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Balance Sheets-Additional Information (Tables)
6 Months Ended
Dec. 31, 2014
Balance Sheets Additional Information [Abstract]  
Schedule of additional information of balance sheets
As of
December 31,
2014
June 30,
2014
Inventories
Raw materials
$ 48,844 $ 44,306
Work-in-process
7,470 7,518
Finished goods
88,544 91,360
$ 144,858 $ 143,184
Goodwill
Balance at beginning and end of period
$ 12,613 $ 12,613
 
As of
December 31,
2014
June 30,
2014
Accrued expenses and other current liabilities
Employee related accruals
$ 15,507 $ 20,813
Commissions and rebates
4,448 2,973
Insurance related
1,269 1,395
Professional fees
4,181 4,229
Deferred consideration on acquisitions
1,449 1,420
Product liability claims
5,286
Other accrued liabilities
14,934 13,745
$ 41,788 $ 49,861
As of
December 31,
2014
June 30,
2014
Accumulated other comprehensive income (loss)
Derivative instruments
$ (337) $ 386
Foreign currency translation adjustment
(18,747) (1,409)
Unrecognized net pension gains (losses)
(15,961) (16,663)
Income tax (provision) benefit on derivative instruments
63 63
Income tax (provision) benefit on pension gains (losses)
(2,437) (2,437)
$ (37,419) $ (20,060)