangible and intangible assets, excluding goodwill, of the reporting unit from the fair value of the reporting unit as determined in Step 1.  The implied fair value of goodwill determined in this step is compared to the carrying value of goodwill.  If the implied fair value of goodwill is less than the carrying value of goodwill, an impairment loss is recognized equal to the difference.  The result of the Company's analysis indicated that there would be no remaining implied value attributable to the goodwill in the Glass Segment.

The Company's carrying value of goodwill at June 30, 2011 was $366 as a result of the Company's acquisition of Crown International Operations.

Intangible Assets

Intangible assets are reviewed for impairment whenever events or circumstances indicate that the carrying amount of an asset or asset group may not be recoverable.  During the three month period ending June 30, 2011, the Company determined that the goodwill of the Glass Segment was impaired.  In conjunction with the valuation study for Step 2 of goodwill impairment testing, a valuation analysis of the Glass Segment's long-lived assets was also performed.  Based on this analysis, the Company determined that the intangible assets of the Glass Segment were impaired and recorded an impairment charge of $344.

Intangible assets as of June 30, 2011 and December 31, 2010 consisted of the following:

      
June 30, 2011
  
December 31, 2010
 
   
Range of
  
Gross
  
Accumulated
     
Gross
  
Accumulated
    
   
Lives
  
Assets
  
Amortization
  
Net
  
Assets
  
Amortization
  
Net
 
Trade name
  5  $15  $(2) $13  $315  $(38) $277 
Customer relationships
  2 - 10   170   (14)  156   420   (82)  338 
Trade secrets
  15   190   (11)  179   190   (4)  186 
Non-compete agreement
  2   15   (6)  9   15   (3)  12 
Other
  2- 5   -   -   -   100   (12)  88 
       $390  $(33) $357  $1,040  $(139) $901 

Amortization expense for the three months ended June 30, 2011 and 2010 for intangible assets was $61 and $18, respectively. Amortization expense for the six months ended June 30, 2011 and 2010 for intangible assets was $122 and $18, respectively.

The following table represents the estimated future amortization expense of intangible assets as of June 30, 2011:
 
Fiscal year
 
Amount
 
2011 (6 months remaining)
 $20 
2012
  38 
2013
  33 
2014
  33 
2015
  32 
Thereafter
  201 
Total
 $357
XML 28 R11.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Segment Reporting
6 Months Ended
Jun. 30, 2011
Segment Reporting  
Segment Reporting
Note 6 – Segment Reporting

The Company is a developer and manufacturer of high performance films and glass products that improve energy efficiency in architectural and automotive glass applications.  Prior to the year ended December 31, 2010, the Company operated only one segment. With the acquisition of the controlling interest in SIG, the Company operates in two segments: film, which is a manufacturer of thin film coatings on flexible substrates, and glass, which is a manufacturer of insulated glass units.
 
The Chief Operating Decision Maker (CODM) is the Company's President and Chief Executive Officer. The CODM allocates resources to and assesses the performance of each operating segment using information about its revenue and operating income (loss).
 
The Company does not allocate gains and losses from interest and other income, or taxes to operating segments. Although the CODM uses operating income (loss) to evaluate the segments, operating costs included in one segment may benefit the other segment.
 
Segment information is summarized as follows:
 
   
Three Months Ended
  
Six Months Ended
 
   
June 30, 2011
  
June 30, 2010
  
June 30, 2011
  
June 30, 2010
 
Net revenues:
            
Film:
            
Automotive
 $6,085  $5,426  $12,239  $9,886 
Window
  5,460   4,614   11,630   9,310 
Architectual
  1,374   1,273   3,225   2,571 
Other
  179   44   352   71 
Subtotal
  13,098   11,357   27,446   21,838 
Glass
  436   433   619   433 
Total net revenues
 $13,534  $11,790  $28,065  $22,271 
                  
Segment income (loss) from operations:
                
Film
 $2,552  $3,044  $5,955  $4,965 
Glass
  (2,665)  (203)  (3,914)  (203)
Total segment income (loss) from operations
 $(113) $2,841  $2,041  $4,762 
                  
