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Credit Facility (Tables)
6 Months Ended
Jun. 30, 2013
Original Line of Credit
 
Line of credit  
Schedule of contractual future repayments in relation to line of credit

As of June 30, 2013, contractual future repayments in relation to the Original Line of Credit and New Line of Credit are as follows for the remainder of 2013 and the subsequent years ending December 31:

 
 
Principal
 
Interest
 
Total
 
 
  (in thousands, unaudited)
 

2013 (6 months)

  $ 466   $ 126   $ 592  

2014

    1,926     217     2,143  

2015

    2,257     130     2,387  

2016

    1,693     43     1,736  

2017

    271     2     273  

2018 and beyond

             
               

Total

  $ 6,613   $ 518   $ 7,131  
               
Line of Credit
 
Line of credit  
Schedule of contractual future repayments in relation to line of credit

Contractual future repayments in relation to the Original Line of Credit as of December 31, 2012 are as follows for the year ending December 31:

 
  Principal   Interest   Total  
 
  (in thousands)
 

2013

  $ 582   $ 137   $ 719  

2014

    1,188     102     1,290  

2015

    1,238     53     1,291  

2016

    632     9     641  

2017 and beyond

             
               

Total

  $ 3,640   $ 301   $ 3,941