0001571049-14-004540.txt : 20140911 0001571049-14-004540.hdr.sgml : 20140911 20140911161947 ACCESSION NUMBER: 0001571049-14-004540 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 12 CONFORMED PERIOD OF REPORT: 20140731 FILED AS OF DATE: 20140911 DATE AS OF CHANGE: 20140911 FILER: COMPANY DATA: COMPANY CONFORMED NAME: VALUE LINE INC CENTRAL INDEX KEY: 0000717720 STANDARD INDUSTRIAL CLASSIFICATION: INVESTMENT ADVICE [6282] IRS NUMBER: 133139843 STATE OF INCORPORATION: NY FISCAL YEAR END: 0430 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 000-11306 FILM NUMBER: 141098350 BUSINESS ADDRESS: STREET 1: 485 LEXINGTON AVENUE STREET 2: 9TH FLOOR CITY: NEW YORK STATE: NY ZIP: 10017-2630 BUSINESS PHONE: 212 907-1500 MAIL ADDRESS: STREET 1: 485 LEXINGTON AVENUE STREET 2: 9TH FLOOR CITY: NEW YORK STATE: NY ZIP: 10017-2630 10-Q 1 t80222_10q.htm FORM 10-Q



UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C.  20549
 
FORM 10-Q
(Mark One)
 
x
QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15 (d) OF THE SECURITIES EXCHANGE ACT OF 1934
 
For the quarterly period ended July 31, 2014
or
 
o
TRANSITION REPORT PURSUANT TO SECTION 13 OR 15 (d) OF THE SECURITIES EXCHANGE ACT OF 1934
 
For the transition period from _____________________________________ to __________________________________
 
Commission File Number:   0-11306
 
(VALUE LINE LOGO)
  VALUE LINE, INC.  
 (Exact name of registrant as specified in its charter)
 
  New York       13-3139843  
(State or other jurisdiction of incorporation or organization)    (I.R.S. Employer Identification No.)
 
  485 Lexington Avenue, New York, New York       10017-2630  
(Address of principal executive offices)      (Zip Code)
 
  (212) 907-1500  
(Registrants telephone number, including area code)
 
Indicate by check mark whether the registrant (1) has filed all reports required to be filed by Section 13 or 15 (d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days.
Yes x  No o
 
        Indicate by check mark whether the registrant has submitted electronically and posted on its corporate Website, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (§232.405 of this chapter) during the preceding 12 months (or for such shorter period that the registrant was required to submit and post such files)”.
Yes x  No o
 
Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company.  See the definitions of “large accelerated filer,” “accelerated filer” and “smaller reporting company” in Rule 12b-2 of the Exchange Act.
 
        Large accelerated filer o Accelerated filer o Non-accelerated filer   x Smaller reporting company o
    (Do not check if a smaller reporting company)
 
Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act).
Yes o  No x
 
Indicate the number of shares outstanding of each of the issuer’s classes of common stock, as of the latest practicable date.
 
  Class       Outstanding at August 25, 2014  
 
  Common stock, $0.10 par value       9,814,876 Shares  
 
 
 

 

 
(VALUE LINE LOGO)
VALUE LINE INC.
TABLE OF CONTENTS
         
   
 
 
Page No.
   
PART I. FINANCIAL INFORMATION
   
         
Item 1.
 
Consolidated Condensed Financial Statements
   
         
   
Consolidated Condensed Balance Sheets as of July 31, 2014 and April 30, 2014
 
3
         
   
Consolidated Condensed Statements of Income for the three months ended July 31, 2014 and July 31, 2013
 
4
         
   
Consolidated Condensed Statements of Comprehensive Income for the three months ended July 31, 2014 and July 31, 2013
 
5
         
   
Consolidated Condensed Statements of Cash Flows for the three months ended July 31, 2014 and July 31, 2013
 
6
         
   
Consolidated Condensed Statement of Changes in Shareholders’ Equity for the three months ended July 31, 2014
 
7
         
   
Consolidated Condensed Statement of Changes in Shareholders’ Equity for the three months ended July 31, 2013
 
8
         
   
Notes to Consolidated Condensed Financial Statements
 
9
         
Item 2.
 
Management’s Discussion and Analysis of Financial Condition and Results of Operations
 
19
         
Item 3.
 
Quantitative and Qualitative Disclosures About Market Risk
 
29
         
Item 4.
 
Controls and Procedures
 
30
         
   
PART II. OTHER INFORMATION
   
         
Item 1.
 
Legal Proceedings
 
31
         
Item 1A.
 
Risk Factors
 
31
         
Item 2.
 
Unregistered Sales of Equity Securities and Use of Proceeds
 
31
Item 5.
 
Other Information
 
31
Item 6.
 
Exhibits
 
32
         
   
Signatures
 
33
 
 
 

 

 
Part I - Financial Information
Item 1. Financial Statements
 
Value Line, Inc.
Consolidated Condensed Balance Sheets
(in thousands, except share amounts)
             
   
July 31,
   
April 30,
 
   
2014
   
2014
 
   
(unaudited)
       
Assets
           
Current Assets:
           
Cash and cash equivalents (including short term
           
investments of $6,506 and $5,482, respectively)
  $ 6,912     $ 5,788  
Securities available-for-sale
    9,095       9,226  
Accounts receivable, net of allowance for doubtful
               
accounts of $31 and $39, respectively
    731       1,206  
Prepaid and refundable income taxes
    100       175  
Prepaid expenses and other current assets
    1,452       1,507  
Deferred income taxes
    384       364  
Total current assets
    18,674       18,266  
                 
Long term assets:
               
Investment in EAM Trust
    57,985       57,850  
Property and equipment, net
    3,864       3,863  
Capitalized software and other intangible assets, net
    6,891       6,896  
Total long term assets
    68,740       68,609  
                 
Total assets
  $ 87,414     $ 86,875  
                 
Liabilities and Shareholders Equity
               
Current Liabilities:
               
Accounts payable and accrued liabilities
  $ 2,054     $ 2,429  
Accrued salaries
    1,363       1,349  
Dividends payable
    1,472       1,472  
Accrued taxes on income
    1,323       316  
Unearned revenue
    20,663       21,490  
Total current liabilities
    26,875       27,056  
                 
Long term liabilities:
               
Unearned revenue
    4,073       3,634  
Deferred charges
    317       367  
Deferred income taxes
    22,414       22,520  
Total long term liabilities
    26,804       26,521  
Total liabilities
    53,679       53,577  
                 
Shareholders’ Equity:
               
Common stock, $0.10 par value; authorized 30,000,000
               
shares; issued 10,000,000 shares
    1,000       1,000  
Additional paid-in capital
    991       991  
Retained earnings
    33,747       33,183  
Treasury stock, at cost (185,124 and 182,071 shares, respectively)
    (2,164 )     (2,122 )
Accumulated other comprehensive income, net of tax
    161       246  
Total shareholders’ equity
    33,735       33,298  
                 
Total liabilities and shareholders’ equity
  $ 87,414     $ 86,875  
 
The accompanying notes are an integral part of these consolidated condensed financial statements.
 
3
 

 

 
Value Line, Inc.
Consolidated Condensed Statements of Income
(in thousands, except share & per share amounts)
(unaudited)
       
   
For the Three Months Ended
 
   
July 31,
 
   
2014
   
2013
 
             
Revenues:
           
Investment periodicals and related publications
  $ 8,273     $ 8,196  
Copyright data fees
    797       756  
Total revenues
    9,070       8,952  
                 
Expenses:
               
Advertising and promotion
    975       1,043  
Salaries and employee benefits
    4,115       3,900  
Production and distribution
    1,640       1,542  
Office and administration
    1,278       1,998  
Total expenses
    8,008       8,483  
Income from operations
    1,062       469  
                 
Revenues and profits interests in EAM Trust
    2,022       1,769  
Income from securities transactions, net
    41       38  
Income before income taxes
    3,125       2,276  
Income tax provision
    1,089       831  
Net income
  $ 2,036     $ 1,445  
                 
Earnings per share, basic & fully diluted
  $ 0.21     $ 0.15  
                 
Weighted average number of common shares
    9,815,175       9,863,388  
 
The accompanying notes are an integral part of these consolidated condensed financial statements.
 
4
 

 

 
Value Line, Inc.
Consolidated Condensed Statements of Comprehensive Income
(in thousands)
(unaudited)
       
   
For the Three Months Ended
 
   
July 31,
 
   
2014
   
2013
 
             
             
Net income
  $ 2,036     $ 1,445  
                 
Other comprehensive income (loss), net of tax:
               
Change in unrealized gains on securities, net of taxes
    (85 )     (3 )
Other comprehensive income (loss)
    (85 )     (3 )
Comprehensive income
  $ 1,951     $ 1,442  
 
The accompanying notes are an integral part of these consolidated condensed financial statements.
 
5
 

 

 
Value Line, Inc.
Consolidated Condensed Statements of Cash Flows
(in thousands)
(unaudited)
       
   
For the Three Months Ended
 
   
July 31,
 
   
2014
   
2013
 
Cash flows from operating activities:
           
Net income
  $ 2,036     $ 1,445  
Adjustments to reconcile net income to net cash provided by (used in) operating activities:
               
Depreciation and amortization
    606       466  
Non-voting revenues interest in EAM Trust
    (1,833 )     (1,598 )
Non-voting profits interest in EAM Trust
    (189 )     (171 )
Deferred income taxes
    130     587  
Deferred rent
    (50 )     -  
Changes in operating assets and liabilities:
               
Unearned revenue
    (388 )     (1,282 )
Reserve for settlement
    (26 )     (38 )
Operating lease exit obligation
    -       (36 )
Accounts payable & accrued expenses
    (349 )     (440 )
Accrued salaries
    14       (46 )
Accrued taxes on income
    797       242  
Prepaid and refundable income taxes
    75       -  
Prepaid expenses and other current assets
    55       (20 )
Receivable from affiliates
    3       (2 ) 
Accounts receivable
    472       103
Total adjustments
    (683 )     (2,235 )
Net cash provided by (used in) operating activities
    1,353       (790 )
                 
Cash flows from investing activities:
               
Purchases of securities classified as available-for-sale
    -       (1,223 )
Distributions received from EAM Trust
    1,887       1,620  
Acquisition of property and equipment
    (74 )     (133 )
Expenditures for capitalized software
    (528 )     (586 )
Net cash provided by (used in) investing activities
    1,285       (322 )
                 
Cash flows from financing activities:
               
Purchase of treasury stock at cost
    (42 )     (226 )
Dividends paid
    (1,472 )     (1,481 )
Net cash used in financing activities
    (1,514 )     (1,707 )
Net change in cash and cash equivalents
    1,124       (2,819 )
Cash and cash equivalents at beginning of year
    5,788       6,840  
Cash and cash equivalents at end of period
  $ 6,912     $ 4,021  
 
The accompanying notes are an integral part of these consolidated condensed financial statements.
 
6
 

 

 
Value Line, Inc.
Consolidated Condensed Statement of Changes in Shareholders’ Equity
For the Three Months Ended July 31, 2014
(in thousands, except share amounts)
(unaudited)
                                                 
               
Additional
                     
Accumulated other
       
   
Common stock
   
paid-in-
   
Treasury stock
   
Retained
   
comprehensive
       
   
Shares
   
Amount
   
capital
   
Shares
   
Amount
   
earnings
   
income/(loss)
   
Total
 
Balance at April 30, 2014
    10,000,000     $ 1,000     $ 991       (182,071 )   $ (2,122 )   $ 33,183     $ 246     $ 33,298  
                                                                 
Net income
                                            2,036               2,036  
Change in unrealized gains on
                                                               
securities, net of taxes
                                                    (85 )     (85 )
Purchase of treasury stock
                            (3,053 )     (42 )                     (42 )
Dividends declared
                                            (1,472 )             (1,472 )
Balance at July 31, 2014
    10,000,000     $ 1,000     $ 991       (185,124 )   $ (2,164 )   $ 33,747     $ 161     $ 33,735  
 
Dividends declared per share were $0.15 for the three months ending July 31, 2014.
 
The accompanying notes are an integral part of these consolidated condensed financial statements.
 
7
 

 

 
Value Line, Inc.
     Consolidated Condensed Statement of Changes in Shareholders’ Equity
For the Three Months Ended July 31, 2013
(in thousands, except share amounts)
(unaudited)
                                                 
               
Additional
                     
Accumulated other
       
   
Common stock
   
paid-in-
   
Treasury stock
   
Retained
   
comprehensive
       
   
Shares
   
Amount
   
capital
   
Shares
   
Amount
   
earnings
   
income/(loss)
   
Total
 
Balance at April 30, 2013
    10,000,000     $ 1,000     $ 991       (123,572 )   $ (1,572 )   $ 32,315     $ 251     $ 32,985  
                                                                 
Net income
                                            1,445               1,445  
Change in unrealized gains on
                                                               
securities, net of taxes
                                                    (3 )     (3 )
Purchase of treasury stock
                            (25,723 )     (226 )                     (226 )
Dividends declared
                                            (1,478 )             (1,478 )
Balance at July 31, 2013
    10,000,000     $ 1,000     $ 991       (149,295 )   $ (1,798 )   $ 32,282     $ 248     $ 32,723  
 
Dividends declared per share were $0.15 for the three months ending July 31, 2013.
 
The accompanying notes are an integral part of these consolidated condensed financial statements.
 
8
 

 

Value Line, Inc.
Notes to Consolidated Condensed Financial Statements
July 31, 2014
(Unaudited)
 
Note 1 - Organization and Summary of Significant Accounting Policies:
 
Value Line, Inc. (“Value Line” or “VLI”, and collectively with its subsidiaries, the “Company”) is incorporated in the State of New York. The name “Value Line” as used to describe the Company, its products, and its subsidiaries, is a registered trademark of the Company. The Company’s primary business is producing investment periodicals and related publications and making available copyright data including certain Value Line trademarks and Value Line Proprietary Ranking System information to third parties under written agreements for use in third party managed and marketed investment products.
 
