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Long-term Debt and Other Financing Arrangements (Tables)
6 Months Ended
Jun. 30, 2015
Debt Disclosure [Abstract]  
Schedule of Long-term Debt Instruments
The Company's long-term borrowing consisted of the following (in thousands, except for interest rates):
Description
 
Interest
rate
 
June 30,
2015
 
December 31, 2014
Senior secured debt – HSBC Bank PLC
 
1.10
%
 
$
3,143

 
$

Promissory note—Payable to Former Shareholder of TLC
 
2.63
%
 
3,189

 
3,374

Promissory note—Lega Enterprises, LLC (formerly Agel Enterprises, LLC)
 
5.00
%
 
1,180

 
1,367

Other miscellaneous notes
 
4.00
%
 
417

 
516

Total debt
 
 

 
7,929

 
5,257

Less current maturities
 
 

 
(914
)
 
(941
)
Long-term debt and other financing arrangements, net of current maturities
 
 

 
$
7,015

 
$
4,316

Schedule of Maturities of Long-term Debt
The schedule of maturities of the Company’s long-term debt are as follows (in thousands):
2015 (remaining portion)
$
453

2016
931

2017
4,002

2018
715

2019
412

Thereafter
1,416

Total long-term debt including current maturities
$
7,929

Schedule of Minimum Lease Commitments for Capital Leases
Minimum lease commitments for our capital leases for the years ended December 31, are as follows (in thousands):

2015 (remaining portion)
$
17

2016
73

2017
157

2018
255

2019
371

Thereafter
14,892

Total long-term debt including current maturities
$
15,765