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Other Noncurrent Assets (Tables)
12 Months Ended
May 31, 2012
Other Noncurrent Assets  
Schedule of other noncurrent assets

 

 
  May 31,  
 
  2012   2011  

Capitalized program development costs

  $ 91,942   $ 69,413  

Costs in excess of billings

    27,872     19,404  

Notes receivable

    18,869     2,443  

Assets under deferred compensation plan

    16,315     16,421  

Cash surrender value of life insurance

    15,632     15,164  

Licenses fees

    15,072      

Debt issuance costs

    10,025     5,281  

Other

    13,185     14,012  
           

 

  $ 208,912   $ 142,138