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DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES (Tables)
3 Months Ended
Nov. 30, 2018
Cash Flow Hedging [Member]  
Derivative [Line Items]  
Schedule of Interest Rate Derivatives



 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 



 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Subsidiary

 

Date
Entered
into

 

Derivative
Financial
Counter-
party

 

Derivative
Financial
Instruments

 

Initial
US$
Notional
Amount

 

Bank
US$
loan 
Held
with

 

Floating Leg
(swap
counter-party)

 

Fixed Rate
for PSMT
Subsidiary

 

Settlement
Dates

 

Effective
Period of swap

PriceSmart, Inc

 

7-Nov-16

 

MUFG Union Bank, N.A. ("Union Bank")

 

Interest rate swap

 

$

35,700,000 

 

Union Bank

 

Variable rate 1-month Libor plus 1.7%

 

3.65 

%

 

1st day of each month beginning on April 1, 2017

 

March 1, 2017 - March 1, 2027

Costa Rica

 

28-Aug-15

 

Citibank, N.A. ("Citi")

 

Cross currency interest rate swap

 

$

7,500,000 

 

Citibank, N.A.

 

Variable rate 3-month Libor plus 2.50%

 

7.65 

%

 

28th day of August, November, February, and May beginning on November 30, 2015

 

August 28, 2015 -
August 28, 2020

Honduras

 

26-Feb-18

 

Citibank, N.A. ("Citi")

 

Cross currency interest rate swap

 

$

13,500,000 

 

Citibank, N.A.

 

Variable rate 3-month Libor plus 3.00%

 

9.75 

%

 

29th day of May, August, November and February beginning May 29, 2018

 

February 26, 2018 -
February 24, 2024

El Salvador

 

16-Dec-14

 

Bank of Nova Scotia ("Scotiabank")

 

Interest rate swap

 

$

4,000,000 

 

Bank of Nova Scotia

 

Variable rate 30-day Libor plus 3.5%

 

4.78 

%

 

29th day of each month beginning  on December 29, 2014

 

December 1, 2014 -
August 29, 2019

Colombia

 

10-Dec-14

 

Citibank, N.A. ("Citi")

 

Cross currency interest rate swap

 

$

15,000,000 

 

Citibank, N.A.

 

Variable rate 3-month Libor plus 2.8%

 

8.25 

%

 

4th day of March, June, Sept, Dec. beginning on March 4, 2015

 

December 4, 2014 -
December 3, 2019

Panama

 

9-Dec-14

 

Bank of Nova Scotia ("Scotiabank")

 

Interest rate swap

 

$

10,000,000 

 

Bank of Nova Scotia

 

Variable rate 30-day Libor plus 3.5%

 

5.2 

%

 

28th day of each month beginning December 29, 2014

 

November 28, 2014 -
November 29, 2019

Panama

 

1-Aug-14

 

Bank of Nova Scotia ("Scotiabank")

 

Interest rate swap

 

$

5,000,000 

 

Bank of Nova Scotia

 

Variable rate 30-day Libor plus 3.5%

 

4.89 

%

 

21st day of each month beginning on September 22, 2014

 

August 21, 2014 -
August 21, 2019

Panama

 

22-May-14

 

Bank of Nova Scotia ("Scotiabank")

 

Interest rate swap

 

$

3,970,000 

 

Bank of Nova Scotia

 

Variable rate 30-day Libor plus 3.5%

 

4.98 

%

 

4th day of each month beginning on June 4, 2014

 

May 5, 2014 -
April 4, 2019

Panama

 

25-Jun-18

 

Bank of Nova Scotia ("Scotiabank")

 

Interest rate swap

 

$

14,625,000 

 

Bank of Nova Scotia

 

Variable rate 3-month Libor plus 3.0%

 

5.99 

%

 

23rd day of each month beginning on July 23, 2018

 

June 25, 2018 -
March 23, 2023



Interest Rate Swaps [Member] | Cash Flow Hedging [Member]  
Derivative [Line Items]  
Schedule of Notional Amounts of Outstanding Derivative Positions



 

 

 

 

 

 



 

 

 

 

 

 



 

Notional Amount as of



 

November 30,

 

August 31,

 Floating Rate Payer (Swap Counterparty)

 

2018

 

2018

Union Bank

 

$

35,700 

 

$

35,700 

Citibank N.A.

 

 

26,925 

 

 

27,825 

Scotiabank

 

 

23,974 

 

 

25,149 

Total

 

$

86,599 

 

$

88,674 



Derivative Swaps [Member] | Cash Flow Hedging [Member]  
Derivative [Line Items]  
Schedule of Derivative Instruments in Statement of Financial Position, Fair Value



 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 



 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 



 

 

 

November 30, 2018

 

August 31, 2018

Derivatives designated as cash flow hedging instruments

 

Balance Sheet
Location

 

Fair
Value

 

Net Tax
Effect

 

Net
OCI

 

Fair
Value

 

Net Tax
Effect

 

Net
OCI

Cross-currency interest rate swaps

 

Other non-current assets

 

$

2,846 

 

$

(967)

 

$

1,879 

 

$

2,405 

 

$

(819)

 

$

1,586 

Interest rate swaps

 

Other non-current assets

 

 

2,039 

 

 

(456)

 

 

1,583 

 

 

1,959 

 

 

(434)

 

 

1,525 

Interest rate swaps

 

Other long-term liabilities

 

 

 —

 

 

 —

 

 

 —

 

 

(8)

 

 

 

 

(6)

Cross-currency interest rate swaps

 

Other long-term liabilities

 

 

(392)

 

 

118 

 

 

(274)

 

 

(494)

 

 

148 

 

 

(346)

Net fair value of derivatives designated as hedging instruments

 

 

 

$

4,493 

 

$

(1,305)

 

$

3,188 

 

$

3,862 

 

$

(1,103)

 

$

2,759 



Derivative Swaps [Member] | Cash Flow Hedging [Member] | Interest Expense [Member]  
Derivative [Line Items]  
Schedule of Cash Flow Hedging Instruments, Statements of Financial Performance and Financial Position, Location



 

 

 

 

 

 

 

 

 



 

 

 

 

 

 

 

 

 

Income Statement Classification

 

Interest
expense on
borrowings(1)

 

Cost of
swaps (2)

 

Total

Interest expense for the three months ended November 30, 2018

 

$

1,160 

 

$

167 

 

$

1,327 

Interest expense for the three months ended November 30, 2017

 

$

849 

 

$

322 

 

$

1,171 



(1)

This amount is representative of the interest expense recognized on the underlying hedged transactions.

(2)

This amount is representative of the interest expense recognized on the cross-currency interest rate swaps designated as cash flow hedging instruments.

Forward Foreign Exchange Contract [Member] | Fair Value Hedging [Member] | Other Income (Expense) [Member]  
Derivative [Line Items]  
Schedule of Cash Flow Hedging Instruments, Statements of Financial Performance and Financial Position, Location



 

 

 

 

 

 



 

 

 

 

 

 



 

Three Months Ended



 

November 30,

 

November 30,

Income Statement Classification

 

2018

 

2017

Other income (expense), net

 

$

87 

 

$

93