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Fair Value Measurements (Tables)
3 Months Ended
Mar. 31, 2015
Fair Value Disclosures [Abstract]  
Schedule of Valuation of Financial Instruments Recorded on a Fair Value Basis

The following table summarizes the valuation of our financial instruments recorded on a fair value basis as of March 31, 2015 and December 31, 2014.  The Company did not hold any non-financial assets and/or non-financial liabilities subject to fair value measurements at March 31, 2015 or at December 31, 2014.

  

    Fair Value Measurements  
(In Thousands)   Total    

Quoted Prices

in Active

Markets

(Level 1)

   

Significant

Other

Observable

Inputs

(Level 2)

   

Significant

Unobservable

Inputs

(Level 3)

 
Current Liability                        
December 31, 2014                        
Currency forward contracts   $ 26     $ -     $ 26     $ -  
March 31, 2015                                
Currency forward contracts   $ 6     $ -     $ 6     $ -  
Schedule of Carrying Amounts and Estimated Fair Values

The carrying amounts and estimated fair values of the Company’s long-term debt, including current maturities, are summarized below:

 

 

    March 31, 2015     December 31, 2014  
 (In Thousands)  

Carrying

Value

   

Fair

Value

   

Carrying

Value

   

Fair

Value

 
 Long-term debt, including current portion   $ 2,318     $ 2,180     $ 2,720     $ 2,558