Annual report pursuant to Section 13 and 15(d)

Note 20 - Financial Information About the Parent, the Issuer and the Guarantors (Tables)

v2.4.0.8
Note 20 - Financial Information About the Parent, the Issuer and the Guarantors (Tables)
12 Months Ended
Jun. 30, 2014
Disclosure Text Block Supplement [Abstract]  
Condensed Balance Sheet [Table Text Block]
   

Parent

   

Issuer

   

Guarantors

   

Non-Guarantors

   

Eliminations

   

Consolidated

 

Assets

                                               

Current assets:

                                               

Cash and cash equivalents

  $ -     $ 95,567     $ 10,347     $ 3,262     $ -     $ 109,176  

Marketable securities

    -       18,153       -       -       -       18,153  

Accounts receivable, net

    -       12,118       308       -       -       12,426  

Inventories

    -       -       168,996       6,141       (28,862 )     146,275  

Prepaid expenses and other current assets

    -       6,954       10,800       1,845       -       19,599  

Intercompany receivables

    -       836,086       322,382       (3,478 )     (1,154,990 )     -  

Total current assets

    -       968,878       512,833       7,770       (1,183,852 )     305,629  

Property, plant and equipment, net

    -       8,848       262,272       17,036       -       288,156  

Goodwill and other intangible assets

    -       37,905       7,223       -       -       45,128  

Restricted cash and investments

    -       8,507       -       -       -       8,507  

Other assets

    -       4,620       1,647       747       -       7,014  

Investment in affiliated companies

    731,003       (107,050 )     -       -       (623,953 )     -  

Total assets

  $ 731,003     $ 921,708     $ 783,975     $ 25,553     $ (1,807,805 )   $ 654,434  

Liabilities and Shareholders’ Equity

                                               

Current liabilities:

                                               

Current maturities of long-term debt

  $ -     $ -     $ 501     $ -     $ -     $ 501  

Customer deposits

    -       -       55,810       3,874       -       59,684  

Accounts payable

    -       6,423       17,699       198       -       24,320  

Accrued expenses and other current liabilities

    3,013       30,656       16,292       1,581       -       51,542  

Intercompany payables

    360,523       (8,468 )     773,850       29,085       (1,154,990 )     -  

Total current liabilities

    363,536       28,611       864,152       34,738       (1,154,990 )     136,047  

Long-term debt

    -       129,255       1,156       -       -       130,411  

Other long-term liabilities

    -       4,241       15,763       505       -       20,509  

Total liabilities

    363,536       162,107       881,071       35,243       (1,154,990 )     286,967  

Shareholders’ equity

    367,467       759,601       (97,096 )     (9,690 )     (652,815 )     367,467  

Total liabilities and shareholders’ equity

  $ 731,003     $ 921,708     $ 783,975     $ 25,553     $ (1,807,805 )   $ 654,434  
   

Parent

   

Issuer

   

Guarantors

   

Non-Guarantors

   

Eliminations

   

Consolidated

 

Assets

                                               

Current assets:

                                               

Cash and cash equivalents

  $ -     $ 57,307     $ 12,463     $ 2,831     $ -     $ 72,601  

Marketable securities

    -       15,529       -       -       -       15,529  

Accounts receivable, net

    -       12,061       212       4       -       12,277  

Inventories

    -       -       161,683       5,463       (29,890 )     137,256  

Prepaid expenses and other current assets

    -       9,882       11,275       1,750       -       22,907  

Intercompany receivables

    -       831,238       302,577       (3,726 )     (1,130,089 )     -  

Total current assets

    -       926,017       488,210       6,322       (1,159,979 )     260,570  

Property, plant and equipment, net

    -       9,432       265,698       16,542       -       291,672  

Goodwill and other intangible assets

    -       37,905       7,223       -       -       45,128  

Restricted cash and investments

    -       15,433       -       -       -       15,433  

Other assets

    -       2,188       1,488       806       -       4,482  

Investment in affiliated companies

    686,451       (111,647 )     -       -       (574,804 )     -  

Total assets

  $ 686,451     $ 879,328     $ 762,619     $ 23,670     $ (1,734,783 )   $ 617,285  

Liabilities and Shareholders’ Equity

                                               

Current liabilities:

                                               

