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Note 12 - Long-term Debt (Tables)
12 Months Ended
Jun. 28, 2015
Disclosure Text Block [Abstract]  
Schedule of Long-term Debt Instruments [Table Text Block]
           

Weighted Average Interest Rate as of

June 28, 2015 (1)

   

Principal Amounts as of

 
   

Scheduled

Maturity Date

       

June 28, 2015

   

June 29, 2014

 

ABL Revolver

    March 2020       1.7%     $ 5,000     $ 26,000  

ABL Term Loan

    March 2020       2.2%       82,125       68,000  

Term loan from unconsolidated affiliate

    August 2016       3.0%       1,250       1,250  

Capital lease obligations

    (2)       (3)       15,735       4,238  

Total debt

                    104,110       99,488  

Current portion of long-term debt

                    (12,385 )     (7,215 )

Total long-term debt

                  $ 91,725     $ 92,273  
Schedule of Maturities of Long-term Debt [Table Text Block]
   

Scheduled Maturities on a Fiscal Year Basis

 
   

2016

   

2017

   

2018

   

2019

   

2020

   

Thereafter

 

ABL Revolver

  $     $     $     $     $ 5,000     $  

ABL Term Loan

    9,000       9,000       9,000       9,000       46,125        

Capital lease obligations

    3,385       3,463       3,301       3,200       1,652       734  

Term loan from unconsolidated affiliate

          1,250                          

Total

  $ 12,385     $ 13,713     $ 12,301     $ 12,200     $ 52,777     $ 734  
Deferred Financing Costs, Capitalized, Non-current Disclosure [Table Text Block]
   

June 28, 2015

   

June 29, 2014

 

Balance at beginning of year

  $ 2,093     $ 2,117  

Additions

    1,063       400  

Amortization charged to interest expense

    (505 )     (424 )

Loss on extinguishment of debt

    (1,040 )      

Balance at end of year

  $ 1,611     $ 2,093  
Interest Income and Interest Expense Disclosure [Table Text Block]
   

For the Fiscal Years Ended

 
   

June 28, 2015

   

June 29, 2014

   

June 30, 2013

 

Interest on ABL Facility

  $ 3,290     $ 3,292     $ 3,673  

Interest on a prior term loan

                722  

Other

    273       192       107  

Subtotal of interest on debt obligations

    3,563       3,484       4,502  

Reclassification adjustment for interest rate swap

    231       554       322  

Amortization of debt financing fees

    505       424       632  

Mark-to-market adjustment for interest rate swap

    (83 )     39       (931 )

Interest capitalized to property, plant and equipment, net

    (191 )     (172 )     (36 )

Subtotal of other components of interest expense

    462       845       (13 )

Total interest expense

  $ 4,025     $ 4,329     $ 4,489