The Consolidated Condensed Balance Sheets as of July 31, 2014 and April 30, 2014, which have been derived from the unaudited interim Consolidated Condensed Financial Statements and the audited Consolidated Financial Statements, respectively, were prepared following the interim reporting requirements of the Securities and Exchange Commission (“SEC”). In the opinion of management, the accompanying Unaudited Interim Consolidated Condensed Financial Statements contain all adjustments (consisting of normal recurring accruals except as noted below) considered necessary for a fair presentation. This report should be read in conjunction with the audited financial statements and footnotes contained in the Company’s Annual Report on Form 10-K for the fiscal year ended April 30, 2014 filed with the SEC on July 18, 2014 (the “Form 10-K”). Results of operations covered by this report may not be indicative of the results of operations for the entire year.
 
Use of Estimates:
 
The preparation of financial statements in conformity with U.S. generally accepted accounting principles (“GAAP”) requires management to make estimates and assumptions that affect certain reported amounts and disclosures. Accordingly, actual results may differ from those estimates.
 
Principles of Consolidation:
 
The Company follows the guidance in the Financial Accounting Standards Board’s (“FASB”) Topic 810 “Consolidation” to determine if it should consolidate its investment in a variable interest entity (“VIE”). A VIE is a legal entity in which either (i) equity investors do not have sufficient equity investment at risk to enable the entity to finance its activities independently or (ii) the equity holders at risk lack the obligation to absorb losses, the right to receive residual returns or the right to make decisions about the entity’s activities that most significantly affect the entity’s economic performance. A holder of a variable interest in a VIE is required to consolidate the entity if it is determined that it has a controlling financial interest in the VIE and is therefore the primary beneficiary. The determination of a controlling financial interest in a VIE is based on a qualitative assessment to identify the variable interest holder, if any, that has (i) the power to direct the activities of the VIE that most significantly impact the VIE’s economic performance, and (ii) either the obligation to absorb losses of the entity or the right to receive benefits from the entity that could potentially be significant to the VIE. The accounting guidance requires the Company to perform an ongoing assessment of whether the Company is the primary beneficiary of a VIE and the Company has determined it is not the primary beneficiary of a VIE (see Note 3).
 
In accordance with FASB’s Topic 810, the assets, liabilities, and results of operations of subsidiaries in which the Company has a controlling interest have been consolidated. All significant intercompany accounts and transactions have been eliminated in consolidation. On December 23, 2010, the Company completed the deconsolidation of the investment management related affiliates (the “Restructuring Transaction”) in accordance with FASB’s Topic 810. As part of the Restructuring Transaction, the Company received a significant non-voting revenues interest (excluding distribution revenues) and a significant non-voting profits interest in the new entity, EULAV Asset Management, a Delaware statutory trust (“EAM” or “EAM Trust”). The Company relied on the guidance in FASB’s ASC Topics 323 and 810 in its determination not to consolidate its investment in EAM and to account for such investment under the equity method of accounting. The Company reports the amount it receives for its non-voting revenues and non-voting profits interests as a separate line item below operating income in the Consolidated Condensed Statements of Income.
 
Revenue Recognition:
 
Depending upon the product, subscriptions to Value Line periodicals and related publications are available in print or digitally, via internet access. The length of a subscription varies by product and offer received by the subscriber. Generally, subscriptions are offered as annual subscriptions. Subscription revenues, net of discounts, are recognized ratably on a straight line basis when the product is served to the client over the life of the subscription. Accordingly, the amount of subscription fees to be earned by fulfilling subscriptions after the date of the balance sheets are shown as unearned revenue within current and long term liabilities.
 
Copyright data revenues are derived from providing certain Value Line trademarks and Value Line Proprietary Ranking System information to third parties under written agreements for use in selecting securities for third party marketed products, including unit investment trusts, annuities and exchange traded funds (“ETFs”). The Company earns asset-based copyright data fees as specified in the individual agreements. Revenue is recognized monthly over the term of the agreement and, because it is asset-based, will fluctuate as the market value of the underlying portfolio increases or decreases in value.
 
9
 

 

 
Value Line, Inc.
Notes to Consolidated Condensed Financial Statements
July 31, 2014
(Unaudited)
 
Investment in Unconsolidated Entities:
 
The Company accounts for its investment in its unconsolidated entity, EAM, using the equity method of accounting in accordance with FASB’s ASC 323. The equity method is an appropriate means of recognizing increases or decreases measured by GAAP in the economic resources underlying the investments. Under the equity method, an investor recognizes its share of the earnings or losses of an investee in the periods for which they are reported by the investee in its financial statements rather than in the period in which an investee declares a dividend or distribution. An investor adjusts the carrying amount of an investment for its share of the earnings or losses recognized by the investee.
 
The Company’s “interests” in EAM, the investment adviser to and the sole member of the distributor of the Value Line Funds, consist of a “non-voting revenues interest” and a “non-voting profits interest” in EAM as defined in the EAM Trust Agreement. The non-voting revenues interest entitles the Company to receive a range of 41% to 55%, based on the amount of EAM’s adjusted gross revenues, excluding ES’s distribution revenues (“Revenues Interest”). The non-voting profits interest entitles the Company to receive 50% of EAM’s profits, subject to certain limited adjustments as defined in the EAM Trust Agreement (“Profits Interest”). The Revenues Interest and at least 90% of the Profits Interest are to be distributed each quarter to all interest holders of EAM, including Value Line. Subsequent to the Restructuring Date, the Company’s Revenues Interest in EAM excludes participation in the service and distribution fees of EAM’s subsidiary ES. The Company reflects its non-voting revenues and non-voting profits interests in EAM as non-operating income under the equity method of accounting subsequent to the Restructuring Transaction. Although the Company does not have control over the operating and financial policies of EAM, pursuant to the EAM Trust Agreement, the Company has a contractual right to receive its share of EAM’s revenues and profits.
 
Valuation of Securities:
 
The Company’s securities classified as cash equivalents and available-for-sale consist of shares of money market funds that invest primarily in short-term U.S. Government securities, investments in equities including ETFs, and deposits in savings accounts at large commercial banks and are valued in accordance with the requirements of the Fair Value Measurements Topic of the FASB’s ASC 820. The securities classified as available-for-sale reflected in the Consolidated Condensed Balance Sheets are valued at market and unrealized gains and losses, net of applicable taxes, are reported as a separate component of shareholders’ equity. Realized gains and losses on sales of the securities classified as available-for-sale are recorded in earnings as of the trade date and are determined on the identified cost method.
 
The Company classifies its securities available-for-sale as current assets to properly reflect its liquidity and to recognize the fact that it has liquid assets available-for-sale should the need arise.
 
Market valuations of securities listed on a securities exchange and ETF shares are based on the closing sales prices on the last business day of each month. The market value of fixed maturity U.S. Government debt securities is determined utilizing publicly quoted market prices. Cash equivalents consist of investments in money market funds that invest primarily in U.S. Government securities valued in accordance with rule 2a-7 under the 1940 Act.
 
The Fair Value Measurements Topic of FASB’s ASC 820 defines fair value as the price that the Company would receive upon selling an investment in a timely transaction to an independent buyer in the principal or most advantageous market for the investment. The Fair Value Measurements Topic established a three-tier hierarchy to maximize the use of observable market data and minimize the use of unobservable inputs and to establish classification of fair value measurements for disclosure purposes. Inputs refer broadly to the information that market participants would use in pricing the asset or liability, including assumptions about risk. Examples of risks include those inherent in a particular valuation technique used to measure fair value such as the risk inherent in the inputs to the valuation technique. Inputs are classified as observable or unobservable. Observable inputs are inputs that reflect the assumptions market participants would use in pricing the asset or liability developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs are inputs that reflect the reporting entity’s own assumptions about the factors market participants would use in pricing the asset or liability developed based on the best information available in the circumstances.
 
The three-tier hierarchy of inputs is summarized in the three broad levels listed below.
Level 1 – quoted prices in active markets for identical investments
Level 2 – other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.)
Level 3 – significant unobservable inputs (including the Company’s own assumptions in determining the fair value of investments)
The following summarizes the levels of fair value measurements of the Company’s investments:
 
   
As of July 31, 2014
 
($ in thousands)
 
Level 1
   
Level 2
   
Level 3
   
Total
 
Cash equivalents
  $ 6,466     $ -     $ -     $ 6,466  
Securities available-for-sale
    9,095       -       -       9,095  
    $ 15,561     $ -     $ -     $ 15,561  
 
10
 

 

 
Value Line, Inc.
Notes to Consolidated Condensed Financial Statements
July 31, 2014
(Unaudited)
 
   
As of April 30, 2014
 
($ in thousands)
 
Level 1
   
Level 2
   
Level 3
   
Total
 
Cash equivalents
  $ 5,482     $ -     $ -     $ 5,482  
Securities available-for-sale
    9,226       -       -       9,226  
    $ 14,708     $ -     $ -     $ 14,708  
 
The Company had no other financial instruments such as futures, forwards and swap contracts. For the periods ended July 31, 2014 and April 30, 2014, there were no Level 2 nor Level 3 investments. The Company does not have any liabilities subject to fair value measurement.
 
Advertising expenses:
 
The Company expenses advertising costs as incurred.
 
Income Taxes:
 
The Company computes its income tax provision in accordance with the Income Tax Topic of the FASB’s ASC. Deferred tax liabilities and assets are recognized for the expected future tax consequences of events that have been reflected in the Consolidated Condensed Financial Statements. Deferred tax liabilities and assets are determined based on the differences between the book values and the tax bases of particular assets and liabilities, using tax rates currently in effect for the years in which the differences are expected to reverse.
 
The Income Tax Topic of the FASB’s ASC establishes for all entities, a minimum threshold for financial statement recognition of the benefit of positions taken in filing tax returns (including whether an entity is taxable in a particular jurisdiction), and requires certain expanded tax disclosures. As of July 31, 2014, management has reviewed the tax positions for the years still subject to tax audit under the statute of limitations, evaluated the implications, and determined that there is no material impact to the Company’s financial statements.
 
Earnings per share:
 
Earnings per share are based on the weighted average number of shares of common stock and common stock equivalents outstanding during each period. Any shares that are reacquired during the period are weighted for the portion of the period that they are outstanding. The Company does not have any potentially dilutive common shares from outstanding stock options, warrants, restricted stock, or restricted stock units.
 
Cash and Cash Equivalents:
 
For purposes of the Consolidated Condensed Statements of Cash Flows, the Company considers all cash held at banks and short term liquid investments with an original maturity of less than three months to be cash and cash equivalents. As of July 31, 2014 and April 30, 2014, cash equivalents included $6,466,000 and $5,482,000, respectively, for amounts invested in savings accounts at commercial banks and investments in money market mutual funds that invest in short term U.S. government securities.
 
Note 2 - Investments:
 
Securities Available-for-Sale:
Investments held by the Company and its subsidiaries are classified as securities available-for-sale in accordance with FASB’s ASC 320, Investments - Debt and Equity Securities. All of the Company’s securities classified as available-for-sale are readily marketable and have a maturity of twelve months or less and are classified as current assets on the Consolidated Condensed Balance Sheets.
 
Equity Securities:
 
Equity securities classified as available-for-sale, consist of investments in common stocks, ETFs that attempt to replicate the performance of certain equity indexes, ETFs that attempt to replicate the inverse of the price performance of certain equity indexes and ETFs that hold preferred shares primarily of financial institutions. As of July 31, 2014 and April 30, 2014, the Company held equity securities consisting primarily of ETFs and select common stock holdings of blue chip companies with a concentration on large capitalization companies with high relative dividend yields, all classified as securities available-for-sale on the Consolidated Condensed Balance Sheets. Additionally, as of July 31, 2014 and April 30, 2014, the Company held non-leveraged ETFs, classified as securities available-for-sale, whose performance inversely corresponds to the market value changes of investments in other ETF securities held in the equity portfolio for dividend yield.
 
As of July 31, 2014 and April 30, 2014, the aggregate cost of the equity securities classified as available-for-sale, which consist of investments in the iShares Dow Jones Select Dividend Index (DVY), SPDR S&P Dividend (SDY), First Trust Value Line Dividend Index (FVD), PowerShares Financial Preferred (PGF), certain common shares, and inverse equity index ETFs, was $8,847,000 and $8,847,000, respectively, and the fair value was $9,095,000 and $9,226,000, respectively.
 
There were no sales or proceeds from sales of equity securities during the three months ended July 31, 2014 and July 31, 2013. The decrease in gross unrealized gains on equity securities classified as available-for-sale of $131,000, net of deferred taxes of $46,000 was included in Shareholders’ Equity at July 31, 2014. The decrease in gross unrealized gains on equity securities classified as available-for-sale of $4,000, net of deferred  taxes of $1,000 was included in Shareholders’ Equity at July 31, 2013.
 
11
 

 

 
Value Line, Inc.
Notes to Consolidated Condensed Financial Statements
July 31, 2014
(Unaudited)
 
The changes in the value of equity securities investments are recorded in Other Comprehensive Income in the Consolidated Condensed Financial Statements. Realized gains and losses are recorded as of the trade date in the Consolidated Condensed Statements of Income when securities are sold, mature or are redeemed. As of July 31, 2014 and April 30, 2014, accumulated other comprehensive income included unrealized gains of $248,000 and $379,000, net of deferred taxes of $87,000 and $133,000, respectively.
 