Current maturities of long-term debt

  $ -     $ -     $ 480     $ -     $ -     $ 480  

Customer deposits

    -       -       56,030       3,068       -       59,098  

Accounts payable

    -       7,390       15,097       508       -       22,995  

Accrued expenses and other current liabilities

    2,720       29,710       16,683       1,253       -       50,366  

Intercompany payables

    349,374       (7,460 )     766,039       22,136       (1,130,089 )     -  

Total current liabilities

    352,094       29,640       854,329       26,965       (1,130,089 )     132,939  

Long-term debt

    -       129,152       1,657       -       -       130,809  

Other long-term liabilities

    -       4,492       14,355       333       -       19,180  

Total liabilities

    352,094       163,284       870,341       27,298       (1,130,089 )     282,928  

Shareholders’ equity

    334,357       716,044       (107,722 )     (3,628 )     (604,694 )     334,357  

Total liabilities and shareholders’ equity

  $ 686,451     $ 879,328     $ 762,619     $ 23,670     $ (1,734,783 )   $ 617,285  
Condensed Income Statement [Table Text Block]
   

Parent

   

Issuer

   

Guarantors

   

Non-Guarantors

   

Eliminations

   

Consolidated

 

Net sales

  $ -     $ 446,666     $ 798,442     $ 42,250     $ (540,699 )   $ 746,659  

Cost of sales

    -       340,572       513,106       28,212       (541,727 )     340,163  

Gross profit

    -       106,094       285,336       14,038       1,028       406,496  
                                                 

Selling, general and administrative expenses

    180       47,367       269,519       19,794       -       336,860  

Operating income (loss)

    (180 )     58,727       15,817       (5,756 )     1,028       69,636  
                                                 

Interest and other miscellaneous income, net

    43,111       4,990       (95 )     (22 )     (47,708 )     276  

Interest and other related financing costs

    -       7,429       81       -       -       7,510  

Income before income tax expense

    42,931       56,288       15,641       (5,778 )     (46,680 )     62,402  

Income tax expense (benefit)

    -       14,205       5,080       186       -       19,471  
                                                 

Net income/(loss)

  $ 42,931     $ 42,083     $ 10,561     $ (5,964 )   $ (46,680 )   $ 42,931  
   

Parent

   

Issuer

   

Guarantors

   

Non-Guarantors

   

Eliminations

   

Consolidated

 

Net sales

  $ -     $ 434,741     $ 796,194     $ 38,181     $ (540,033 )   $ 729,083  

Cost of sales

    -       327,723       520,570       23,963       (541,522 )     330,734  

Gross profit

    -       107,018       275,624       14,218       1,489       398,349  
                                                 

Selling, general and administrative expenses

    180       46,620       272,794       18,318       -       337,912  

Operating income (loss)

    (180 )     60,398       2,830       (4,100 )     1,489       60,437  
                                                 

Interest and other miscellaneous income, net

    32,658       (4,229 )     38       (75 )     (29,877 )     (1,485 )

Interest and other related financing costs

    -       8,709       69       -       -       8,778  

Income before income tax expense

    32,478       47,460       2,799       (4,175 )     (28,388 )     50,174  

Income tax expense (benefit)

    -       16,291       1,320       85       -       17,696  
                                                 

Net income/(loss)

  $ 32,478     $ 31,169     $ 1,479     $ (4,260 )   $ (28,388 )   $ 32,478  
   

Parent

   

Issuer

   

Guarantors

   

Non-Guarantors

   

Eliminations

   

Consolidated

 

Net sales

  $ -     $ 456,895     $ 787,295     $ 33,417     $ (548,234 )   $ 729,373  

Cost of sales

    -       341,365       523,064       19,311       (544,655 )     339,085  

Gross profit

    -       115,530       264,231       14,106       (3,579 )     390,288  
                                                 

Selling, general and administrative expenses

    180       45,690       280,480       14,241       -       340,591  

Operating income (loss)

    (180 )     69,840       (16,249 )     (135 )     (3,579 )     49,697  
                                                 

Interest and other miscellaneous income, net

    49,874       (15,403 )     216       17       (34,142 )     562  

Interest and other related financing costs

    -       8,997       23       -       -       9,020  

Income before income tax expense

    49,694       45,440       (16,056 )     (118 )     (37,721 )     41,239  

Income tax expense (benefit)

    -       (8,013 )     (523 )     81       -       (8,455 )
                                                 

Net income/(loss)

  $ 49,694     $ 53,453     $ (15,533 )   $ (199 )   $ (37,721 )   $ 49,694  
Condensed Cash Flow Statement [Table Text Block]
   

Parent

   

Issuer

   

Guarantors

   

Non-Guarantors

   

Eliminations

   

Consolidated

 

Net cash provided by operating activities

  $ 10,940     $ 34,812     $ 12,025     $ 2,112     $ -     $ 59,889  

Cash flows from investing activities:

                                               

Capital expenditures

    -       (610 )     (17,018 )     (1,677 )     -       (19,305 )

Acquisitions

    -       -       -       -       -       -  

Proceeds from the disposal of property, plant and equipment

    -       24       3,357       -       -       3,381  

Change in restricted cash and investments

    -       6,926       -       -       -       6,926  

Purchase of marketable securities

    -       (18,268 )     -       -       -       (18,268 )

