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Fair Value Of Financial Instruments (Tables)
12 Months Ended
Jun. 30, 2014
Fair Value Of Financial Instruments [Abstract]  
Outstanding Foreign Exchange Contracts

 The Company's outstanding foreign exchange contracts are as follows:

As of June 30, 2014

             
        Fair market  
Notional amount Strike price value price Maturity
EUR 182,272.50 ZAR 15.2077 ZAR 14.5803 July 21, 2014
EUR 182,272.50 ZAR 15.3488 ZAR 14.5803 July 21, 2014
EUR 180,022.50 ZAR 15.4228 ZAR 14.6542 August 20, 2014
EUR 180,022.50 ZAR 15.2819 ZAR 14.6542 August 20, 2014
EUR 180,022.50 ZAR 15.3623 ZAR 14.7367 September 22, 2014
EUR 180,022.50 ZAR 15.5041 ZAR 14.7367 September 22, 2014
EUR 181,570.50 ZAR 15.5739 ZAR 14.8119 October 20, 2014
EUR 181,570.50 ZAR 15.4316 ZAR 14.8119 October 20, 2014
EUR 180,022.50 ZAR 15.6552 ZAR 14.8982 November 20, 2014
EUR 180,022.50 ZAR 15.5136 ZAR 14.8982 November 20, 2014
EUR 180,022.50 ZAR 15.5970 ZAR 14.9874 December 22, 2014
EUR 180,022.50 ZAR 15.7391 ZAR 14.9874 December 22, 2014
EUR 174,424.50 ZAR 15.8119 ZAR 15.0671 January 20, 2015
EUR 174,424.50 ZAR 15.6729 ZAR 15.0671 January 20, 2015

 

As of June 30, 2013

             
        Fair market  
Notional amount Strike price value price Maturity
USD 4,000,000 ZAR 9.06 ZAR 10.1397 September 30, 2013

      

Fair Value Of Assets And Liabilities Measured On Recurring Basis

The following table presents the Company's assets and liabilities measured at fair value on a recurring basis as of June 30, 2014, according to the fair value hierarchy:

    Quoted            
    Price in            
    Active   Significant        
    Markets for   Other   Significant    
    Identical   Observable   Unobservable    
    Assets   Inputs   Inputs    
    (Level 1)   (Level 2)   (Level 3)   Total
Assets                
Related to insurance business (included in                
other long-term assets):                
Cash and cash equivalents $ 1,800 $ - $ - $ 1,800
Investment in Finbond (available for sale                
assets included in other long-term assets)   -   -   8,068   8,068
Other   -   47   -   47
Total assets at fair value $ 1,800 $ 47 $ 8,068 $ 9,915
Liabilities                
Foreign exchange contracts $ - $ 164 $ - $ 164
Total liabilities at fair value $ - $ 164 $ - $ 164

 

     The following table presents the Company's assets and liabilities measured at fair value on a recurring basis as of June 30, 2013, according to the fair value hierarchy:

    Quoted            
    Price in            
    Active   Significant        
    Markets for   Other   Significant    
    Identical   Observable   Unobservable    
    Assets   Inputs   Inputs    
    (Level 1)   (Level 2)   (Level 3)   Total
Assets                
Related to insurance business (included in                
other long-term assets):                
Cash and cash equivalents $ 1,833 $ - $ - $ 1,833
Investment in Finbond (available for sale                
assets included in other long-term assets)   -   -   8,303   8,303
Other   -   147   -   147
Total assets at fair value $ 1,833 $ 147 $ 8,303 $ 10,283
 
Liabilities                
Foreign exchange contracts $ - $ 436 $ - $ 436
Total liabilities at fair value $ - $ 436 $ - $ 436