The carrying value and fair value of securities available-for-sale at July 31, 2014 were as follows:
 
               
Gross
       
         
Gross Unrealized
   
Unrealized
       
($ in thousands)
 
Cost
   
Gains
   
Losses
   
Fair Value
 
Common stocks
  $ 101     $ 48     $ (2 )   $ 147  
ETFs - equities
    3,878       1,218       (2 )     5,094  
Inverse ETFs - equities
    4,868       -       (1,014 )     3,854  
    $ 8,847     $ 1,266     $ (1,018 )   $ 9,095  
 
The carrying value and fair value of securities available-for-sale at April 30, 2014 were as follows:
 
($ in thousands)
 
Cost
   
Gross Unrealized
Gains
   
Gross
Unrealized
Losses
   
Fair Value
 
Common stocks
  $ 101     $ 47     $ (12 )   $ 136  
ETFs - equities
    3,878       1,280       (2 )     5,156  
Inverse ETFs - equities
    4,868       -       (934 )     3,934  
    $ 8,847     $ 1,327     $ (948 )   $ 9,226  
 
Income from Securities Transactions:
 
Income from securities transactions was comprised of the following:
 
         
Three Months Ended July 31,
 
($ in thousands)
       
2014
   
2013
 
Dividend income
        $ 39     $ 37  
Interest income
          3       -  
Other
          (1 )     1  
Total income from securities transactions, net
        $ 41     $ 38  
 
Investment in Unconsolidated Entities:
 
Equity Method Investment:
 
As of July 31, 2014 and April 30, 2014, the Company’s investment in EAM Trust, on the Consolidated Balance Sheets was $57,985,000 and $57,850,000, respectively.
 
The value of VLI’s investment in EAM at July 31, 2014 and April 30, 2014 reflects the fair value of contributed capital of $55,805,000 at inception which included $5,820,000 of cash and liquid securities in excess of working capital requirements contributed to EAM’s capital account by VLI, plus VLI’s share of non-voting revenues and non-voting profits from EAM less distributions, made quarterly to VLI by EAM, during the period subsequent to its initial investment through the dates of the Consolidated Condensed Balance Sheets.
 
It is anticipated that EAM will have sufficient liquidity and earn enough profit to conduct its current and future operations so the management of EAM will not need additional funding. Although the distributor had historically received, from the Value Line Funds under the compensation plans it had in place with the Funds, amounts in excess of its actual expenditures, in more recent years the distributor has been spending amounts on promotion of the Value Line Funds in excess of the compensation received from the Funds. Over time, EAM anticipates that its total future expenditures on such promotion will equal or exceed its total future revenues under the Funds’ distribution plans.  However, if that should not occur, EAM has no obligation to reimburse the Value Line Funds.
 
The Company monitors its investment in EAM Trust for impairment to determine whether an event or change in circumstances has occurred that may have a significant adverse effect on the fair value of the investment. Impairment indicators include, but are not limited to the following: (a) a significant deterioration in the earnings performance, asset quality, or business prospects of the investee, (b) a significant adverse change in the regulatory, economic, or technological environment of the investee, (c) a significant adverse change in the general market condition of the industry in which the investee operates, or (d) factors that raise significant concerns about the investee’s ability to continue as a going concern such as negative cash flows, working capital deficiencies, or noncompliance with statutory capital and regulatory requirements.  EAM did not record any impairment losses for its assets during the fiscal years 2015 or 2014.
 
12
 

 

 
Value Line, Inc.
Notes to Consolidated Condensed Financial Statements
July 31, 2014
(Unaudited)
 
The components of EAM’s investment management operations, provided to the Company by EAM, were as follows:
 
   
three Months Ended July 31,
 
($ in thousands) (unaudited)
 
2014
   
2013
 
Investment management fees earned from the Value Line Funds, net of fee waivers
  $ 3,787     $ 3,485  
12b-1 fees and other fees, net of fee waivers
  $ 1,360     $ 1,119  
Other income
  $ 5     $ 2  
Investment management fee waivers (1)
  $ 28     $ 24  
12b-1 fee waivers (1)
  $ 395     $ 523  
Value Line’s non-voting revenues interest
  $ 1,833     $ 1,598  
EAM’s net income (2)
  $ 378     $ 343  
 
(1) During fiscal 2015, investment management fee waivers primarily related to the U.S. Government Money Market Fund (“USGMMF”) which was merged into a third party fund, the Daily Income Fund, managed by Reich & Tang, effective October 19, 2012.  During fiscal 2015 and 2014, the 12b-1 fee waivers related to one of the Value Line Mutual Fixed Income Funds, respectively.
 
(2) Represents EAM’s net income, after giving effect to Value Line’s non-voting revenues interest, but before distributions to voting profits interest holders and to the Company in respect of its 50% non-voting profits interest.
 
($ in thousands)
 
July 31,
2014
   
April 30,
2014
 
   
(unaudited)     
       
EAM’s total assets
  $ 59,931     $ 59,965  
EAM’s total liabilities (1)
    (3,054 )     (3,158 )
EAM’s total equity
  $ 56,877     $ 56,807  
 
(1) At July 31, 2014 and April 30, 2014, EAM’s total liabilities included a payable to VLI for its accrued non-voting revenues and non-voting profits interests of $2,003,000 and $1,887,000, respectively.
 
Note 3 - Variable Interest Entity
 
The Company retained a non-voting revenues interest and a 50% non-voting profits interest in EAM, which was formed, as a result of the Restructuring Transaction on December 23, 2010, to carry on the asset management and mutual fund distribution businesses formerly conducted by the Company. EAM is considered to be a VIE. The Company makes its determination for consolidation of EAM as a VIE based on a qualitative assessment of the purpose and design of EAM, the terms and characteristics of the variable interests in EAM, and the risks EAM is designed to originate and pass through to holders of variable interests. Other than EAM, the Company does not have an interest in any other VIEs.
 
The Company has determined that it does not have a controlling financial interest in EAM because it does not have the power to direct the activities of EAM that most significantly impact its economic performance. Value Line does not hold any voting stock of EAM and it does not have any involvement in the day-to-day activities or operations of EAM. Although the EAM Trust Agreement provides Value Line with certain consent rights and contains certain restrictive covenants related to the activities of EAM, these are considered to be protective rights and therefore Value Line does not maintain control over EAM.
 
In addition, although EAM is expected to be profitable, there is a risk that it could operate at a loss. While all of the profit interest shareholders in EAM are subject to variability based on EAM’s operations risk, Value Line’s non-voting revenues interest in EAM is a preferred interest in the revenues of EAM, rather than a profits interest in EAM, and Value Line accordingly believes it is subject to proportionately less risk than other holders of the profits interests.
 
The Company has not provided any explicit or implicit financial or other support to EAM other than what was contractually agreed to in the EAM Trust Agreement. Value Line has no obligation to fund EAM in the future and, as a result, has no exposure to loss beyond its initial investment and any undistributed revenues and profits interests retained in EAM. The following table presents the total assets of EAM, the maximum exposure to loss due to involvement with EAM, as well as the value of the assets and liabilities the Company has recorded on its Consolidated Condensed Balance Sheets for its interest in EAM.
 
13
 

 

Value Line, Inc.
Notes to Consolidated Condensed Financial Statements
July 31, 2014
(Unaudited)
 
          Value Line  
                   
Maximum
 
         
Investment in
         
Exposure to
 
($ in thousands)
 
VIE Assets
   
EAM Trust (1)
   
Liabilities
   
Loss
 
As of July 31, 2014 (unaudited)
  $ 59,931     $ 57,985     $ -     $ 57,985  
As of April 30, 2014
  $ 59,965     $ 57,850     $ -     $ 57,850  
 
(1)  Reported within Long Term Assets on the Consolidated Condensed Balance Sheets.
 
Note 4 - Supplementary Cash Flow Information:
             
   
Three Months Ended July 31,
 
($ in thousands)
 
2014
   
2013
 
State and local income tax payments
  $ 86     $ -  
Federal income tax payments to the Parent
  $ -     $ -  
 
Note 5 - Employees Profit Sharing and Savings Plan:
 
Substantially all employees of the Company and its subsidiaries are members of the Value Line, Inc. Profit Sharing and Savings Plan (the Plan). In general, this is a qualified, contributory plan which provides for a discretionary annual Company contribution which is determined by a formula based on the salaries of eligible employees and the amount of consolidated net operating income as defined in the Plan. For the three months ended July 31, 2014 and July 31, 2013, the estimated profit sharing plan contribution, which is included as an expense in salaries and employee benefits in the Consolidated Condensed Statements of Income, was $100,000 and $83,000, respectively.
 
Note 6 - Comprehensive Income:
 
The FASB’s ASC Comprehensive Income topic requires the reporting of comprehensive income in addition to net income from operations. Comprehensive income is a more inclusive financial reporting methodology that includes disclosure of certain financial information that otherwise would not be recognized in the calculation of net income.
 
Beginning in fiscal 2013, the Company adopted the provisions of Accounting Standards Update 2011-05 to reflect comprehensive income in two statements which include the components of net income and total net income in the first statement, immediately followed by a financial statement that presents the components of other comprehensive income, a total for other comprehensive income and a total for comprehensive income.
 
As of July 31, 2014 and July 31, 2013, the Company held equity securities consisting primarily of ETFs with high relative dividend yields that are classified as securities available-for-sale on the Consolidated Condensed Balance Sheets. Additionally, as of Jul 31, 2014 and July 31, 2013, the Company held non-leveraged ETFs, classified as securities available-for-sale, whose performance inversely corresponds to the market value changes of investments in other ETF securities held in the equity portfolio for dividend yield. The change in valuation of these securities, net of deferred income taxes, has been recorded in accumulated other comprehensive income in the Company’s Consolidated Condensed Balance Sheets.
 
The components of comprehensive income included in the Consolidated Condensed Statements of Income and Changes in Shareholders’ Equity for the three months ended July 31, 2014 are as follows:
 
   
Amount Before
         
Amount Net of
 
($ in thousands)
 
Tax
   
Tax Benefit
   
Tax
 
Change in unrealized gains on securities
  $ (131 )   $ 46     $ (85 )
                         
    $ (131 )   $ 46     $ (85 )
 
The components of comprehensive income included in the Consolidated Condensed Statements of Income and Changes in Shareholders’ Equity for the three months ended July 31, 2013 are as follows:
 
   
Amount Before
         
Amount Net of
 
($ in thousands)
 
Tax
 
Tax Benefit
   
Tax
 
Change in unrealized gains on securities
  $ (4 )   $ 1     $ (3 )
                         
    $ (4 )   $ 1     $ (3 )
 
14
 

 

 
Value Line, Inc.
Notes to Consolidated Condensed Financial Statements
July 31, 2014
(Unaudited)
 
Note 7 - Related Party Transactions:
 
Investment Management (overview):
 
On December 23, 2010, the Company deconsolidated its asset management and mutual fund distribution businesses and its interest in these businesses was restructured as a non-voting revenues and non-voting profits interests in EAM. Accordingly, the Company no longer reports this operation as a separate business segment, although it still maintains a significant interest in the cash flows generated by this business and will receive non-voting revenues and non-voting profits interests going forward, as discussed below. Total assets in the Value Line Funds managed and/or distributed by EAM at July 31, 2014, were $2.3 billion, 3.5% above total assets of $2.2 billion in the Value Line Funds managed and/or distributed by EAM at July 31, 2013. The increase is primarily a result of net appreciation in equity assets under management partially offset by redemptions net of sales within the Value Line funds.
 
The Company’s non-voting revenues and non-voting profits interests in EAM entitle it to receive quarterly distributions in a range of 41% to 55% of EAM’s revenues (excluding distribution revenues) from EAM’s mutual fund and separate account business and at least 90% of the Company’s 50% interest in the residual profits of EAM which are payable each fiscal quarter under the provisions of the EAM Trust Agreement. Value Line’s percent share of EAM’s revenues calculated each fiscal quarter was 49.18% and 46.66% during the first quarter o fiscal 2015 and 2014, respectively. The distributable amounts earned through the balance sheet date, which is included in the Investment in EAM Trust on the Consolidated Condensed Balance Sheets, and not yet paid, were $1,833,000 and $1,887,000 at July 31, 2014 and April 30, 2014, respectively.
 
EAM Trust - VLI’s non-voting revenues and non-voting profits interests:
 
The Company holds non-voting revenues and non-voting profits interests in EAM which entitle the Company to receive from EAM an amount ranging from 41% to 55% of EAM’s investment management fee revenues from its mutual fund and separate accounts business. EAM currently has no separately managed account clients. The Company recorded income from its non-voting revenues interest and its non-voting profits interest in EAM as follows:
 
   
Three Months Ended July 31,
 
($ in thousands)
 
2014
   
2013
 
Non-voting revenues interest in EAM
  $ 1,833     $ 1,598  
Non-voting profits interest in EAM
    189       171  
    $ 2,022     $ 1,769  
 
Transactions with Parent:
 
During the three months ended July 31, 2014 and July 31, 2013, the Company was reimbursed $41,000 and $51,000, respectively, for payments it made on behalf of and for services the Company provided to the Parent. There were no receivables from affiliates including receivables from the Parent on the Consolidated Condensed Balance Sheets at July 31, 2014 and April 30, 2014.
 
The Company is a party to a tax-sharing arrangement with the Parent which allocates the tax liabilities of the two Companies between them. The Company made no federal tax payments made to the Parent during the three months ended July 31, 2014 and July 31, 2013, respectively.
 
From time to time, the Parent has purchased additional shares of common stock of the Company in the market when and as the Parent has determined it to be appropriate. The Parent may make additional purchases of common stock of the Company from time to time in the future. As of July 31, 2014, the Parent owned 87.98% of the outstanding shares of common stock of the Company.
 
