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CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Jul. 31, 2013
Jul. 31, 2012
Jul. 31, 2013
Jul. 31, 2012
Cash flows from operating activities:        
Net income $ 854 $ 3,957 $ 6,291 $ 11,552
Adjustments to reconcile net income to net cash provided by (used for) operating activities:        
Provision for doubtful accounts 27 (50) (31) (97)
Deferred income taxes (107) 381 (692) 564
Equity in income of affiliates (117) (74) (231) (272)
Depreciation and amortization 791 955 2,506 3,195
Foreign currency (gain) loss 366 4,320 142 6,260
Unrealized (gain) loss on derivatives 518 (485) 705 (77)
Stock-based compensation 238 224 741 646
Change in assets and liabilities, net of acquisitions:        
(Increase) decrease in accounts receivable and refundable taxes 6,663 (1,700) 9,720 (4,658)
(Increase) decrease in inventories (3,778) (6,024) (3,519) (17,620)
Increase (decrease) in accounts payable (279) (3,478) 3,046 (26)
Increase (decrease) in accrued expenses 846 727 (3,522) (2,053)
Net change in derivative assets and liabilities 82 (383) (529) (623)
Other (1,483) (2,631) (1,183) (5,231)
Net cash provided by (used for) operating activities 4,621 (4,261) 13,444 (8,440)
Cash flows from investing activities:        
Purchase of property and equipment (375) (1,034) (1,147) (1,928)
Software development costs (233) (259) (750) (675)
Other investments (8) (6) (48) (36)
Acquisition of business, net of cash acquired (380)    (380)   
Net cash provided by (used for) investing activities (996) (1,299) (2,325) (2,639)
Cash flows from financing activities:        
Proceeds from exercise of common stock options 303    303 1
Dividends paid (323)    (323)   
Tax benefit from exercise of stock options 10    10   
Restricted shares vested       1   
Repayment on short-term debt (2,205)    (2,205)   
Borrowings on short-term debt    1,182    2,290
Net cash provided by (used for) financing activities (2,215) 1,182 (2,214) 2,291
Effect of exchange rate changes on cash (75) (640) (63) (1,078)
Net increase (decrease) in cash and cash equivalents 1,335 (5,018) 8,842 (9,866)
Cash and cash equivalents at beginning of period 43,277 40,113 35,770 44,961
Cash and cash equivalents at end of period $ 44,612 $ 35,095 $ 44,612 $ 35,095