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Note 2 - Acquisitions and Dispositions (Tables)
12 Months Ended
Mar. 31, 2017
Notes Tables  
Schedule of Recognized Identified Assets Acquired and Liabilities Assumed [Table Text Block]
Cash consideration
  $
8,747
 
Holdback payment liability
   
637
 
Contingent consideration liability
   
9,271
 
Aggregate consideration
  $
18,655
 
         
Accounts receivable
  $
925
 
Inventories
   
310
 
Property, plant and equipment
   
530
 
Intangibles
   
5,869
 
Goodwill
   
13,833
 
Accounts payable
   
(470
)
Accrued liabilities
   
(767
)
Deferred income taxes
   
(1,575
)
Total purchase price allocation
  $
18,655
 
Cash consideration
  $
10,322
 
Holdback payment liability
   
1,000
 
Aggregate consideration
  $
11,322
 
         
Cash
  $
20
 
Accounts receivable
   
285
 
Inventories
   
85
 
Property, plant and equipment
   
229
 
Intangibles
   
4,454
 
Goodwill
   
7,962
 
Accrued liabilities
   
(100
)
Unearned revenues
   
(1,613
)
Total purchase price allocation
  $
11,322
 
Cash consideration
  $
5,000
 
Holdback payment liability
   
250
 
Contingent consideration liability
   
300
 
Aggregate consideration
  $
5,550
 
         
Inventories
  $
137
 
Property, plant and equipment
   
7
 
Intangibles
   
3,678
 
Goodwill
   
1,743
 
Accrued expenses
   
(15
)
Total purchase price allocation
  $
5,550
 
Inventories
  $
1,268
 
Property, plant and equipment
   
47
 
Intangibles
   
5,711
 
Goodwill
   
3,295
 
Accrued expenses
   
(53
)
Total purchase price allocation
  $
10,268
 
Business Acquisition, Pro Forma Information [Table Text Block]
 
 
Year
Ended
March
31,
 
 
 
201
6
 
 
201
5
 
Revenues
  $
86,499
    $
74,379
 
Net income
   
11,471
     
9,944
 
Net Income per common share:
               
Basic
  $
3.18
    $
2.82
 
Diluted
   
3.05
     
2.72
 
 
 
Year
Ended
March
31,
 
 
 
201
6
 
 
201
5
 
Revenues
  $
86,053
    $
75,649
 
Net income
   
11,463
     
10,182
 
Net Income per common share:
               
Basic
  $
3.18
    $
2.89
 
Diluted
   
3.05
     
2.79
 
 
 
Year E
nded March 31,
 
 
 
2015
 
 
2014
 
Revenues
  $
73,068
    $
56,541
 
Net income
   
9,673
     
9,512
 
Net income per common share:
               
Basic
  $
2.75
    $
2.76
 
Diluted
   
2.65
     
2.63
 
 
 
Year E
nded March 31,
 
 
 
2015
 
 
2014
 
Revenues
  $
71,648
    $
60,388
 
Net income
   
9,661
     
11,141
 
Net income per common share:
               
Basic
  $
2.74
    $
3.23
 
Diluted
   
2.65
     
3.09