Depreciation and amortization:
                
Film
 $734  $523  $1,409  $1,124 
Glass
  170   103   340   103 
Total depreciation and amortization
 $904  $626  $1,749  $1,227 
 
   
June 30,
  
December 31,
 
   
2011
  
2010
 
Long-lived assets:
      
Film
 $13,680  $13,896 
Glass
  1,599   1,339 
Total long-lived assets
 $15,279  $15,235 

The following is a summary of net revenues by geographic area (based on the location of the Company's customers) for the three and six months ended June 30, 2011 and 2010:

   
Three Months Ended
  
Six Months Ended
 
   
June 30, 2011
  
June 30, 2010
  
June 30, 2011
  
June 30, 2010
 
United States
 $2,120  $1,830  $3,966  $2,723 
Europe: France, Germany
  6,279   5,252   12,501   9,610 
Asia Pacific: Japan, Pacific Rim
  4,765   4,298   10,793   8,890 
Rest of the world
  370   410   805   1,048 
Total net revenues
 $13,534  $11,790  $28,065  $22,271 

The Company operates from facilities located in the United States and Germany. Long-lived assets were as follows:

   
June 30,
  
December 31,
 
   
2011
  
2010
 
United States
 $4,809  $4,724 
Germany
  10,470   10,511 
Consolidated
 $15,279  $15,235 
XML 29 R5.htm IDEA: XBRL DOCUMENT  v2.3.0.11
UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
In Thousands
6 Months Ended
Jun. 30, 2011
Jun. 30, 2010
Cash flows from operating activities:    
Net income $ 765 $ 4,344
Adjustments to reconcile net income to net cash (used in) provided by operating activities:    
Gain on acquisition of controlling interest in SIG 0 (706)
Deferred income tax (11) (12)
Loss on disposal of property, plant and equipment 38 2
Depreciation and amortization 1,749 1,227
Goodwill and intangible assets impairment 1,832 0
Stock-based compensation 452 265
(Provision for) inventory reserves (88) (279)
Recovery of returns and allowance resesrve 40 206
Non-cash effect of acquisition of controlling interest in SIG 0 (232)
Changes in operating assets and liabilities:    
Accounts receivable, net (1,307) (1,244)
Inventories, net (1,000) 891
Other current and non-current assets (504) (451)
Accounts payable and accrued liabilities (863) (2,416)
Net cash provided by operating activities 1,103 1,595
Cash flows from investing activities:    
Acquisition of controlling interest in SIG, net of cash acquired 0 (195)
Expenditures for property, plant and equipment (866) (455)
Net cash used in investing activities (866) (650)
Cash flows from financing activities:    
Proceeds from stock option exercises 71 39
Repayments of term debt and capital lease obligations (521) (448)
Proceeds from investment credit 9 0
Net cash used in financing activities (441) (409)
Effect of foreign exchange rate changes on cash and cash equivalents (172) 140
Net increase (decrease) in cash and cash equivalents (376) 676
Cash and cash equivalents, beginning of period 13,776 12,454
Cash and cash equivalents, end of period 13,400 13,130
Supplemental cash flow disclosures:    
Interest paid 156 154
Income taxes paid 564 230
Supplemental schedule of non-cash investing and financing activities:    
Dividends accrued 244 244
Deposits applied to acquisition of property, plant and equipment 86 0
Acquisition of interest in SIG (Note 12) $ 246 $ 232
XML 30 R7.htm IDEA: XBRL DOCUMENT  v2.3.0.11
Recent Accounting Pronouncements
6 Months Ended
Jun. 30, 2011
Recent Accounting Pronouncements [Abstract]  
Recent Accounting Pronouncements
Note 2 – Recent Accounting Pronouncements:

Since December 31, 2010, there are no recently issued accounting standards that are expected to have a material effect on our financial condition, results of operations or cash flows.
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Income Tax
6 Months Ended
Jun. 30, 2011
Income Tax [Abstract]  
Income Tax
Note 11 – Income Tax

