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Note I - Debt (Details Textual)
$ in Thousands
10 Months Ended 12 Months Ended
Apr. 22, 2019
USD ($)
Mar. 04, 2019
USD ($)
Mar. 03, 2019
USD ($)
Sep. 25, 2018
USD ($)
Jul. 02, 2018
USD ($)
May 13, 2019
USD ($)
Jun. 30, 2019
USD ($)
Jun. 30, 2018
USD ($)
Jun. 29, 2018
USD ($)
Proceeds from Long-term Lines of Credit             $ 147,854 $ 80,642  
Proceeds from Sale Leaseback Agreement             329    
Principal Paid on Sale Leaseback Liabilities             $ 28    
Minimum [Member]                  
Sale Leaseback Transactions, Term             3 years    
Sale Leaseback Transactions, Implied Interest Rate             7.00%    
Maximum [Member]                  
Sale Leaseback Transactions, Term             5 years    
Sale Leaseback Transactions, Implied Interest Rate             25.00%    
Prior Parent of Veth Propulsion [Member]                  
Repayments of Debt         $ 1,865        
Bank of Montreal [Member] | Cash Flow Hedging [Member] | Designated as Hedging Instrument [Member] | Interest Rate Swap [Member]                  
Derivative, Notional Amount $ 20,000                
Derivative, Maturity Date Mar. 04, 2026                
Veth Propulsion [Member]                  
Payments to Acquire Businesses, Gross         58,862 $ 59,407      
Line of Credit [Member]                  
Line of Credit Facility, Maximum Borrowing Capacity             $ 952 $ 1,477  
Debt, Weighted Average Interest Rate             5.00% 5.00%  
The 2018 Credit Agreement [Member]                  
Repayments of Debt       $ 32,210          
BMO [Member] | The 2018 Credit Agreement [Member]                  
Proceeds from Issuance of Debt         60,729        
Debt Instrument, Percentage of Equity Interest in Certain Domestic Subsidiaries             100.00%    
Debt Instrument, Percentage of Equity Interest in Certain Foreign Subsidiaries             65.00%    
Debt Instrument, Collateral Percent of Letter of Credit Obligation Upon Occurrence of an Event Default             105.00%    
BMO [Member] | The 2018 Credit Agreement [Member] | Revolving Credit Facility [Member]                  
Line of Credit Facility, Maximum Borrowing Capacity                 $ 50,000
Proceeds from Long-term Lines of Credit         25,729        
Debt Instrument, Interest Rate During Period             2.99%    
Line of Credit Facility, Current Borrowing Capacity             $ 47,324    
Line of Credit Facility, Remaining Borrowing Capacity             $ 24,658    
BMO [Member] | The 2018 Credit Agreement [Member] | Term Loan [Member]                  
Debt Agreement, Maximum Borrowing Capacity   $ 20,000             $ 35,000
Proceeds from Issuance of Debt   9,151     $ 35,000        
Long-term Debt, Gross     $ 10,849            
Debt Instrument, Periodic Payment, Total   $ 500              
Debt Instrument, Covenant, Funded Debt to EBITDA Ratio   3              
Debt Instrument, Covenant, Minimum Tangible Net Worth Plus Half of Net Income   $ 100,000 $ 70,000            
Debt Instrument, Interest Rate During Period             4.71%    
Debt Instrument, Maturity Date   Mar. 04, 2026 Jan. 02, 2020            
BMO [Member] | The 2018 Credit Agreement [Member] | Term Loan [Member] | Minimum [Member]                  
Debt Instrument, Covenant, Funded Debt to EBITDA Ratio     3.5            
BMO [Member] | The 2018 Credit Agreement [Member] | Term Loan [Member] | Maximum [Member]                  
Debt Instrument, Covenant, Funded Debt to EBITDA Ratio     3.25            
BMO [Member] | The 2018 Credit Agreement [Member] | Term Loan [Member] | London Interbank Offered Rate (LIBOR) [Member]                  
Debt Instrument, Basis Spread on Variable Rate     3.00%            
BMO [Member] | The 2018 Credit Agreement [Member] | Term Loan [Member] | London Interbank Offered Rate (LIBOR) [Member] | Minimum [Member]                  
Debt Instrument, Basis Spread on Variable Rate   1.375%              
BMO [Member] | The 2018 Credit Agreement [Member] | Term Loan [Member] | London Interbank Offered Rate (LIBOR) [Member] | Maximum [Member]                  
Debt Instrument, Basis Spread on Variable Rate   2.375%