Note 8 - Federal, State and Local Income Taxes:
 
In accordance with the requirements of the Income Tax Topic of the FASB’s ASC, the Company’s provision for income taxes includes the following:
       
   
Three Months Ended July 31,
 
($ in thousands)
 
2014
   
2013
 
Current tax expense:
           
Federal
  $ 869     $ 216  
State and local
    90       28  
Current tax expense
    959       244  
Deferred tax expense:
               
Federal
    106       506  
State and local
    24       81  
Deferred tax expense
    130       587  
Income tax provision:
  $ 1,089     $ 831  
 
15
 

 

 
Value Line, Inc.
Notes to Consolidated Condensed Financial Statements
July 31, 2014
(Unaudited)
 
Deferred income taxes are provided for temporary differences between the financial reporting basis and the tax basis of the Company’s assets and liabilities. The tax effect of temporary differences giving rise to the Company’s deferred tax asset and deferred tax liability are as follows:
             
   
July 31,
   
April 30,
 
($ in thousands)
 
2014
   
2014
 
Federal tax benefit (liability):
           
Unrealized gains on securities available-for-sale
  $ (87 )   $ (134 )
Operating lease deferred obligation
    70       70  
Deferred professional fees
    30       36  
Deferred charges
    305       327  
Total federal tax benefit
    318       299  
                 
State and local tax benefits:
               
Other
    66       65  
Total state and local tax benefits
    66       65  
Deferred tax asset, short term
  $ 384     $ 364  
 
             
   
July 31,
   
April 30,
 
($ in thousands)
 
2014
   
2014
 
Federal tax liability (benefit):
           
Deferred gain on deconsolidation of EAM
  $ 17,679     $ 17,679  
Deferred non-cash post-employment compensation
    (619 )     (619 )
Depreciation and amortization
    2,490       2,416  
Other
    466       646  
Total federal tax liability
    20,016       20,122  
                 
State and local tax liabilities (benefits):
               
Deferred gain on deconsolidation of EAM
    2,181       2,181  
Deferred non-cash post-employment compensation
    (76 )     (76 )
Depreciation and amortization
    308       298  
Deferred professional fees
    (15 )     (5 )
Total state and local tax liabilities
    2,398       2,398  
Deferred tax liability, long term
  $ 22,414     $ 22,520  
 
At the end of each interim reporting period, the Company estimates the effective income tax rate to apply for the full fiscal year. The Company uses the effective income tax rate determined to provide for income taxes on a year-to-date basis and reflects the tax effect of any tax law changes and certain other discrete events in the period in which they occur.
 
The overall effective income tax rate, as a percentage of pre-tax ordinary income for the three months ended July 31, 2014 and July 31, 2013 was 34.86% and 36.51%, respectively. The Company’s annual effective tax rate may change due to a number of factors including but not limited to an increase or decrease in the ratio of items that do not have tax consequences to pre-tax income, the Company’s geographic profit mix between tax jurisdictions, new tax laws, new interpretations of existing tax laws and rulings by and settlements with tax authorities. The fluctuation in the effective income tax rate during fiscal 2015 is primarily attributable to a lower percentage of income subject to state and local taxes and an increase in the dividends received deduction.
 
The provision for income taxes differs from the amount of income tax determined by applying the applicable U.S. statutory income tax rate to pretax income as a result of the following:
       
   
Three Months Ended July 31,
 
   
2014
   
2013
 
U.S. statutory federal rate
    35.00 %     35.00 %
Increase (decrease) in tax rate from:
               
State and local income taxes, net of federal income tax benefit
    2.37 %     2.24 %
Effect of dividends received deductions
    -0.29 %     -0.37 %
Domestic production tax credit
    -0.65 %     -  
Other, net
    -1.57 %     -0.36 %
Effective income tax rate
    34.86 %     36.51 %
 
The Company believes that, as of July 31, 2014, there were no material uncertain tax positions that would require disclosure under GAAP.
 
The Company is included in the consolidated federal income tax return of the Parent. The Company has a tax sharing agreement which requires it to make tax payments to the Parent equal to the Company’s liability/(benefit) as if it filed a separate return.
 
16
 

 

 
Value Line, Inc.
Notes to Consolidated Condensed Financial Statements
July 31, 2014
(Unaudited)
 
The Company’s federal income tax returns (included in the Parent’s consolidated returns) and state and city tax returns for fiscal years 2013 2012, and 2011 are subject to examination by the tax authorities, generally for three years after they were filed with the tax authorities. During May 2014, New York City concluded its examination of the Company’s income tax returns for the three years through fiscal year 2011, which resulted in no changes that had any adverse effect on the Company’s financial statements. The Company’s tax returns for the fiscal years ended April 30, 2013 and 2012 are being examined by the Internal Revenue Service (IRS). The Company does not expect the audit examination to have a material effect on its financial statements.
 
Note 9 - Property and Equipment:
 
Property and equipment are carried at cost. Depreciation and amortization are provided using the straight-line method over the estimated useful lives of the assets, or in the case of leasehold improvements, over the remaining terms of the leases. For income tax purposes, depreciation of furniture and equipment is computed using accelerated methods and buildings and leasehold improvements are depreciated over prescribed extended tax lives. Property and equipment, net, on the Consolidated Condensed Balance Sheets was comprised of the following:

   
July 31,
   
April 30,
 
($ in thousands)
 
2014
   
2014
 
Land
  $ 726     $ 726  
Building and leasehold improvements
    5,024       5,024  
Furniture and equipment
    5,157       5,312  
      10,907       11,062  
Accumulated depreciation and amortization
    (7,043 )     (7,199 )
Total property and equipment, net
  $ 3,864     $ 3,863  
 
Note 10 - Accounting for the Costs of Computer Software Developed for Internal Use:
 
The Company has adopted the provisions of the Statement of Position 98-1 (SOP 98-1), “Accounting for the Costs of Computer Software Developed for Internal Use”. SOP 98-1 requires companies to capitalize as long-lived assets many of the costs associated with developing or obtaining software for internal use and amortize those costs over the software’s estimated useful life in a systematic and rational manner.
 
The Company capitalized $528,000 and $586,000 related to the development of software for internal use for the three months ended July 31, 2014 and 2013, respectively, of which $527,000 and $574,000 related to development costs for the digital production software project and $1,000 and $12,000 related to a new fulfillment system, respectively. Total capitalized software includes $305,000 and $445,000 of internal costs to develop software and $223,000 and $141,000 of third party programmers’ costs for the three months ended July 31, 2014, and July 31, 2013, respectively. Such costs are capitalized and amortized over the expected useful life of the asset which is 5 years. Total amortization expenses for the three months ended July 31, 2014 and July 31, 2013, were $533,000 and $402,000, respectively.
 
Note 11 - Treasury Stock and Repurchase Program:
 
On September 19, 2012, the Company’s Board of Directors approved a share repurchase program authorizing the repurchase of shares of the Company’s common stock up to an aggregate purchase price of $3,000,000. The repurchases may be made from time to time on the open market at prevailing market prices, in negotiated transactions off the market, in block purchases or otherwise. The repurchase program may be suspended or discontinued at any time at the Company’s discretion and has no set expiration date.
 
17
 

 

 
Value Line, Inc.
Notes to Consolidated Condensed Financial Statements
July 31, 2014
(Unaudited)
 
Treasury stock, at cost, consists of the following:
                         
         
Total Average
   
Average Cost
   
Aggregate Purchase Price
 
(in thousands except for shares and cost per share)
 
Shares
   
Cost Assigned
   
per Share
   
Remaining Under the Program
 
Balance as of April 30, 2014 (1)(2)(3)
    182,071     $ 2,122     $ 11.65     $ 2,267  
Purchases effected in open market during the quarters ended:
                               
July 31, 2014
    3,053       42     $ 13.76     $ 2,225  
Balance as of July 31, 2014
    185,124     $ 2,164     $ 11.69          
 
(1) Includes 18,400 shares with a total average cost of $354,000 that were acquired prior to the repurchase program authorized in January 2011.
(2) Includes 85,219 shares with a total average cost of $1,036,000 that were acquired during the former repurchase program, which was authorized in January 2011 and expired in January 2012.
(3) Includes 19,953 shares with a total average cost of $182,000 that were acquired during the current repurchase program authorized in September 2012.
 
Note 12 - Lease Commitments:
 
On February 7, 2013, the Company and Citibank, N.A. (the “Sublandlord”) entered into a sublease agreement, pursuant to which Value Line has leased approximately 44,493 square feet of office space located on the ninth floor at 485 Lexington Ave., New York, NY (“Building” or “Premises”) beginning on July 1, 2013 and ending on February 27, 2017 (“Sublease”). On August 16, 2013, the Company moved to the Building which became its new corporate office facility. Base rent under the Sublease is $1,468,269 per annum, subject to customary concessions in the Company’s favor and pass-through of certain increases in operating costs and real estate taxes. The Company provided a security deposit in cash in the amount of $489,423, which is to be partially returned over the course of the sublease term. The Company is required to pay for certain operating expenses associated with the Premises as well as utilities supplied to the Premises. The Sublease terms have provided for a significant decrease in the Company’s annual rental expenses. The Company recorded a deferred charge on its Consolidated Balance Sheets to reflect the excess of annual rental expense over cash payments since inception of the lease due to free rent for the first six months of the sublease.
 
The total amount of the base rent payments is being charged to expense on the straight-line method over the term of the lease.
 
Future minimum payments, exclusive of potential increases in real estate taxes and operating cost escalations, under operating leases for office space, with remaining terms of one year or more, are as follows:
 
Fiscal Years Ended April 30,  
Sublease
 
     
($ in thousands)
 
         
 
2016
    1,468  
 
2017
    1,224  
 
2018
    -  
 
2019
    -  
 
2020 and thereafter
    -  
      $ 2,692  
 
For the three months ended July 31, 2014 and 2013, rental expenses was $317,000 and $932,000, respectively. The rental expenses during fiscal 2014 included additional one time overlapping rent of $304,000 for the previously occupied office facilities during the short term lease extension which ended September 15, 2013. The additional rent was offset by a significant decrease in the Company’s annual rental expenses for the New York City office facility under the sublease terms between Value Line, Inc. and Citibank.
 
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Item 2.  MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION AND RESULTS OF OPERATIONS.

Cautionary Statement Regarding Forward-Looking Information

This report contains statements that are predictive in nature, depend upon or refer to future events or conditions (including certain projections and business trends) accompanied by such phrases as “believe”, “estimate”, “expect”, “anticipate”, “will”, “intend” and other similar or negative expressions, that are “forward-looking statements” as defined in the Private Securities Litigation Reform Act of 1995, as amended.  Actual results for Value Line, Inc. (“Value Line” or “the Company”) may differ materially from those projected as a result of certain risks and uncertainties, including but not limited to the following:

 
maintaining revenue from subscriptions for the Company’s digital and print published products;
 
changes in market and economic conditions, including global financial issues;
 
protection of intellectual property rights;
 
dependence on non-voting revenues and non-voting profits interests in EULAV Asset Management, a Delaware statutory trust (“EAM” or “EAM Trust”), which serves as the investment advisor to the Value Line Funds and engages in related distribution, marketing and administrative services;
 
fluctuations in EAM’s assets under management due to broadly based changes in the values of equity and debt securities, redemptions by investors and other factors, and the effect these changes may have on the valuation of EAM’s intangible assets;
 
dependence on key personnel;
 
competition in the fields of publishing, copyright data and investment management;
 
the impact of government regulation on the Company’s and EAM’s businesses;
 
availability of free or low cost investment data through discount brokers or generally over the internet;
 
terrorist attacks, cyber security attacks and natural disasters;
 
other risks and uncertainties, including but not limited to the risks described in Item 1A,
“Risk Factors” of the Company’s Annual Report on Form 10-K for the year ended April 30, 2014 and in Part II, Item 1A of this Quarterly Report on Form 10-Q for the period ended July 31, 2014; and other risks and uncertainties arising from time to time.
 
These factors are not necessarily all of the important factors that could cause actual results to differ materially from those expressed in any of our forward-looking statements. Other unknown or unpredictable factors which may involve external factors over which we may have no control or changes in our plans, strategies, objectives, expectations or intentions, which may happen at any time at our discretion, could also have material adverse effects on future results. Except as otherwise required to be disclosed in periodic reports required to be filed by public companies with the SEC pursuant to the SECs rules, we have no duty to update these statements, and we undertake no obligation to publicly update or revise any forward-looking statements, whether as a result of new information, future events or otherwise. In light of these risks and uncertainties, current plans, anticipated actions, and future financial conditions and results may differ from those expressed in any forward-looking information contained herein.
 
In this report, “Value Line,” “we,” “us,” “our” refers to Value Line, Inc. and the “Company” refers to Value Line and its subsidiaries unless the context otherwise requires.
 
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Executive Summary of the Business

The Company’s core business is producing investment periodicals and their underlying research and making available copyright data, including certain Proprietary Ranking System and other proprietary information, to third parties under written agreements for use in third-party managed and marketed investment products and for other purposes.  Value Line markets under well-known brands including Value Line®, the Value Line logo®, The Value Line Investment Survey®, Smart Research. Smarter Investing™ and The Most Trusted Name in Investment Research®.  The name Value Line as used to describe the Company, its products, and its subsidiaries, is a registered trademark of the Company.  Prior to December 23, 2010, (see “Asset Management and Mutual Fund Distribution Businesses” below), the Company provided investment management services to the Value Line® Mutual Funds (“Value Line Funds”), institutional and individual accounts and provided distribution, marketing, and administrative services to the Value Line Funds. Since December 23, 2010, EULAV Asset Management Trust (“EAM”) provides the investment management services to the Value Line Funds, institutional and individual accounts and provides distribution, marketing, and administrative services to the Value Line Funds.  Value Line holds a substantial non-voting revenues and non-voting profits interests in EAM.
 
The Company’s target audiences within the investment research field are individual investors, colleges, libraries, and investment management professionals. Individuals come to Value Line for complete research in one package.  Institutional licensees consist of corporations, financial professionals, colleges, and municipal libraries.  Libraries and universities offer the Company’s detailed research to their patrons and students.  Investment management professionals use the research and historical information in their day-to-day businesses.  The Company has a dedicated department that solicits institutional subscriptions.  Fees in institutional relationships vary, for example, by the university or college enrollment, number of users, and nature of the use.

Payments received for new and renewal subscriptions and the value of receivables for amounts billed to retail and institutional customers are recorded as unearned revenue until the order is fulfilled.  As the orders are fulfilled, the Company recognizes revenue in equal installments over the life of the particular subscription. Accordingly, the subscription fees to be earned by fulfilling subscriptions after the date of a particular balance sheet are shown on that balance sheet as unearned revenue within current and long term liabilities.

The investment periodicals and related publications (retail and institutional) and fees from copyright data including the Proprietary Ranking System information and other proprietary information consolidate into the Publishing segment. Subsequent to December 23, 2010, the Investment Management business is no longer considered a business segment.

