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Balance Sheets-Additional Information
3 Months Ended
Sep. 30, 2014
Balance Sheets Additional Information [Abstract]  
Balance Sheets-Additional Information

    4.    Balance Sheets—Additional Information

 
As of
September 30, 
2014
June 30, 
2014
Inventories
 
 
Raw materials
$
53,419
 
$
44,306
 
Work-in-process
7,508
 
7,518
 
Finished goods
85,455
 
91,360
 
$
146,382
 
$
143,184
 
 
 
As of
September 30, 
2014
June 30, 
2014
Goodwill roll-forward
 
 
Balance at beginning and end of period
$
12,613
 
$
12,613
 
Accrued expenses and other current liabilities
 
 
Employee related accruals
$
15,636
 
$
20,813
 
Commissions and rebates
3,230
 
2,973
 
Insurance related
1,366
 
1,395
 
Professional fees
3,260
 
4,229
 
Deferred consideration on acquisitions
1,449
 
1,420
 
Product liability claims
 
5,286
 
Other accrued liabilities
14,352
 
13,745
 
$
39,293
 
$
49,861
 
 
 
As of
September 30, 
2014
June 30, 
2014
Accumulated other comprehensive income (loss)
 
 
Derivative instruments
$
(43
)
$
386
 
Foreign currency translation adjustment
(11,389
)
(1,409
)
Unrecognized net pension gains (losses)
(16,378
)
(16,663
)
Income tax (provision) benefit on derivative instruments
63
 
63
 
Income tax (provision) benefit on pension gains (losses)
(2,437
)
(2,437
)
$
(30,184
)
$
(20,060
)