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SUPPLEMENTARY FINANCIAL STATEMENT INFORMATION (Tables)
3 Months Ended 6 Months Ended
Sep. 30, 2012
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
June 30, 2012
Year ended December 31
  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
    September 30,     June 30,  
    2012     2012  
    ($ in thousands)  
             
Finished goods   $ 752     $ 479  
Work in process     1,201       1,115  
Raw materials and supplies     123       150  
    $ 2,076     $ 1,744  
       
    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
June 30, 2012
Year ended December 31,
  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
    September 30,     June 30,  
    2012     2012  
    ($ in thousands)  
             
Employees and employee institutions   $ 442     $ 438  
Accrued vacation and recreation pay     256       272  
Accrued clinical trial expenses     333       607  
Provision for sales commissions     188       194  
Accrued expenses     1,259       1,197  
Due to government institutions     23       22  
Provision for returns     55       139  
Taxes payable     72       56  
    $ 2,628     $ 2,925  
       
    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
June 30, 2012
Year ended December 31
  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
    September 30,  
    2012     2011  
    ($ in thousands)  
             
Bank commissions   $ 9     $ 8  
Interest income     (9 )     (20 )
Exchange rate differences     5       105  
Interest expense (including debt issuance costs)     988       15  
Change in fair value of warrants and embedded derivatives     3,225          
    $ 4,218     $ 108  
         
  6 month period
ended
June 30, 2012
Year ended December 31
  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 )