Proceeds from the sale of marketable securities

    -       14,883       -       -       -       14,883  

Other

    -       325       -       -       -       325  

Net cash used in investing activities

    -       3,280       (13,661 )     (1,677 )     -       (12,058 )
                                                 

Cash flows from financing activities:

                                               

Payments on long-term debt

    -       -       (480 )     -       -       (480 )

Purchases and other retirements of company stock

    -       -       -       -       -       -  

Dividends paid

    (11,297 )     -       -       -       -       (11,297 )

Other

    357       168       -       -       -       525  

Net cash used in financing activities

    (10,940 )     168       (480 )     -       -       (11,252 )

Effect of exchange rate changes on cash

    -       -       -       (4 )     -       (4 )

Net increase (decrease) in cash and cash equivalents

    -       38,260       (2,116 )     431       -       36,575  

Cash and cash equivalents – beginning of period

    -       57,307       12,463       2,831       -       72,601  

Cash and cash equivalents – end of period

  $ -     $ 95,567     $ 10,347     $ 3,262     $ -     $ 109,176  
   

Parent

   

Issuer

   

Guarantors

   

Non-Guarantors

   

Eliminations

   

Consolidated

 

Net cash provided by operating activities

  $ 20,821     $ 24,720     $ 12,336     $ 3,424     $ -     $ 61,301  

Cash flows from investing activities:

                                               

Capital expenditures

    -       (1,320 )     (14,847 )     (2,838 )     -       (19,005 )

Acquisitions

    -       -       (770 )     -       -       (770 )

Proceeds from the disposal of property, plant and equipment

    -       61       3,222       -       -       3,283  

Change in restricted cash and investments

    -       (17 )     -       -       -       (17 )

Purchase of marketable securities

    -       (18,247 )     -       -       -       (18,247 )

Proceeds from the sale of marketable securities

    -       11,165       -       -       -       11,165  

Other

    -       1,440       550       -       -       1,990  

Net cash used in investing activities

    -       (6,918 )     (11,845 )     (2,838 )     -       (21,601 )
                                                 

Cash flows from financing activities:

                                               

Payments on long-term debt

    -       (25,800 )     (304 )     -       -       (26,104 )

Purchases and other retirements of company stock

    -       -       -       -       -       -  

Dividends paid

    (22,220 )     -       -       -       -       (22,220 )

Other

    1,399       359       -       -       -       1,758  

Net cash used in financing activities

    (20,821 )     (25,441 )     (304 )     -       -       (46,566 )

Effect of exchange rate changes on cash

    -       -       -       (254 )     -       (254 )

Net increase (decrease) in cash and cash equivalents

    -       (7,639 )     187       332       -       (7,120 )

Cash and cash equivalents – beginning of period

    -       64,946       12,276       2,499       -       79,721  

Cash and cash equivalents – end of period

  $ -     $ 57,307     $ 12,463     $ 2,831     $ -     $ 72,601  
   

Parent

   

Issuer

   

Guarantors

   

Non-Guarantors

   

Eliminations

   

Consolidated

 

Net cash provided by operating activities

  $ 9,187     $ 3,939     $ 18,441     $ 6,134     $ -     $ 37,701  

Cash flows from investing activities:

                                               

Capital expenditures

    -       (1,952 )     (15,721 )     (5,211 )     -       (22,884 )

Acquisitions

    -       -       (520 )     -       -       (520 )

Proceeds from the disposal of property, plant and equipment

    -       12       1,861       -       -       1,873  

Change in restricted cash and investments

    -       975       -       -       -       975  

Purchase of marketable securities

    -       (3,647 )     -       -       -       (3,647 )

Proceeds from the sale of marketable securities

    -       7,230       -       -       -       7,230  

Other

    -       305       511       -       -       816  

Net cash provided by (used in) investing activities

    -       2,923       (13,869 )     (5,211 )     -       (16,157 )
                                                 

Cash flows from financing activities:

                                               

Payments on long-term debt

    -       (11,917 )     (287 )     -       -       (12,204 )

Purchases and other retirements of company stock

    (1,350 )     -       -       -       -       (1,350 )

Dividends paid

    (8,062 )     -       -       -       -       (8,062 )

Other

    225       238       275       -       -       738  

Net cash used in financing activities

    (9,187 )     (11,679 )     (12 )     -       -       (20,878 )

Effect of exchange rate changes on cash

    -       -       -       536       -       536  

Net increase (decrease) in cash and cash equivalents

    -       (4,817 )     4,560       1,459       -       1,202  

Cash and cash equivalents – beginning of period

    -       69,763       7,716       1,040       -       78,519  

Cash and cash equivalents – end of period

  $ -     $ 64,946     $ 12,276     $ 2,499     $ -     $ 79,721