Asset Management and Mutual Fund Distribution Businesses

The business of EAM is managed by its trustees each owning 20% of the voting profits interest in EAM and by its officers subject to the direction of the trustees.  The Company’s non-voting revenues and non-voting profits interests in EAM entitle it to receive a range of 41% to 55% of EAM’s revenues (excluding distribution revenues) from EAM’s mutual fund and separate account business and 50% of the residual profits of EAM (subject to temporary increase in certain limited circumstances).  The Voting Profits Interest Holders will receive the other 50% of residual profits of EAM.  Current distribution is set at 90% of EAM’s profits payable each fiscal quarter under the provisions of the EAM Trust Agreement.  Value Line’s percent share of EAM’s revenues calculated each fiscal quarter was 49.18% in the first quarter of fiscal 2015 and 46.66% during the first quarters of fiscal 2014.

Pursuant to the EAM Declaration of Trust, the Company granted EAM the right to use the Value Line name for all existing Value Line Funds and agreed to supply the Value Line Proprietary Ranking System information to EAM without charge or expense.
 
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Business Environment

During the three months ended July 31, 2014, the NASDAQ and the Dow Jones Industrial Average were up 6.20% and down .11%, respectively.

The nation’s economy, which faltered badly during the weather-impacted first quarter, as GDP declined 2.1%, came back strongly during April-to-July 2014, gaining an outsized 4.2%, led by fairly steady gains in consumer spending, industrial output, exports, and housing. A spike in inventories also contributed notably. Additionally encouraging as we look ahead is the healthier outlook on the employment front, where solid strides are being made in job creation and in reducing the unemployment rate. However, a likely drawdown of the aforementioned higher inventories could well keep third- and fourth-quarter growth to a range of 3.0%-3.5%.
 
Meanwhile, our relative optimism on the domestic front does not carry over to the global side, where Europe is moving back and forth between a listless recovery and a series of business setbacks, now worsened by growing fears of deflation and the Middle East, where there seems to be no end to the military standoff between Russia and Ukraine. Thus far, these global ills have not had a material impact on the United States, and our belief is that this will continue to be the case in the months to come.      
                  
Encouragingly, we would expect the Federal Reserve to pursue accommodative monetary policies over the next 12 to 18 months, with just marginal increases in short-term borrowing costs (directly controlled by the central bank) probably taking hold toward the latter portions of this extended stretch. Underscoring our monetary view is the unevenness of the economic expansion at home, lingering uncertainties overseas, and a sustained lack of inflation.  
       
                Finally, the highly accommodative monetary policies being kept in place by the Fed have helped to sustain the long bull market in equities.  The Federal Reserve’s likely completion of its multi-year long program of bond purchases later this year, moreover, should not disrupt this durable market upturn, as this eventuality has been long anticipated by Wall Street.
      
Results of Operations for the Three Months Ended July 31, 2014 and July 31, 2013

The following table illustrates the Company’s key components of revenues and expenses.

   
Three Months Ended July 31,
 
($ in thousands, except earnings per share)
 
2014
   
2013
   
Change
 
Income from operations
  $ 1,062     $ 469       126 %
Revenues and profits interests from EAM Trust
  $ 2,022     $ 1,769       14 %
Income from operations plus non-voting revenues and non-voting profits interests from EAM Trust
  $ 3,084     $ 2,238       38 %
Operating expenses
  $ 8,008     $ 8,483       -6 %
Income from securities transactions, net
  $ 41     $ 38       8 %
Income before income taxes
  $ 3,125     $ 2,276       37 %
Net income
  $ 2,036     $ 1,445       41 %
Earnings per share
  $ 0.21     $ 0.15       40 %

During the three months July 31, 2014, the Company’s net income of $2,036,000, or $0.21 per share, was $591,000 or 41% above net income of $1,445,000, or $0.15 per share, for the three months ended July 31, 2013.  At July 31, 2014 there were 9,815,175 average common shares outstanding as compared to 9,863,388 average common shares outstanding at July 31, 2013.  Income from operations of $1,062,000 for the three months ended July 31, 2014 which included additional depreciation and amortization expense of $205,000 was $593,000 above income from operations of $469,000 for the three months ended July 31, 2013.
 
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Total operating revenues
       
   
Three Months Ended July 31,
 
($ in thousands)
 
2014
   
2013
   
Change
 
Investment periodicals and related publications:
                 
        Print
  $ 4,247     $ 4,673       -9 %
        Digital
    4,026       3,523       14 %
Total investment periodicals and related publications
    8,273       8,196       1 %
    Copyright data fees
    797       756       5 %
Total publishing revenues
  $ 9,070     $ 8,952       1 %

Total publishing revenues from investment periodicals and related publications excluding copyright data fees were $8,273,000 during the three months ended July 31, 2014, which is 1% above the total publishing revenues excluding copyright data fees of $8,196,000 during the three months ended July 31, 2013.

As a result of the completion of the Restructuring Transaction on December 23, 2010, investment management activity is reported as non-voting revenues and non-voting profits interests in EAM and is not included in operating revenues.

Within investment periodicals and related publications, subscription sales orders are derived from print and digital products.  The following chart illustrates the changes in the sales orders associated with print and digital subscriptions.

Sources of subscription sales orders

    Three Months Ended July 31,  
   
2014
         
2013
       
   
Print
   
Digital
   
Print
   
Digital
 
New Sales Orders
    10.9 %     23.2 %     23.9 %     27.6 %
Conversion and Renewal Sales Orders
    89.1 %     76.8 %     76.1 %     72.4 %
Total Gross Sales Orders
    100.0 %     100.0 %     100.0 %     100.0 %

During the three months ended July 31, 2014 new sales orders decreased as a result of reduced direct marketing efforts and renewal orders increased as compared to last fiscal year due to increased efforts of the in-house Telemarketing department.
 
   
As of July 31,
   
As of April 30,
   
As of July 31,
   
Change
 
($ in thousands)
 
2014
   
2014
   
2013
   
July-14 vs.
Apr-14
   
July-14 vs.
July-13
 
                                         
Unearned subscription revenue (current and long term liabilities)
  $ 24,736     $ 25,124     $ 23,427       -1.5 %     5.6 %

Unearned subscription revenue as of July 31, 2014 is 1.5% below April 31, 2014 and 5.6% above July 31, 2013.  A certain amount of variation is to be expected due to the volume of new orders and timing of renewal orders, direct mail campaigns or large Institutional Sales orders.

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Investment periodicals and related publications revenues
 
Investment periodicals and related publications revenues of $8,273,000 increased 1% for the three months ended July 31, 2014, as compared to the prior fiscal year.  The Company continued its efforts to attract new subscribers through various marketing channels, primarily direct mail, e-mail, and by the efforts of our sales personnel.  Total product line circulation at July 31, 2014 was slightly below total product line circulation at July 31, 2013. The Company has been successful in growing revenues from digitally-delivered investment periodicals within institutional area.  However, Institutional Sales generated sales orders of $2,136,000 for the three months ended July 31, 2014, were 7%, above comparable sales orders of $1,995,000, for the three months ended July 31, 2013.  We have also benefited from “converting” some customers from retail to professional price services.
 
            Print publication revenues decreased $426,000 or 9% for the three months ended July 31, 2014 from fiscal 2014.  Earned revenues from institutional print publications increased $2,000 or 0.3% for the three months ended July 31, 2014 as compared to the prior fiscal year.  Print publications revenues from retail subscribers decreased $428,000 or 10.2% for the three months ended July 31, 2014, as compared to the prior fiscal year.  Total print circulation at July 31, 2014 was 6.4% below total print circulation at July 31, 2013.  Continuing factors that have contributed to the decline in the retail print investment periodicals and related publications revenues include competition in the form of free or low cost investment research on the Internet and research provided by brokerage firms at no direct cost to their clients.  It is expected that print revenues will continue to decline long term, while we emphasize circulation of our digital offerings.
 
Digital publications revenues increased $503,000 or 14% for the three months ended July 31, 2014 as compared to the prior fiscal year.  Earned revenues from institutional digital publications increased $353,000 or 15.4% for the three months ended July 31, 2014, as compared to the prior fiscal year. Digital publications revenues from retail subscribers increased $152,000 or 12.4% for the three months ended July 31, 2014, as compared to the prior fiscal year.  The year to year retail digital publications percentage revenues comparison benefited in part from a relatively lower base.  This rate of percentage growth would not be expected to persist.  At July 31, 2014 total digital product circulation has increased 12.1% above total digital product circulation at July 31, 2013.
 
            The Company has relied more on its personnel selling efforts in both the institutional segment and retail retention and sales development.  The majority of the Company’s subscribers have traditionally been individual investors who generally receive printed publications via U.S. Mail on a weekly basis. Consistent with the experience of other print publishers in many fields, the Company has found that its roster of print customers has been gradually declining as individuals migrate to various digital services including our own.  Individual investors interested in digitally-delivered investment information have access to both free and subscription equity research from many sources.
 
Value Line serves individual and professional investors who are able to pay, whether on a regular monthly plan or annual subscription for basic services, or as much as $100,000 or more annually for extensive premium quality research, not obtainable elsewhere.  The ongoing goal of adding new subscribers has led us to experiment with varying terms for our reliable, proprietary research.
 
The Company has established the goal of developing competitive products and marketing them effectively through traditional as well as internet and mobile channels. Towards that end, the Company continues to modernize legacy information technology systems.

Copyright data fees
 
During the three months ended July 31, 2014, copyright data fees increased $41,000 or 5% as compared to the prior fiscal year.  As of July 31, 2014, total third party sponsored assets were attributable to four contracts for copyright data representing $2.35 billion in various products, as compared to four contracts for copyright data representing $2.8 billion in assets at July 31, 2013.  The decrease in assets managed by third party sponsors resulted from a shift in assets in one of the underlying portfolios during April 2013 and then in February 2014 a second asset reassignment of similar magnitude to new subadvisors which was beyond Value Line’s control.  The three shifts of assets are anticipated to cause a reduction in pre-tax revenues from copyright data fees, cumulatively, of about $1.5 million on an annual basis beginning with the fourth quarter of fiscal 2014.  While we are seeking new copyright data arrangements, it clearly will take considerable time to make up a material part of the loss, if the Company can do so at all.  The field is competitive and downward pressure on fee scales has been observed.
 
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Currently our efforts focus on sales we are seeking to make to existing copyright data partners.  In addition, our Quantitative Research department has several “models,” or methods of selecting stocks and mutual funds to buy or sell, which are promising based on computerized testing we have done so far.  We are unable to project when additional assets may come under the management of Value Line-linked selection models.
 
The Company believes this part of the business is dependent upon the desire of third parties to use the Value Line trademarks and proprietary research for their products, competition and on fluctuations in segments of the equity markets. Management is actively pursuing potential channels for the copyright data products, including Ranking System-based concepts as well as other proprietary quantitative models.

Investment management fees and services – (unconsolidated)

The Company no longer reports this operation as a separate business segment, although the Company still maintains a significant interest in the cash flows generated by this business and will receive ongoing payments in respect of its non-voting revenues and non-voting profits interests.  Total assets in the Value Line Funds managed and/or distributed by EAM at July 31, 2014, were $2.37 billion, which is $168 million, or 7.6%, above total assets of $2.20 billion in the Value Line Funds managed by EAM at July 31, 2013.

Value Line Mutual Funds

Total Net Assets

   
As of July 31,
 
($ in millions)
 
2014
   
2013
   
Change
 
Variable annuity assets (“GIAC”)
  $ 474     $ 481       -1.5 %
All other open end equity and hybrid fund assets
    1,627       1,522       6.9 %
     Total equity funds
    2,101       2,003       4.9 %
Fixed income funds
    159       172       -7.6 %
     Total EAM managed net assets
    2,260       2,175       3.9 %
Daily Income Fund managed by Reich & Tang Asset Management LLC (“Reich & Tang”)
    51       58       -12.1 %
     Total net assets
  $ 2,311     $ 2,233       3.5 %

Shares of the variable annuity funds, Value Line Strategic Asset Management Trust (“SAM”) and Value Line Centurion Fund (“Centurion”) are available to the public only through the purchase of certain variable annuity and variable life insurance contracts issued by The Guardian Insurance & Annuity Company, Inc. (GIAC).

EAM Trust - Results of operations before distribution to interest holders

The overall results of EAM’s investment management operations during the three months ended July 31, 2014, before interest holder distributions, include total investment management fees earned from the Value Line Funds of $3,787,000, 12b-1 fees and other fees of $1,360,000 and other income of $5,000.  For the same period, total investment management fee waivers for the Value Line Core Bond Fund were $14,000 and 12b-1 fee waivers for six Value Line Funds were $128,000.  During the three months ended July 31, 2014, EAM’s net income was $378,000 after giving effect to Value Line’s non-voting revenues interest of $1,833,000, but before distributions to voting profits interest holders and to the Company in respect of its 50% non-voting profits interest.
 
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The overall results of EAM’s investment management operations during the three months ended July 31, 2013, before interest holder distributions, include total investment management fees earned from the Value Line Funds of $3,485,000, 12b-1 fees and other fees of $1,119,000 and other income of $2,000.  For the same period, total investment management fee waivers for one fund were $24,000 and 12b-1 fee waivers for eight Value Line Funds were $523,000.  During the three months ended July 31, 2013, EAM’s net income was $343,000 after giving effect to Value Line’s non-voting revenues interest of $1,598,000, but before distributions to voting profits interest holders and to the Company in respect of its 50% non-voting profits interest.

