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Note 10 - Accumulated Other Comprehensive Loss
6 Months Ended
Jun. 30, 2022
Notes to Financial Statements  
Comprehensive Income (Loss) Note [Text Block]

10.

Accumulated Other Comprehensive Loss

 

The following table summarizes changes in the components of Accumulated other comprehensive loss (in thousands). All amounts are net of income tax:

 

   

Pension Liability Adjustment

   

Unrealized Loss on Foreign Currency Forward Contracts Designated as Cash Flow Hedges

   

Unrealized Gain on Interest Rate Swap Designated as Cash Flow Hedge

   

Total

 
                                 

Balances, December 31, 2021

  $ (1,487

)

  $ (195

)

  $ -     $ (1,682

)

                                 

Other comprehensive income (loss) before reclassifications

    41       (598

)

    171       (386

)

Amounts reclassified from Accumulated other comprehensive loss

    3       195       62

 

    260  

Net current period other comprehensive income (loss)

    44       (403

)

    233       (126

)

                                 

Balances, June 30, 2022

  $ (1,443

)

  $ (598

)

  $ 233     $ (1,808

)

 

The following table provides additional detail about Accumulated other comprehensive loss components that were reclassified to the Condensed Consolidated Statements of Operations (in thousands):

 

Details about Accumulated  

Amount reclassified from

Accumulated Other Comprehensive Loss

   

Affected line item in

the Condensed Consolidated

Other Comprehensive  

Three Months Ended June 30,

   

Six Months Ended June 30,

    Statements of
Loss Components  

2022

   

2021

   

2022

   

2021

    Operations
                                     

Pension liability adjustment:

                                   

Net periodic pension cost:

                                   

Service cost

  $ (1

)

  $ (4

)

  $ (3

)

  $ (8

)

 

Cost of sales

      (1

)

    (4

)

    (3

)

    (8

)

 

Net of tax

                                     

Unrealized loss on foreign currency forward contracts:

                                   

Loss on cash flow hedges

    (105

)

    (20

)

    (91

)

    (56

)

 

Net sales

Loss on cash flow hedges

    (127

)

    -       (127

)

    -    

Property and equipment

Associated income tax benefit

    26       5       23       14    

Income tax expense

      (206

)

    (15

)

    (195

)

    (42

)

 

Net of tax

                                     

Unrealized loss on interest rate swap:

                                   

Loss on cash flow hedge

    (82 )     -       (82 )     -    

Interest expense

Associated income tax benefit

    20

 

    -       20

 

    -    

Income tax expense

      (62 )     -       (62 )     -    

Net of tax

                                     

Total reclassifications for the period

  $ (269

)

  $ (19

)

  $ (260

)

  $ (50

)