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Note 8 - Debt (Tables)
6 Months Ended
Jun. 30, 2014
Debt Disclosure [Abstract]  
Schedule of Debt [Table Text Block]
   
June 30, 2014
   
December 31, 2013
 
             
Borrowings under lines of credit
  $ -     $ -  
                 
First lien secured credit facility, due 2020, interest at the greater of 4.00% or LIBOR plus 3.00%, weighted average interest rate of 4.00% at June 30, 2014
    747,450       751,225  
Other
    1,000       1,024  
Total debt
    748,450       752,249  
Less: current portion debt
    (7,953 )     (7,958 )
Total long-term debt
  $ 740,497     $ 744,291  
Recapitalization And Refinancing Transactions Sources And Uses Of Cash [Table Text Block]
Sources:
     
First lien term loan
  $ 755,000  
Second lien term loan
    360,000  
Cash
    117,080  
Total sources
  $ 1,232,080  
         
Uses:
       
Retire Tranche B and Tranche C term loans and accrued interest
  $ 345,426  
Retire senior subordinated notes, accrued interest and call premium
    368,164  
Redemption of Series A preferred stock and accumulated dividends
    500,000  
Fees and expenses
    13,003  
Discount on first lien term loan and second lien term loan
    5,487  
Total uses
  $ 1,232,080