As of July 31, 2014, six of the Value Line Funds have all or a portion of the 12b-1 fees being waived, and one fund has partial investment management fee waivers in place.  Fee waivers for certain of the Value Line Funds including all of the 12b-1 fees being waived cannot be recouped.  Although, under the terms of the EAM Declaration of Trust, the Company no longer receives or shares in the revenues from 12b-1 distribution fees, the Company could benefit from the fee waivers to the extent that the resulting reduction of expense ratios and enhancement of the performance of the Value Line Funds attracts new assets.  As of August 1, 2013, EULAV Securities began to receive additional 12b-1 revenues from select Value Line Funds.  Waivers were removed or reduced on two funds, in an effort to continue to expand the marketing programs.  As a result, EAM committed to sponsor events in the latter portion of 2013 with its biggest platform, Schwab.  In November 2013, the Value Line Funds exhibited at the Schwab Impact 2013 conference with over 2000 RIAs in attendance.  The EAM management was able to meet with RIAs and key staff members of Schwab’s distribution platform

The Value Line equity and hybrid funds’ assets represent 72%, variable annuity funds issued by GIAC represent 21%, and fixed income fund assets represent 7%, respectively, of total fund assets under management (“AUM”) as of July 31, 2014.  At July 31, 2014, equity, hybrid and GIAC variable annuities AUM increased by 5% and fixed income AUM decreased by 8% as compared to the prior fiscal year.

 As of July 31, 2014, four of the six Value Line equity mutual funds, excluding SAM and Centurion, had an overall four star rating by Morningstar, Inc. The largest distribution channel for the Value Line Funds remains the fund supermarket platforms such as Charles Schwab & Co., Inc., Fidelity, Pershing and E-Trade.

In a strong market environment, performance of some Value Line Funds slightly lagged competitors’ in this fiscal year.   One of the eight equity and hybrid funds is in the top quartile of their respective peer groups for one year while three of the eight are in the top quartile for the three year period according to Lipper.  At this time last year, two were in the top quartile for one year and five were in the top quartile for three years.

Value Line equity funds continue to be recognized for both their excellent performance and lower-risk profile.  Value Line Funds are now widely found at hundreds of broker/dealers, registered investment advisors (“RIAs”) and retirement plans.  The Value Line Asset Allocation Fund which reached $200 million in assets in October 2013 continues to be on the Schwab Mutual Fund OneSource Select List® since August 2012. The fund is one of only seven asset allocation funds among the 23 third-party funds selected for the Additional Fund Categories section.  The Value Line Asset Allocation Fund was also added to the Schwab Select List Advisor Editionfor the fourth calendar quarter of 2013 providing even more exposure.  The Value Line Asset Allocation Fund  is the only fund in Morningstar’s Aggressive Allocation category (out of 124 funds) to have top 20% performance for the 3, 5, 10, and 15 year periods with “Overall Below Average” risk as of September 31, 2013.   During the fiscal quarter ended October 31, 2013, the Value Line Small Cap Opportunities Fund was added to a select list at Lincoln Financial.  For the ten year period ended December 31, 2013, the Value Line Small Cap Opportunities Fund outperformed both the Morningstar Small Growth and Mid-Cap Growth category averages and did so with 16% and 8% less risk, as measured by standard deviation, respectively.   In Kiplinger’s annual mutual fund rankings published in September 2013, three funds, Asset Allocation and Small Cap, both were ranked as top 10 performers for varying periods.  The Value Line Small Cap Opportunities Fund remains a “Fund Pick” at Fidelity®.

During October 2012, the USGMMF merged into a third party fund, the Daily Income Fund, managed by Reich & Tang.  EAM distributes the Daily Income Fund on behalf of Reich & Tang and maintains the shareholder accounts on behalf of the Value Line Funds’ shareholders who invest in the Daily Income Fund, but EAM is no longer subsidizing the expenses of the USGMMF in connection with the low interest rate economic environment.  In addition, the merger of the USGMMF eliminated the cost of administration and fund accounting.
 
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EAM - The Company’s non-voting revenues and non-voting profits interests
 
The Company no longer engages, through subsidiaries, in the investment management or mutual fund distribution businesses.  The Company does hold non-voting revenues and non-voting profits interests in EAM which entitle the Company to receive from EAM an amount ranging from 41% to 55% of EAMs investment management fee revenues from its mutual fund and separate accounts business, and 50% of EAM’s net profits.  EAM currently has no separately managed account clients.
 
The Company recorded income from its non-voting revenues interest and its non-voting profits interest in EAM as follows:
 
   
Three Months Ended July 31,
 
($ in thousands)
 
2014
   
2013
   
Change
 
Non-voting revenues interest
  $ 1,833     $ 1,598       14.7 %
Non-voting profits interest
    189       171       10.5 %
    $ 2,022     $ 1,769       14.3 %
 
During the three months ended July 31, 2014, the Company recorded revenues of $2,022,000, consisting of $1,833,000, from its non-voting revenues interest in EAM and $189,000, from its non-voting profits interest in EAM without incurring any directly related expenses.  During the three months ended July 31, 2013, the Company recorded revenues of $1,769,000, consisting of $1,598,000, from its non-voting revenues interest in EAM and $171,000, from its non-voting profits interest in EAM.
 
Operating expenses
 
   
Three Months Ended July 31,
 
($ in thousands)
 
2014
   
2013
   
Change
 
Advertising and promotion
  $ 975     $ 1,043       -6.5 %
Salaries and employee benefits
    4,115       3,900       5.5 %
Production and distribution
    1,640       1,542       6.4 %
Office and administration
    1,278       1,998       -36.0 %
    Total expenses
  $ 8,008     $ 8,483       -5.6 %

Expenses within the Company are categorized into advertising and promotion, salaries and benefits, production and distribution, office and administration.

Operating expenses of $8,008,000 for the three months ended July 31, 2014, decreased $475,000, or 5.6%, as compared to the three months ended July 31, 2013.  The decrease in expenses resulted primarily from a $615,000 decrease in rent expense and one less direct mail campaign in fiscal 2015.

Advertising and promotion

Advertising and promotion expenses during the three months ended July 31, 2014 decreased $68,000 or 6.5%, as compared to the prior year period, mainly due to a $243,000 decline in direct mail costs with one less direct mail campaign in the first quarter of fiscal 2015 compared to fiscal 2014 offset by an increase in third-party client support expenses for the new product launch in July 2014 and in-house renewal solicitation costs.

 
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Salaries and employee benefits

Salaries and employee benefits of $4,115,000 during the three months ended July 31, 2014 are $215,000 above last fiscal year primarily as a result of an increase in the internal telemarketing staff.

Production and distribution
 
Production and distribution expenses of $1,640,000 during the three months ended July 31, 2014 increased 6.4% as compared to fiscal 2014.  During the three months ended July 31, 2014, an increase of $131,000 was attributable to additional amortization of internally developed software costs for the upgrade of our fulfillment system, single sign on, website development and new service oriented production architecture.  The increase in expenses was partially offset by a $43,000 decrease in paper and printing costs due to gradually decreasing use of paper as some subscribers migrate to digital services.
 
Office and administration
 
The Company’s move to new headquarters in the second quarter of fiscal 2014 resulted a significant decrease in the Company’s annual rental expenses for the New York City office facility under the sublease terms for the new office space between Value Line, Inc. and Citibank, with the office move also responsible in part for a decline in maintenance, taxes and utilities for our New York City headquarters. The rental expenses during the fiscal quarter ended July 31, 2013 included additional one time overlapping rent of $304,000 for the previously occupied office facilities during the short term lease extension which ended September 15, 2013.
 
Total office and administration expenses of $1,278,000 during the three months ended July 2014 decreased $720,000 or 36%, as compared to the prior fiscal year.  For the three months ended July 2014, office and administration expenses included a $615,000 decrease in rent, decrease in real estate taxes, building maintenance and utilities expenses.
 
Income from Securities Transactions, net

During the three months ended of July 2014 the Company’s income from securities transactions, net, which included primarily dividend income, was $41,000, a $3,000 increase over the prior fiscal year.  There were no sales, or gains or losses from sales of equity securities during the three months ended July 2014 and July 2013.

Effective income tax rate

The overall effective income tax rate, as a percentage of pre-tax ordinary income, for the three months ended July 31, 2014 and July 31, 2013 was 34.86% and 36.51%, respectively. The Company’s effective tax rate may change due to a number of factors including but not limited to an increase or decrease in the ratio of items that do not have tax consequences to pre-tax income, the Company’s geographic profit mix between tax jurisdictions, new tax laws, new interpretations of existing tax laws and rulings by and settlements with tax authorities.  The fluctuation in the effective income tax rate during fiscal 2015 is attributable to an increase in unincorporated business tax credits in New York City and an increase in the domestic production tax credit.
 
Liquidity and Capital Resources

The Company had negative working capital, defined as current assets less current liabilities, of $8,201,000 and $11,019,000 as of July 31, 2014 and July 31, 2013, respectively.  These amounts include short term unearned revenues of $20,663,000 and $21,176,000 reflected in total current liabilities at July 31, 2014 and July 31, 2013, respectively.  Cash and short term securities were $16,007,000 as of July 31, 2014 and $11,924,000 as of July 31, 2013.
 
27
 

 


The Company’s cash and cash equivalents include $6,506,000 and $3,758,000 at July 31, 2014 and July 31, 2013, respectively, invested primarily in savings accounts at commercial banks and Money Market Funds at brokers’ accounts, which operate under Rule 2a-7 of the 1940 Act and invest primarily in short term U.S. government securities.

Cash from operating activities

The Company’s cash inflows from operating activities were $1,353,000 during the three months ended July 31, 2014 and cash outflows were $790,000 during the three months ended July 31, 2013, respectively.  The change in cash flows from fiscal 2014 to fiscal 2015 were primarily due to a $593,000 increase in operating income, the slowdown in the decline of unearned revenues as conversion and renewal subscription order activity increased, the timing of the payment of income taxes, and the decrease in accounts receivable.  

Cash from investing activities

The Company’s cash inflows from investing activities were $1,285,000 during the three months ended July 31, 2014 and cash outflows from investing activity during the three months ended July 31, 2013 were $322,000, respectively.  Cash inflows from investing activities for the three months ended July 31, 2014 were higher than the prior year primarily due to the Company’s decision to reinvest in the inverse ETF securities available-for-sale during the prior fiscal year and increased receipts from EAM Trust from the Company’s non-voting revenues interest and non-voting profits interest.  The Company expects that investing activities should provide cash from continued receipts from its non-voting revenues and non-voting profits interests distributions from EAM.

Cash from financing activities

The Company’s cash outflows from financing activities were $1,514,000 and $1,707,000 during the three months ended July 31, 2014 and July 31, 2013, respectively.  Cash outflows from financing activities for the three months ended July 31, 2014, were lower primarily due to the decrease in the repurchase of the Company’s common stock under the September 19, 2012 board approved common stock repurchase program and slightly lower dividends paid as a result of the decrease in common shares outstanding.  The Company expects financing activities to continue to include use of cash for dividend payments and treasury stock purchases for the foreseeable future.  

Management believes that the Company’s cash and other liquid asset resources used in its business, together with the future cash flows from operations and from the Company’s non-voting revenues and non-voting profits interests in EAM, will be sufficient to finance current and forecasted liquidity needs for the next twelve months and does not anticipate making any borrowings during the next twelve months.   As of July 31, 2014, retained earnings were $33,747,000 and liquid assets were $16,007,000.

Seasonality
 
Our publishing revenues are comprised of subscriptions which are generally annual subscriptions, paid in advance. Our cash flows from operating activities are minimally seasonal in nature, primarily due to the timing of customer payments made for orders and subscription renewals.

Off-balance sheet arrangements

We are not a party to any off-balance sheet arrangements, other than operating leases entered into in the ordinary course of business.
 
28
 

 


Recent Accounting Pronouncements
 
In February 2013, the FASB issued ASU No. 2013-02, Comprehensive Income (Topic 220): Reporting of Amounts Reclassified out of Accumulated Other Comprehensive Income (ASU 2013-02), which requires an entity to report the effect of significant reclassifications out of accumulated other comprehensive income on the respective line items in net income, if the amount being reclassified is required to be reclassified in its entirety to net income. For other amounts that are not required to be reclassified in their entirety to net income in the same reporting period, an entity is required to cross-reference other disclosures required that provide additional detail about those amounts. The amendments in ASU 2013-02 supersede the presentation requirements for reclassifications out of accumulated other comprehensive income in ASU 2011-05 and ASU 2011-12. ASU 2013-02 is effective for reporting periods beginning after December 15, 2012; early adoption is permitted.  The Company adopted the provisions of ASU 2013-02 effective May 1, 2013; it did not have a material impact on our Consolidated Condensed Financial Statements.

Critical Accounting Estimates and Policies

The Company prepares its Consolidated Condensed Financial Statements in accordance with accepted accounting principles as in effect in the United States (U.S. “GAAP”). The preparation of these financial statements requires the Company to make estimates and judgments that affect the reported amounts of assets, liabilities, revenues and expenses. The Company bases its estimates on historical experience and on various other assumptions that it believes to be reasonable under the circumstances, the results of which form the basis for making judgments about the carrying values of assets and liabilities that are not readily apparent, and the Company evaluates its estimates on an ongoing basis. Actual results may differ from these estimates under different assumptions or conditions. The Company believes the following critical accounting policies reflect the significant judgments and estimates used in the preparation of its Consolidated Condensed Financial Statements.

Item 3.  QUANTITATIVE AND QUALITATIVE DISCLOSURES ABOUT MARKET RISK.

Market Risk Disclosures

The Company’s Consolidated Condensed Balance Sheets include a substantial amount of assets whose fair values are subject to market risks.  The Company’s market risks are primarily associated with interest rates and equity price risk.  The following sections address the significant market risks associated with the Company’s investment activities.

Interest Rate Risk

At July 31, 2014, the Company did not have investments in securities with fixed maturities and therefore did not have any interest rate risk.
 
Equity Price Risk

            The carrying values of investments subject to equity price risks are based on quoted market prices as of the balance sheet dates.  Market prices are subject to fluctuation and, consequently, the amount realized in the subsequent sale of an investment may significantly differ from the reported market value.  Fluctuation in the market price of a security may result from perceived changes in the underlying economic characteristics of the issuer, the relative price of alternative investments and general market conditions.  Furthermore, amounts realized in the sale of a particular security may be affected by the relative quantity of the security being sold.

