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SUPPLEMENTARY FINANCIAL STATEMENT INFORMATION (Tables)
6 Months Ended
Jun. 30, 2012
SUPPLEMENTARY FINANCIAL STATEMENT INFORMATION [Abstract]  
Schedule of Accounts Receivable
          December 31,  
    June 30, 2012     2011     2010  
    ($ in thousands)  
1) Trade:                        
Open accounts   $ 2,039     $ 2,426     $ 998  
Allowance for doubtful accounts     (215 )     (142 )     (146 )
    $ 1,824     $ 2,284     $ 852  
2) Other:                        
Due from government institutions   $ 124     $ 68     $ 56  
Advance payments to suppliers     118       32          
Fund in respect of employee right upon retirement                     8  
Miscellaneous     22       18       11  
    $ 264     $ 118     $ 75  
Schedule of Changes in Allowance for Doubtful Accounts
    6 month period
ended
    Year ended December 31  
    June 30, 2012     2011     2010     2009  
    ($ in thousands)  
Balance at beginning of period   $ 142     $ 146     $ 6     $ 6  
Additions during the period     78               140          
Exchange rate differences     (5 )     (4 )                
Balance at end of period   $ 215     $ 142     $ 146     $ 6  
Schedule of Inventories
          December 31,  
    June 30, 2012     2011     2010  
    ($ in thousands)  
Finished goods   $ 479     $ 741     $ 957  
Work in process     1,115       1,044       573  
Raw materials and supplies     150       276       174  
    $ 1,744     $ 2,061     $ 1,704  
Schedule of Inventory on Consignment
    6 month period
ended
    Year ended December 31,  
    June 30, 2012     2011     2010     2009  
    ($ in thousands)  
Balance at beginning of period   $ 110     $ 371     $ 1,093     $ 1,423  
Costs of revenues deferred during the period     20       110       326       421  
Costs of revenues recognized during the period     (67 )     (371 )     (1,048 )     (751 )
Balance at end of period   $ 63     $ 110     $ 371     $ 1,093  
Schedule of Accounts Payable and Accruals
          December 31,  
    June 30, 2012     2011     2010  
    ($ in thousands)  
Employees and employee institutions   $ 438     $ 376     $ 375  
Accrued vacation and recreation pay     272       271       147  
Accrued clinical trials expenses     607       124       35  
Provision for sales commissions     194       213       36  
Accrued expenses     1,197       930       561  
Due to government institutions     22       3       100  
Liability for employees rights upon retirement                     7  
Provision for returns     139       231       150  
Taxes payable     56       69       98  
    $ 2,925     $ 2,217     $ 1,509  
Schedule of Deferred Revenues
    6 month period
ended
    Year ended December 31  
    June 30, 2012     2011     2010     2009  
    ($ in thousands)  
Balance at beginning of period   $ -     $ 398     $ 1,975     $ 2,482  
Revenue deferred during the period     25               320       616  
Revenue recognized during the period     (15 )     (398 )     (1,897 )     (1,123 )
Balance at end of period   $ 10     $ -     $ 398     $ 1,975  
Schedule of Financial Expenses (Income), Net
    6 month period
ended
    Year ended December 31  
    June 30, 2012     2011     2010     2009  
    ($ in thousands)  
Bank commissions   $ 30     $ 63     $ 83     $ 18  
Interest income     (9 )     (36 )     (1 )     (1 )
Exchange rate differences     (40 )     177       (33 )     30  
Interest expense (including debt issuance costs)     1,232       730       105       221  
Change in fair value of warrants and embedded derivatives     (1,322 )                        
Redemption of beneficial conversion feature of convertible loan                             (308 )
    $ (109 )   $ 934     $ 154     $ (40 )