The Company recorded an income tax provision of $531 and $1,481 for the three and six months ended June 30, 2011, respectively, and a benefit from income taxes of $107 and $99 for the three and six months ended June 30, 2010, respectively.  The effective tax rate was 65.9 % for six months ended June 30, 2011and (2.3) % for the six months ended June 30, 2010.  The primary reason for the change in the effective tax rates for the three and six months ended June 30, 2011, compared to the three and six months ended June 30, 2010, is due to an impairment charge for goodwill and the impact of the valuation allowance during 2010. The Company's effective tax rate differs from the statutory rate due to various factors, such as tax legislation, the mix of domestic and international pre-tax income, research and development credits, foreign tax credits, share-based compensations and change in valuation allowance.

The impact of an uncertain income tax position on the income tax return must be recognized at the largest amount that is more likely than not to be sustained upon audit by the relevant tax authority.  An uncertain income tax position will not be recognized if it has less than a 50% likelihood of being sustained.  As of June 30, 2011, the Company identified and recorded unrecognized tax benefits in the amount of approximately $394, but no interest and penalties have been recorded due to the immaterial impact to the financial statements.  Management does not expect material changes in the balance of unrecognized tax benefits will occur within the next twelve months.
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Related Party
6 Months Ended
Jun. 30, 2011
Related Party [Abstract]  
Related Party
Note 15 – Related Party
 
As discussed in Note 12, Southwall IG Holdings, Inc., a wholly-owned subsidiary of Southwall Technologies Inc., obtained a 75% equity ownership in the joint venture with Sound Solutions in 2010, which resulted in the consolidation by the Company of assets and liabilities of SIG in May 2010.  The Company's accounts receivable balance due from Sound Solutions was $552 and $650 at June 30, 2011 and December 31, 2010, respectively.  The amount owed by the Company to Sound Solutions was $3 at June 30, 2011 and December 31, 2010. Net revenues from Sound Solutions were $0 and $280 for the three and six months ended June 30, 2011, respectively.
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UNAUDITED CONDENSED CONSOLIDATED BALANCE SHEETS (USD $)
In Thousands
Jun. 30, 2011
Dec. 31, 2010
Current assets:    
Cash and cash equivalents $ 13,400 $ 13,776
Accounts receivable, net of allowances for sales returns and doubtful accounts of $1,356 at June 30, 2011 and $1,316 at December 31, 2010 7,450 5,902
Inventories 6,904 5,536
Prepaid income taxes 0 2,017
Other current assets 4,454 1,901
Total current assets 32,208 29,132
Property, plant and equipment, net 15,279 15,235
Goodwill 366 1,854
Intangibles assets 357 901
Deferred tax and other assets 3,545 3,468
Total assets 51,755 50,590
Current liabilities:    
Current portion of long-term debt and capital lease obligations 1,048 1,024
Accounts payable 2,414 2,628
Accrued compensation 1,337 1,742
Other accrued liabilities 4,795 4,764
Total current liabilities 9,594 10,158
Term debt and capital lease obligations 3,213 3,511
Other long-term liabilities 122 112
Total liabilities 12,929 13,781
Commitments and contingencies (Note 7)    
Series A 10% cumulative convertible preferred stock, $0.001 par value; $1.00 stated value; 5,000 shares authorized, 4,893 shares outstanding at June 30, 2011 and December 31, 2010 (liquidation preference: $7,989 and $7,745 at June 30, 2011 and December 31, 2010, respectively) 4,810 4,810
Southwall stockholders' equity:    
Common stock, $0.001 par value per share; 10,000 shares authorized, 5,811 shares outstanding at June 30, 2011 and 5,799 shares outstanding at December 31, 2010 29 29
Capital in excess of par value 78,791 78,759
Accumulated other comprehensive income 4,440 3,466
Accumulated deficit (49,244) (50,228)
Total Southwall stockholders' equity 34,016 32,026
Noncontrolling interest 0 (27)
Total stockholders' equity 34,016 31,999
Total liabilities, preferred stock and stockholders' equity $ 51,755 $ 50,590
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