            The Company’s equity investment strategy has been to acquire equity securities across a diverse industry group.  The portfolio consists primarily of ETFs and select common stock holdings of blue chip companies with a concentration on large capitalization companies with high relative dividend yields. In order to maintain liquidity in these securities, the Company’s policy has been to invest in and hold in its portfolio, no more than 5% of the approximate average daily trading volume in any one issue.  Additionally, the Company may purchase and hold non-leveraged ETFs whose performance inversely corresponds to the market value changes of investments in other ETF securities held in the equity portfolio for dividend yield.
 
29
 

 


As of July 31, 2014 and April 30, 2014 the aggregate cost of the equity securities classified as available-for-sale, which consist of investments in the iShares Dow Jones Select Dividend Index (DVY), SPDR S&P Dividend (SDY), First Trust Value Line Dividend Index (FVD), PowerShares Financial Preferred (PGF), certain common shares of equity securities and inverse equity index ETFs, was $8,847,000 and $8,847,000 and the market value was $9,095,000 and $9,226,000, respectively.
 
($ in thousands)
                             
                   
Estimated Fair Value after
     
Hypothetical Percentage
 
             
Hypothetical
   
Hypothetical
     
Increase (Decrease) in
 
Equity Securities
       
Fair Value
   Price Change    
Change in Prices
     
Shareholders’ Equity
 
As of July 31, 2014
 
Equity Securities and ETFs held for dividend yield
  $ 5,241  
30% increase
  $ 6,813       3.03 %
             
30% decrease
    3,669       -3.03 %
As of July 31, 2014
 
Inverse ETF Holdings
    3,854  
30% increase
    2,698       -2.23 %
             
30% decrease
    5,010       2.23 %
As of July 31, 2014
 
Total
  $ 9,095  
30% increase
  $ 9,511       0.80 %
             
30% decrease
  $ 8,679       -0.80 %
 
($ in thousands)
                 
Estimated Fair Value after
     
Hypothetical Percentage
 
             
Hypothetical
   
Hypothetical
     
Increase (Decrease) in
 
Equity Securities
       
Fair Value
 
Price Change
   
Change in Prices
     
Shareholders’ Equity
 
As of April 30, 2014
 
Equity Securities and ETFs held for dividend yield
  $ 5,292  
30% increase
  $ 6,880       3.10 %
             
30% decrease
    3,704       -3.10 %
As of April 30, 2014
 
Inverse ETF Holdings
    3,934  
30% increase
    2,754       -2.30 %
             
30% decrease
    5,114       2.30 %
As of April 30, 2014
 
Total
  $ 9,226  
30% increase
  $ 9,634       0.80 %
             
30% decrease
  $ 8,818       -0.80 %
 
Item 4.  CONTROLS AND PROCEDURES

 
(a)
The Company maintains disclosure controls and procedures that are designed to ensure that information required to be disclosed in the Company’s reports filed with the SEC is recorded, processed, summarized and reported within the time periods specified in the SEC’s rules and forms, and that such information is accumulated and communicated to the Company’s management, including its Principal Executive Officer and Principal Financial Officer, as appropriate, to allow timely decisions regarding disclosure.

The Company’s management has evaluated, with the participation of the Company’s Principal Executive Officer and Principal Financial Officer, the effectiveness of the Company’s disclosure controls and procedures, (as defined in Rules 13a-15(e) and 15d-15(e) under the Securities Exchange Act of 1934, as amended) as of the end of the period covered by this report.  Based on that evaluation, the Principal Executive Officer and Principal Financial Officer have concluded that the Company’s disclosure controls and procedures were effective as of the end of the period covered by this report.
 
30
 

 


 
(b)
The registrant’s Principal Executive Officer and Principal Financial Officer have determined that there have been no changes in the registrant’s internal control over financial reporting that occurred during the registrant’s last fiscal quarter that have materially affected, or are reasonably likely to materially affect, the registrant’s internal control over financial reporting.
 
Part II – OTHER INFORMATION

Item 1.  Legal Proceedings

None.

Item 1A.  Risk Factors

There have been no material changes to the risk factors disclosed in Item 1A – Risk Factors in the Company’s Annual Report on Form 10-K for the year ended April 30, 2014 filed with the SEC on July 21, 2014.

Item 2.  Unregistered Sales of Equity Securities and Use of Proceeds

(c)       Purchases of Equity Securities by the Company

The following table provides information with respect to all repurchases of common stock made by or on behalf of the Company during the fiscal quarter ended July 31, 2014.   All purchases listed below were made in the open market at prevailing market prices.

   
ISSUER PURCHASES OF EQUITY SECURITIES
 
   
(a) Total Number
of Shares (or
Units) Purchased
   
(b) Average
Price Paid per
Share (or Unit)
   
(c) Total Number of
Shares (or Units)
Purchased as Part of
Publicly Announced
Plans or Programs
   
(d) Maximum Number (or
Approximate Dollar
Value) of Shares (or
Units) that May Yet Be
Purchased Under the Plans
or Programs
 
May 1 - 31, 2014
    3,053     $ 13.62       3,053     $ 2,225,000  
June 1 - 30, 2014
    -       -       -     $ 2,225,000  
July 1 - 31, 2014
    -       -       -     $ 2,225,000  
Fiscal Quarter
    3,053     $ 13.62       3,053     $ 2,225,000  
 
All shares represent shares repurchased pursuant to authorization of the Board of Directors.  On September 19,  2012, the Company’s Board of Directors authorized the repurchase of shares of the Company’s common stock, at such times and prices as management determined to be advisable, up to an aggregate purchase price of $3,000,000.

Item 5.  Other Information
 
None.
 
31
 

 


Item 6.  Exhibits

31.1
Certificate of Principal Executive Officer Required Under Section 302 of the Sarbanes-Oxley Act of 2002.

31.2
    Certificate of Principal Financial Officer Required Under Section 302 of the Sarbanes-Oxley Act of 2002.

32.1
Joint Principal Executive Officer/Principal Financial Officer Certificate Required Under Section 906 of the   Sarbanes-Oxley Act of 2002.

101.INS
 
101.SCH
 
101.CAL
 
101.DEF
 
101.LAB
 
101.PRE
XBRL Instance Document
 
XBRL Taxonomy Extension Schema Document
 
XBRL Taxonomy Extension Calculation Linkbase Document
 
XBRL Taxonomy Extension Definition Linkbase Document
 
XBRL Taxonomy Extension Label Linkbase Document
 
XBRL Taxonomy Extension Presentation Linkbase Document
 
32
 

 

 
VALUE LINE, INC.
 
Signatures
 
Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned thereunto duly authorized.
 
 
Value Line, Inc.
   (Registrant)
   
 
By:
/s/ Howard A. Brecher
 
   
Howard A. Brecher
   
Chief Executive Officer
   
(Principal Executive Officer)
     
 
By:
/s/ Stephen R. Anastasio
 
   
Stephen R. Anastasio
   
Vice President & Treasurer
   
(Principal Financial Officer)
 
Date:  September 11, 2014
 
33

 

 
 
 
EX-31.1 2 ex31-1.htm EXHIBIT 31.1


Exhibit 31.1

CERTIFICATIONS

I, Howard A. Brecher, certify that:

 
1.
I have reviewed this report on Form 10-Q of Value Line, Inc. for the quarter ended July 31, 2014;

 
2.
Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 
3.
Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

 
4.
The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:
 
 
a)
Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;
 
 
b)
Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
 
 
c)
Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and
 
 
d)
Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting.
 
 
5.
The registrant’s other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 
a)
All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

 
b)
Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.
 
Date:  September 11, 2014 By: /s/ Howard A. Brecher  
       
    Howard A. Brecher  
    Chairman and Chief Executive Officer  
    (Principal Executive Officer)  
 
 

 

 
EX-31.2 3 ex31-2.htm EXHIBIT 31.2


Exhibit 31.2

CERTIFICATIONS

I, Stephen R. Anastasio, certify that:

1.
I have reviewed this report on Form 10-Q of Value Line, Inc. for the quarter ended July 31, 2014;

2.
Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3.
Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations and cash flows of the registrant as of, and for, the periods presented in this report;

4.
The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Exchange Act Rules 13a-15(e) and 15d-15(e)) and internal control over financial reporting (as defined in Exchange Act Rules 13a-15(f) and 15d-15(f)) for the registrant and have:
 
 
a)
Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;
 
 
b)
Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
 
 
c)
Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of the end of the period covered by this report based on such evaluation; and
 
 
d)
Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the registrant’s most recent fiscal quarter (the registrant’s fourth fiscal quarter in the case of an annual report) that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting.
 
5.
The registrant’s other certifying officer(s) and I have disclosed, based on our most recent evaluation of internal control over financial reporting, to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 
a)
All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize and report financial information; and

 
b)
Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.
 
Date:  September 11, 2014 By: /s/ Stephen R. Anastasio  
       
    Stephen R. Anastasio  
    Vice President & Treasurer  
    (Principal Financial Officer)  
 
 

 

 
EX-32.1 4 ex32-1.htm EXHIBIT 32.1


Exhibit 32.1

Certification Pursuant to 18 U.S.C. Section 1350
 
In accordance with 18 U.S.C. Section 1350, the undersigned hereby certify, in the indicated capacities with respect to Value Line, Inc. (the “Issuer”), that the report on Form 10-Q for the quarter ended July 31, 2014 of the Issuer fully complies with the requirements of section 13(a) of the Securities Exchange Act of 1934 and that the information contained in the quarterly report on Form 10-Q fairly presents, in all material respects, the financial condition and results of operations of the Issuer.  This certification is not to be deemed to be filed pursuant to the Securities Exchange Act of 1934 and does not constitute a part of the quarterly report on Form 10-Q of the Issuer accompanying this certification.
 
  By: /s/ Howard A. Brecher  
       
    Howard A. Brecher  
    Chairman and Chief Executive Officer  
    (Principal Executive Officer)  
 
  By: /s/ Stephen R. Anastasio  
       
    Stephen R. Anastasio  
    Vice President & Treasurer  
    (Principal Financial Officer)  

Date:  September 11, 2014
 
 

 

 
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In the opinion of management, the accompanying Unaudited Interim Consolidated Condensed Financial Statements contain all adjustments (consisting of normal recurring accruals except as noted below) considered necessary for a fair presentation. This report should be read in conjunction with the audited financial statements and footnotes contained in the Company&#8217;s Annual Report on Form 10-K for the fiscal year ended April 30, 2014 filed with the SEC on July 18, 2014 (the &#8220;Form 10-K&#8221;). 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A VIE is a legal entity in which either (i) equity investors do not have sufficient equity investment at risk to enable the entity to finance its activities independently or (ii) the equity holders at risk lack the obligation to absorb losses, the right to receive residual returns or the right to make decisions about the entity&#8217;s activities that most significantly affect the entity&#8217;s economic performance. A holder of a variable interest in a VIE is required to consolidate the entity if it is determined that it has a controlling financial interest in the VIE and is therefore the primary beneficiary. 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The length of a subscription varies by product and offer received by the subscriber. Generally, subscriptions are offered as annual subscriptions. Subscription revenues, net of discounts, are recognized ratably on a straight line basis when the product is served to the client over the life of the subscription. 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The Company earns asset-based copyright data fees as specified in the individual agreements. 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The securities classified as available-for-sale reflected in the Consolidated Condensed Balance Sheets are valued at market and unrealized gains and losses, net of applicable taxes, are reported as a separate component of shareholders&#8217; equity. 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The Fair Value Measurements Topic established a three-tier hierarchy to maximize the use of observable market data and minimize the use of unobservable inputs and to establish classification of fair value measurements for disclosure purposes. Inputs refer broadly to the information that market participants would use in pricing the asset or liability, including assumptions about risk. Examples of risks include those inherent in a particular valuation technique used to measure fair value such as the risk inherent in the inputs to the valuation technique. Inputs are classified as observable or unobservable. Observable inputs are inputs that reflect the assumptions market participants would use in pricing the asset or liability developed based on market data obtained from sources independent of the reporting entity. 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During fiscal 2015, investment management fee waivers primarily related to the U.S. Government Money Market Fund ("USGMMF") which was merged into a third party fund, the Daily Income Fund, managed by Reich & Tang, effective October 19, 2012. During fiscal 2015 and 2014, the 12b-1 fee waivers related to one of the Value Line Mutual Fixed Income Funds, respectively. At July 31, 2014 and April 30, 2014, EAM's total liabilities included a payable to VLI for its accrued non-voting revenues and non-voting profits interests of $2,003,000 and $1,887,000, respectively. Includes 18,400 shares with a total average cost of $354,000 that were acquired prior to the repurchase program authorized in January 2011. Includes 85,219 shares with a total average cost of $1,036,000 that were acquired during the former repurchase program, which was authorized in January 2011 and expired in January 2012. Includes 19,953 shares with a total average cost of $182,000 that were acquired during the current repurchase program authorized in September 2012. Includes 19,953 shares with a total average cost of $182,000 that were acquired during the current repurchase program authorized in September 2012. 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Investments - Equity Method Investment (Detail Textuals 1) (USD $)
3 Months Ended
Jul. 31, 2014
Apr. 30, 2014
Schedule of Equity Method Investments [Line Items]    
Investment in EAM Trust $ 57,985,000 $ 57,850,000
EAM Trust
   
