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Note 10 - Derivative Financial Instruments (Tables)
3 Months Ended
Sep. 30, 2017
Notes Tables  
Schedule of Interest Rate Derivatives [Table Text Block]
Effective Date
 
Notional
Amount
   
Fixed Interest Rate
 
Maturity
 
September 30,
2017
   
June 30,
201
7
 
December 19, 2014
   
20,000
     
1.18%
 
December 19, 2017
  $
4
    $
8
 
December 19, 2014
   
5,000
     
1.20%
 
December 19, 2017
   
(1
)    
1
 
December 18, 2015
   
15,000
     
1.46%
 
December 19, 2018
   
5
     
(1
)
December 19, 2015
   
10,000
     
2.01%
 
December 19, 2019
   
83
     
(106
)
May 24, 2017
   
25,000
     
1.88%
 
April 24, 2022     
   
35
     
(60
)
May 24, 2017
   
25,000
     
1.67%
 
May 24, 2020     
   
(13
)    
(23
)
     
 
     
 
 
 
  $
113
    $
(181
)
Schedule of Foreign Exchange Contracts, Statement of Financial Position [Table Text Block]
Currency
 
September
3
0
,
201
7
   
June 30,
201
7
 
USD
   
69,000
     
73,000
 
Euro
   
21,323
     
21,335
 
Pound Sterling
   
6,750
     
6,962
 
Peso
   
54,000
     
54,000
 
Canadian
   
20,600
     
20,600
 
Schedule of Derivative Instruments, Effect on Other Comprehensive Income (Loss) [Table Text Block]
 
Asset Derivatives
 
 
September
3
0
, 201
7
 
June 30,
2
01
7
 
 
Balance
 
 
 
 
Balance
 
 
 
 
Derivative designated
as hedging instruments
Sheet
Line Item
 
Fair Value
 
Sheet
Line Item
 
Fair
Value
 
Interest rate swaps
Other Assets
  $
113
 
Other Assets
  $
-
 
Foreign exchange contracts
Other Assets
   
1,436
 
Other Assets
   
-
 
 
 
  $
1,549
 
 
  $
-
 
 
Liability Derivatives
 
 
September
3
0
, 201
7
 
June 30, 201
7
 
 
Balance
 
 
 
 
Balance
 
 
 
 
Derivative designated
as hedging instruments
Sheet
Line Item
 
Fair Value
 
Sheet
Line Item
 
Fair
Value
 
Interest rate swaps
Accrued Liabilities
  $
-
 
Accrued Liabilities
  $
181
 
Foreign exchange contracts
Accrued Liabilities
   
3,729
 
Accrued Liabilities
   
2,833
 
 
 
  $
3,729
 
 
  $
3,014
 
Derivative Instruments, Gain (Loss) [Table Text Block]
   
Three Months Ended
 
   
September 30
,
 
   
201
7
   
201
7
 
Interest rate swaps
  $
286
    $
163
 
Foreign exchange contracts
   
488
     
(102
)
    $
774
    $
61
 
Reclassification out of Accumulated Other Comprehensive Income [Table Text Block]
Details about Accumulated
 
Three Months Ended
 
Affected line item
Other Comprehensive
 
September
3
0
,
 
in the Statements
Income (Loss) Components
 
201
7
   
201
6
 
of Operations
Interest rate swaps
  $
151
    $
119
 
Interest expense
Foreign exchange contracts
   
-
     
102
 
Cost of Sales
    $
151
    $
221