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Note 16 - Employee Benefit Plans (Tables)
12 Months Ended
Jun. 30, 2021
Notes Tables  
Schedule of Fair Value of Plan Assets [Table Text Block]
  

June 30, 2021

 
  

Total

  

Level 1

  

Level 2

  

Level 3

 

Cash and cash equivalents

 $3,209  $3,148  $61  $- 

Common and preferred stocks

  86,499   2,425   84,074   - 

Corporate bonds and other fixed income securities

  146,742   1,850   144,892   - 

Other

  21,170   -   21,170   - 
  $257,620  $7,423  $250,197   - 
  

June 30, 2020

 
  

Total

  

Level 1

  

Level 2

  

Level 3

 

Cash and cash equivalents

 $3,113  $1,684  $1,429  $- 

Common and preferred stocks

  85,641   1,857   83,784   - 

Corporate bonds and other fixed income securities

  126,703   1,620   125,083   - 

Other

  21,478   -   21,478   - 
  $236,935  $5,161  $231,774   - 
Schedule of Allocation of Plan Assets [Table Text Block]
  

U.S. Plans

  

Foreign Plans

 
  

Year Ended June 30,

  

Year Ended June 30,

 

Asset Category

 

2021

  

2020

  

2021

  

2020

 

Equity securities

 

36%

  

41%

  

5%

  

5%

 

Debt securities

 

43%

  

38%

  

70%

  

64%

 

Global balanced securities

 

12%

  

11%

  

24%

  

29%

 

Other

 

9%

  

10%

  

1%

  

2%

 

Total

 

100%

  

100%

  

100%

  

100%

 
Defined Benefit Plan, Assumptions [Table Text Block]

Year Ended June 30

2021

2020

2019

 

Plan assumptions - obligations

       

Discount rate

0.73 - 3.00%0.99 - 2.90%

0.24 - 3.70%

 

Rate of compensation increase

3.25%2.90%

3.20%

 
        

Plan assumption - cost

       

Discount rate

0.99 - 2.90%0.31 - 3.70%

0.38 - 4.40%

 

Expected return on assets

1.40 - 6.90%2.30 - 7.00%

2.45 - 7.00%

 

Rate of compensation increase

2.90%3.20%

3.60%

 
Multiemployer Plan [Table Text Block]
     

Pension Protection Act

             

Expiration

     

Zone Status

 

Contributions

  

Date of

                     

Collective

  

EIN/Plan

   

FIP/RP

            

Surcharge

Bargaining

Pension Fund

 

Number

 

2021

2020

Status

 

2021

  

2020

  

2019

 

Imposed?

Agreement

New England Teamsters and Trucking Industry Pension Fund

  04-6372430-001 

Red

Red

Yes/ Implemented

 $631  $531  $461 

No

May-25

                      

IAM National Pension Fund, National Pension Plan

  51-6031295-002 

Red

Red

Yes/Implemented

  513   595   644 

No

Oct-22 - May-25

         $1,144  $1,126  $1,105   
Pension Plan [Member]  
Notes Tables  
Schedule of Net Benefit Costs [Table Text Block]
  

U.S. Plans

  

Foreign Plans

 
  

Year Ended June 30,

  

Year Ended June 30,

 
  

2021

  

2020

  

2019

  

2021

  

2020

  

2019

 

Service Cost

 $4  $3  $3  $217  $236  $189 

Interest Cost

  7,439   9,083   10,342   725   846   1,013 

Expected return on plan assets

  (13,012)  (13,150)  (13,541)  (629)  (868)  (908)

Recognized net actuarial loss

  5,933   5,101   4,121   757   651   340 

Amortization of prior service cost (benefit)

  -   -   -   (5)  (5)  (3)

Net periodic benefit cost (benefit)

 $364  $1,037  $925  $1,065  $860  $631 
Schedule of Net Funded Status [Table Text Block]
  

U.S. Plans

  

Foreign Plans

 
  

Year Ended June 30,

  

Year Ended June 30,

 
  

2021

  

2020

  

2021

  

2020

 

Change in benefit obligation

                

Benefit obligation at beginning of year

 $264,619  $253,540  $45,190  $43,983 

Service cost

  4   3   217   236 

Interest cost

  7,439   9,083   725   846 

Actuarial loss (gain)

  (3,457)  18,121   (746)  2,604 

Benefits paid

  (16,513)  (16,128)  (1,906)  (1,537)

Foreign currency exchange rate & other changes

  -   -   4,329   (942)

Projected benefit obligation at end of year

 $252,092  $264,619  $47,809  $45,190 
                 

Change in plan assets

                

Fair value of plan assets at beginning of year

 $194,824  $186,205  $41,973  $39,665 

Actual return on plan assets

  26,277   21,447   40   4,037 

Employer contribution

  8,015   3,301   105   739 

Benefits paid

  (16,513)  (16,129)  (1,906)  (1,537)

Foreign currency exchange rate

  -   -   4,805   (931)

Fair value of plan assets at end of year

 $212,603  $194,824  $45,017  $41,973 
                 

Funded Status

 $(39,489) $(69,795) $(2,792) $(3,217)
                 

Amounts recognized in the consolidated balance sheets consist of:

                

Prepaid benefit cost

 $-  $-  $5,661  $4,663 

Current liabilities

  (208)  (208)  (309)  (295)

Non-current liabilities

  (39,281)  (69,587)  (8,144)  (7,585)

Net amount recognized

 $(39,489) $(69,795) $(2,792) $(3,217)
                 

Unrecognized net actuarial loss

 $117,847  $140,501  $4,618  $5,075 

Unrecognized prior service cost

  -   -   (51)  (57)

Accumulated other comprehensive income, pre-tax

 $117,847  $140,501  $4,567  $5,018 
Target [Member]  
Notes Tables  
Schedule of Allocation of Plan Assets [Table Text Block]
  

2021

 

Asset Category – Target

 

U.S.

  

U.K.

 

Equity securities

 

36%

  

0%

 

Debt and market neutral securities

 

44%

  

70%

 

Global balanced securities

 

12%

  

30%

 

Other

 

8%

  

0%

 

Total

 

100%

  

100%