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Note 9 - Derivative Financial Instruments (Tables)
12 Months Ended
Jun. 30, 2015
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of Interest Rate Derivatives [Table Text Block]
                     

Fair Value at June 30,

 

Effective Date

 

Notional Amount

   

Fixed Interest Rate

 

Maturity

 

2015

   

2014

 

June 1, 2010

  $ 5,000       2.495 %

May 26, 2015

  $ -     $ (108 )

June 1, 2010

    5,000       2.495 %

May 26, 2015

    -       (108 )

June 4, 2010

    10,000       2.395 %

May 26, 2015

    -       (206 )

June 9, 2010

    5,000       2.34 %

May 26, 2015

    -       (100 )

June 18, 2010

    5,000       2.38 %

May 26, 2015

    -       (103 )

September 21, 2011

    5,000       1.60 %

September 22, 2014

    -       (18 )

March 15, 2012

    10,000       2.75 %

March 15, 2016

    (186 )     (418 )

December 19, 2014

    20,000       1.18 %

December 19, 2017

    (140 )     -  

December 19, 2014

    5,000       1.20 %

December 19, 2017

    (36 )     -  

December 19, 2015

    10,000       2.01 %

December 19, 2019

    (150 )     -  

December 18, 2015

    15,000       1.46 %

December 19, 2018

    (39 )     -  
                      $ (551 )   $ (1,061 )
Schedule of Foreign Exchange Contracts, Statement of Financial Position [Table Text Block]

Currency

 

2015

   

2014

 

Euro

    10,134,797       24,289,064  

Canadian Dollar

    -       3,600,000  

Pound Sterling

    1,730,542       3,975,192  
Schedule of Derivative Instruments, Effect on Other Comprehensive Income (Loss) [Table Text Block]
 

Asset Derivatives

 
 

2015

 

2014

 

Derivative designated as

Balance

       

Balance

       

hedging instruments

Sheet

       

Sheet

       
 

Line Item

 

Fair Value

 

Line Item

 

Fair Value

 

Foreign exchange contracts

Other Assets

  $ 844  

Other Assets

  $ 356  
 

Liability Derivatives

 
 

2015

 

2014

 

Derivative designated as

Balance

       

Balance

       

hedging instruments

Sheet

       

Sheet

       
 

Line Item

 

Fair Value

 

Line Item

 

Fair Value

 

Interest rate swaps

Accrued Liabilities

  $ 551  

Accrued Liabilities

  $ 1,061  

Foreign exchange contracts

Accrued Liabilities

    193  

Accrued Liabilities

    1,552  
      $ 744       $ 2,613  
Derivative Instruments, Gain (Loss) [Table Text Block]
   

2015

   

2014

   

2013

 

Interest rate swaps

  $ (533 )   $ (194 )   $ (195 )

Foreign exchange contracts

    (154     -       -  
    (687 )   $ (194 )   $ (195 )
Reclassification out of Accumulated Other Comprehensive Income [Table Text Block]

Details about Accumulated

                       

Affected line item

Other Comprehensive

                       

in the Statements

Income (Loss) Components

 

2015

   

2014

   

2013

 

of Operations

Interest rate swaps

  $ 1,034     $ 1,031     $ 1,050  

Interest expense

Foreign exchange contracts

    -       -       -  

Cost of goods sold

    $ 1,034     $ 1,031       1,050