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Note 10 - Long-Term Debt (Details)
0 Months Ended 1 Months Ended 0 Months Ended 1 Months Ended 0 Months Ended 0 Months Ended 9 Months Ended 1 Months Ended 0 Months Ended 1 Months Ended 0 Months Ended 1 Months Ended 0 Months Ended
Jul. 07, 2011
USD ($)
May 06, 2011
USD ($)
Feb. 27, 2012
Sep. 30, 2014
USD ($)
Aug. 27, 2012
USD ($)
Dec. 31, 2011
USD ($)
Feb. 09, 2011
USD ($)
Nov. 02, 2010
USD ($)
Jul. 19, 2011
Debt Instrument, Redemption, Period One [Member]
Senior Unsecured Notes Payable [Member]
Maximum [Member]
Jul. 19, 2011
Debt Instrument, Redemption, Period One [Member]
Senior Unsecured Notes Payable [Member]
Jul. 19, 2011
Debt Instrument, Redemption, Period Two [Member]
Senior Unsecured Notes Payable [Member]
Jul. 07, 2011
Original Maximum Consolidated Leverage Ratio [Member]
Jul. 07, 2011
New Maximum Consolidated Leverage Ratio [Member]
Feb. 27, 2012
Any Fiscal Quarter After Sep 30, 2012 [Member]
Feb. 03, 2014
With Negative Trailing Twelve Months Adjusted EBITDA [Member]
USD ($)
Feb. 03, 2014
With Trailing Twelve Month Adjusted EDITDA [Member]
USD ($)
Feb. 03, 2014
Without Delivering ProForma Projections to the Lenders [Member]
USD ($)
Feb. 03, 2014
Default Rate [Member]
Jul. 19, 2011
Initial Notes [Member]
USD ($)
Jul. 19, 2011
Initial Notes [Member]
USD ($)
Jun. 30, 2012
Exchange Notes [Member]
Jun. 30, 2012
Senior Unsecured Notes Payable [Member]
Jul. 19, 2011
Senior Unsecured Notes Payable [Member]
Feb. 03, 2014
Federal Funds Rate Base [Member]
Feb. 03, 2014
London Interbank Offered Rate (LIBOR) [Member]
Sep. 30, 2014
London Interbank Offered Rate (LIBOR) [Member]
Jun. 28, 2013
Base Rate [Member]
UKIM [Member]
Sep. 29, 2010
Base Rate [Member]
UKIM [Member]
May 12, 2011
Base Rate [Member]
Premex Group [Member]
Sep. 29, 2010
Minimum [Member]
UKIM [Member]
May 12, 2011
Minimum [Member]
Premex Group [Member]
Jun. 28, 2013
UKIM [Member]
Sep. 30, 2014
UKIM [Member]
USD ($)
Sep. 29, 2010
UKIM [Member]
GBP (£)
Jun. 28, 2013
Premex Group [Member]
Sep. 30, 2014
Premex Group [Member]
USD ($)
May 12, 2011
Premex Group [Member]
GBP (£)
Note 10 - Long-Term Debt (Details) [Line Items]                                                                          
Debt Instrument, Face Amount (in Dollars)                                       $ 250,000,000                                  
Debt Instrument, Interest Rate, Stated Percentage                                   2.00%   9.00% 9.00% 9.00%                              
Debt Instrument, Issuance Price, Percentage                                     100.00%                                    
Proceeds from Issuance of Senior Long-term Debt (in Dollars)                                     250,000,000                                    
Debt Instrument, Redemption Period, End Date                   Jul. 15, 2014 Jul. 15, 2015                                                    
Debt Instrument, Redemption Price, Percentage of Principal Amount Redeemed                 35.00%                                                        
Debt Instrument, Redemption Price, Percentage                   109.00% 100.00%                                                    
Debt Instrument, Redemption Price, Minimum Percent of Original Principal Amount Outstanding After Redemption                   65.00%                                                      
Debt Instrument Repurchase Percentage of Face Amount                                             101.00%                            
Line of Credit Facility, Maximum Borrowing Capacity 262,500,000 300,000,000         245,000,000 180,000,000             5,000,000 3,000,000 75,000,000                                 5,000,000     26,500,000
Line of Credit Facility, Increase (Decrease), Other, Net (in Dollars)   55,000,000                                                                      
Consolidated Senior Secured Leverage Ratio 3.00                                                                        
Consolidated Leverage Ratio                       3.5 4.75                                                
Line of Credit Facility, Capacity Available for Specific Purpose Other than for Trade Purchases (in Dollars) 75,000,000 50,000,000                                                                      
Line Of Credit Facility Increase Right (in Dollars) 37,500,000                                                                        
Line Of Credit Facility Increase Capacity (in Dollars) 300,000,000                                                                        
Minimum Fixed Charge Coverage Ratio     1.75                     2.00                                              
Secured Revolving Credit Facility, Alternative Currency Sublimit (in Dollars)         100,000,000 60,000,000                                                              
Debt Instrument, Basis Spread on Variable Rate                                               0.50% 1.00% 3.00% 2.40% 2.50% 2.40%                
Long-term Line of Credit (in Dollars)       163,400,000                                                         7,800,000     36,900,000  
Line of Credit Facility, Remaining Borrowing Capacity (in Dollars)       $ 99,100,000                                                         $ 324,000     $ 6,200,000  
Debt Instrument, Term                                                           36 months 36 months 24 months          
Debt Instrument, Interest Rate, Effective Percentage                                                                 0.50%     0.50%  
Debt Instrument, Term, Increase                                                                     24 months