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Acquisitions (Tables)
9 Months Ended
Mar. 31, 2016
Business Combinations [Abstract]  
Schedule of the Net Purchase Price and Fair Values of Assets and Liabilities Acquired
The following table presents the net purchase price and the preliminary fair values of the assets and liabilities of LIT:
 
Amounts 
Consideration transferred
 

       Cash paid at closing
$
10,290

       Working capital adjustment
(244
)
       Less cash and cash equivalents acquired
(290
)
Net purchase price
$
9,756

 
 

Estimated fair value of tangible assets acquired and liabilities assumed
 

       Cash and cash equivalents
$
290

       Accounts receivable and cost in excess of billings
290

       Other current and non-current assets
175

       Current liabilities
(264
)
Estimated fair value of net tangible assets acquired
491

Estimated fair value of identifiable intangible assets
3,960

Estimated fair value of goodwill
5,595

Estimated fair value of assets acquired
10,046

Less cash and cash equivalents acquired
(290
)
Net purchase price
$
9,756