Schedule of Equity Method Investments [Line Items]    
Investment in EAM Trust 57,985,000 [1] 57,850,000 [1]
Fair value of contributed capital at inception 55,805,000  
Cash and liquid securities in excess of working capital requirements contributed to capital account 5,820,000  
Non-voting profits interest ("Profits Interest") 50.00%  
Payable to VLI for its accrued non-voting revenues and non-voting profits interests $ 2,003,000 $ 1,887,000
[1] Reported within Long Term Assets on the Consolidated Condensed Balance Sheets.
XML 14 R54.htm IDEA: XBRL DOCUMENT v2.4.0.8
Treasury Stock and Repurchase Program (Detail Textuals) (USD $)
3 Months Ended 1 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Sep. 19, 2012
September 2012 Share Repurchase Program
Jan. 31, 2011
January 2011 Share Repurchase Program
Jan. 31, 2011
Former Repurchase Program
Equity, Class of Treasury Stock [Line Items]          
Authorized repurchase amount of common stock     $ 3,000,000    
Number of treasury shares 3,053   19,953 18,400 85,219
Total average cost $ 42,000 $ 226,000 $ 182,000 $ 354,000 $ 1,036,000
XML 15 R48.htm IDEA: XBRL DOCUMENT v2.4.0.8
Federal, State and Local Income Taxes - Tax effect of temporary differences in deferred tax asset and deferred tax liability (Details 1) (USD $)
In Thousands, unless otherwise specified
Jul. 31, 2014
Apr. 30, 2014
Deferred Tax Assets and Liabilities [Line Items]    
Deferred tax asset, short term $ 384 $ 364
Deferred tax liability, long term 22,414 22,520
Federal tax liability (benefit)
   
Deferred Tax Assets and Liabilities [Line Items]    
Unrealized gains on securities available-for-sale (87) (134)
Operating lease deferred obligation 70 70
Deferred professional fees 30 36
Deferred charges 305 327
Deferred tax asset, short term 318 299
Deferred gain on deconsolidation of EAM 17,679 17,679
Deferred non-cash post-employment compensation (619) (619)
Depreciation and amortization 2,490 2,416
Other 466 646
Deferred tax liability, long term 20,016 20,122
State and local tax liabilities (benefits)
   
Deferred Tax Assets and Liabilities [Line Items]    
Other 66 65
Deferred tax asset, short term 66 65
Deferred gain on deconsolidation of EAM 2,181 2,181
Deferred non-cash post-employment compensation (76) (76)
Depreciation and amortization 308 298
Deferred professional fees (15) (5)
Deferred tax liability, long term $ 2,398 $ 2,398
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Lease Commitments - Future minimum payments under operating lease (Details) (USD $)
In Thousands, unless otherwise specified
Jul. 31, 2014
Commitments and Contingencies Disclosure [Abstract]  
2016 $ 1,468
2017 1,224
2018   
2019   
2020 and thereafter   
Operating leases, total $ 2,692
XML 18 R46.htm IDEA: XBRL DOCUMENT v2.4.0.8
Related Party Transactions (Detail Textuals) (USD $)
3 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Apr. 30, 2014
Related Party Transaction [Line Items]      
Federal income tax payments to the Parent        
Value Line Inc
     
Related Party Transaction [Line Items]      
Reimbursed income 41,000 51,000  
EAM Trust
     
Related Party Transaction [Line Items]      
Total assets of value line funds managed by EAM 2,300,000,000 2,200,000,000  
Percentage of assets increased in funds 3.50%    
Non-voting profits interest in EAM 50.00%    
Percentage of non-voting revenues interest in unconsolidated entity 49.18% 46.66%  
Non voting profits interest in variable entity not yet paid $ 1,833,000   $ 1,887,000
Percentage of ownership in outstanding shares of common stock of the company by parent 87.98%    
EAM Trust | Minimum
     
Related Party Transaction [Line Items]      
Investment management fee revenues from its mutual fund and separate accounts business 41.00%    
Percentage of non voting profits interests due each quarter from EAM 90.00%    
EAM Trust | Maximum
     
Related Party Transaction [Line Items]      
Investment management fee revenues from its mutual fund and separate accounts business 55.00%    
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Organization and Summary of Significant Accounting Policies (Detail Textuals) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Jul. 31, 2014
Apr. 30, 2014
Jul. 31, 2014
EAM Trust
Jul. 31, 2014
EAM Trust
Minimum
Jul. 31, 2014
EAM Trust
Maximum
Organization, Consolidation and Presentation Of Financial Statements [Abstract]          
Cash equivalents $ 6,466 $ 5,482      
Schedule of Equity Method Investments [Line Items]          
Investment management fee revenues from its mutual fund and separate accounts business       41.00% 55.00%
Non-voting profits interest ("Profits Interest")     50.00%    
Percentage of non voting profits interests due each quarter from EAM       90.00%  
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Supplementary Cash Flow Information (Tables)
3 Months Ended
Jul. 31, 2014
Supplemental Cash Flow Elements [Abstract]  
Schedule of cash flow supplemental disclosures
   
Three Months Ended July 31,
 
($ in thousands)
 
2014
   
2013
 
State and local income tax payments
  $ 86     $ -  
Federal income tax payments to the Parent
  $ -     $ -  
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Federal, State and Local Income Taxes (Detail Textuals)
3 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Income Tax Disclosure [Abstract]    
Effective income tax rate 34.86% 36.51%
XML 23 R42.htm IDEA: XBRL DOCUMENT v2.4.0.8
Supplementary Cash Flow Information (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Supplemental Cash Flow Elements [Abstract]    
State and local income tax payments $ 86   
Federal income tax payments to the Parent      
XML 24 R37.htm IDEA: XBRL DOCUMENT v2.4.0.8
Investments - Components of assets and liabilities (Details 3) (EAM Trust, USD $)
In Thousands, unless otherwise specified
Jul. 31, 2014
Apr. 30, 2014
EAM Trust
   
Schedule of Investments [Line Items]    
EAM's total assets $ 59,931 $ 59,965
EAM's total liabilities (3,054) [1] (3,158) [1]
EAM's total equity $ 56,877 $ 56,807
[1] At July 31, 2014 and April 30, 2014, EAM's total liabilities included a payable to VLI for its accrued non-voting revenues and non-voting profits interests of $2,003,000 and $1,887,000, respectively.
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Accounting for the Costs of Computer Software Developed for Internal Use (Detail Textuals) (USD $)
3 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Internal Use Software [Abstract]    
Capitalized cost of development of software for internal use $ 528,000 $ 586,000
Development costs for digital production software project 527,000 574,000
Development costs related to new fulfillment system 1,000 12,000
Internal costs to develop software 305,000 445,000
Third party programmers' costs 223,000 141,000
Expected useful life of asset 5 years  
Amortization expense $ 533,000 $ 402,000
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Federal, State and Local Income Taxes - Provision for income taxes (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Current tax expense:    
Federal $ 869 $ 216
State and local 90 28
Current tax expense 959 244
Deferred tax expense:    
Federal 106 506
State and local 24 81
Deferred tax expense 130 587
Income tax provision: $ 1,089 $ 831
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Organization and Summary of Significant Accounting Policies
3 Months Ended
Jul. 31, 2014
Organization, Consolidation and Presentation Of Financial Statements [Abstract]  
Organization and Summary of Significant Accounting Policies
Note 1 - Organization and Summary of Significant Accounting Policies:
 
Value Line, Inc. (“Value Line” or “VLI”, and collectively with its subsidiaries, the “Company”) is incorporated in the State of New York. The name “Value Line” as used to describe the Company, its products, and its subsidiaries, is a registered trademark of the Company. The Company’s primary business is producing investment periodicals and related publications and making available copyright data including certain Value Line trademarks and Value Line Proprietary Ranking System information to third parties under written agreements for use in third party managed and marketed investment products.
 
The Consolidated Condensed Balance Sheets as of July 31, 2014 and April 30, 2014, which have been derived from the unaudited interim Consolidated Condensed Financial Statements and the audited Consolidated Financial Statements, respectively, were prepared following the interim reporting requirements of the Securities and Exchange Commission (“SEC”). In the opinion of management, the accompanying Unaudited Interim Consolidated Condensed Financial Statements contain all adjustments (consisting of normal recurring accruals except as noted below) considered necessary for a fair presentation. This report should be read in conjunction with the audited financial statements and footnotes contained in the Company’s Annual Report on Form 10-K for the fiscal year ended April 30, 2014 filed with the SEC on July 18, 2014 (the “Form 10-K”). Results of operations covered by this report may not be indicative of the results of operations for the entire year.
 
Use of Estimates:
 
The preparation of financial statements in conformity with U.S. generally accepted accounting principles (“GAAP”) requires management to make estimates and assumptions that affect certain reported amounts and disclosures. Accordingly, actual results may differ from those estimates.
 
Principles of Consolidation:
 
The Company follows the guidance in the Financial Accounting Standards Board’s (“FASB”) Topic 810 “Consolidation” to determine if it should consolidate its investment in a variable interest entity (“VIE”). A VIE is a legal entity in which either (i) equity investors do not have sufficient equity investment at risk to enable the entity to finance its activities independently or (ii) the equity holders at risk lack the obligation to absorb losses, the right to receive residual returns or the right to make decisions about the entity’s activities that most significantly affect the entity’s economic performance. A holder of a variable interest in a VIE is required to consolidate the entity if it is determined that it has a controlling financial interest in the VIE and is therefore the primary beneficiary. The determination of a controlling financial interest in a VIE is based on a qualitative assessment to identify the variable interest holder, if any, that has (i) the power to direct the activities of the VIE that most significantly impact the VIE’s economic performance, and (ii) either the obligation to absorb losses of the entity or the right to receive benefits from the entity that could potentially be significant to the VIE. The accounting guidance requires the Company to perform an ongoing assessment of whether the Company is the primary beneficiary of a VIE and the Company has determined it is not the primary beneficiary of a VIE (see Note 3).
 
In accordance with FASB’s Topic 810, the assets, liabilities, and results of operations of subsidiaries in which the Company has a controlling interest have been consolidated. All significant intercompany accounts and transactions have been eliminated in consolidation. On December 23, 2010, the Company completed the deconsolidation of the investment management related affiliates (the “Restructuring Transaction”) in accordance with FASB’s Topic 810. As part of the Restructuring Transaction, the Company received a significant non-voting revenues interest (excluding distribution revenues) and a significant non-voting profits interest in the new entity, EULAV Asset Management, a Delaware statutory trust (“EAM” or “EAM Trust”). The Company relied on the guidance in FASB’s ASC Topics 323 and 810 in its determination not to consolidate its investment in EAM and to account for such investment under the equity method of accounting. The Company reports the amount it receives for its non-voting revenues and non-voting profits interests as a separate line item below operating income in the Consolidated Condensed Statements of Income.
 
Revenue Recognition:
 
Depending upon the product, subscriptions to Value Line periodicals and related publications are available in print or digitally, via internet access. The length of a subscription varies by product and offer received by the subscriber. Generally, subscriptions are offered as annual subscriptions. Subscription revenues, net of discounts, are recognized ratably on a straight line basis when the product is served to the client over the life of the subscription. Accordingly, the amount of subscription fees to be earned by fulfilling subscriptions after the date of the balance sheets are shown as unearned revenue within current and long term liabilities.
 
Copyright data revenues are derived from providing certain Value Line trademarks and Value Line Proprietary Ranking System information to third parties under written agreements for use in selecting securities for third party marketed products, including unit investment trusts, annuities and exchange traded funds (“ETFs”). The Company earns asset-based copyright data fees as specified in the individual agreements. Revenue is recognized monthly over the term of the agreement and, because it is asset-based, will fluctuate as the market value of the underlying portfolio increases or decreases in value.
 
Investment in Unconsolidated Entities:
 
The Company accounts for its investment in its unconsolidated entity, EAM, using the equity method of accounting in accordance with FASB’s ASC 323. The equity method is an appropriate means of recognizing increases or decreases measured by GAAP in the economic resources underlying the investments. Under the equity method, an investor recognizes its share of the earnings or losses of an investee in the periods for which they are reported by the investee in its financial statements rather than in the period in which an investee declares a dividend or distribution. An investor adjusts the carrying amount of an investment for its share of the earnings or losses recognized by the investee.
 
The Company’s “interests” in EAM, the investment adviser to and the sole member of the distributor of the Value Line Funds, consist of a “non-voting revenues interest” and a “non-voting profits interest” in EAM as defined in the EAM Trust Agreement. The non-voting revenues interest entitles the Company to receive a range of 41% to 55%, based on the amount of EAM’s adjusted gross revenues, excluding ES’s distribution revenues (“Revenues Interest”). The non-voting profits interest entitles the Company to receive 50% of EAM’s profits, subject to certain limited adjustments as defined in the EAM Trust Agreement (“Profits Interest”). The Revenues Interest and at least 90% of the Profits Interest are to be distributed each quarter to all interest holders of EAM, including Value Line. Subsequent to the Restructuring Date, the Company’s Revenues Interest in EAM excludes participation in the service and distribution fees of EAM’s subsidiary ES. The Company reflects its non-voting revenues and non-voting profits interests in EAM as non-operating income under the equity method of accounting subsequent to the Restructuring Transaction. Although the Company does not have control over the operating and financial policies of EAM, pursuant to the EAM Trust Agreement, the Company has a contractual right to receive its share of EAM’s revenues and profits.
 
Valuation of Securities:
 
The Company’s securities classified as cash equivalents and available-for-sale consist of shares of money market funds that invest primarily in short-term U.S. Government securities, investments in equities including ETFs, and deposits in savings accounts at large commercial banks and are valued in accordance with the requirements of the Fair Value Measurements Topic of the FASB’s ASC 820. The securities classified as available-for-sale reflected in the Consolidated Condensed Balance Sheets are valued at market and unrealized gains and losses, net of applicable taxes, are reported as a separate component of shareholders’ equity. Realized gains and losses on sales of the securities classified as available-for-sale are recorded in earnings as of the trade date and are determined on the identified cost method.
 
The Company classifies its securities available-for-sale as current assets to properly reflect its liquidity and to recognize the fact that it has liquid assets available-for-sale should the need arise.
 
Market valuations of securities listed on a securities exchange and ETF shares are based on the closing sales prices on the last business day of each month. The market value of fixed maturity U.S. Government debt securities is determined utilizing publicly quoted market prices. Cash equivalents consist of investments in money market funds that invest primarily in U.S. Government securities valued in accordance with rule 2a-7 under the 1940 Act.
 
The Fair Value Measurements Topic of FASB’s ASC 820 defines fair value as the price that the Company would receive upon selling an investment in a timely transaction to an independent buyer in the principal or most advantageous market for the investment. The Fair Value Measurements Topic established a three-tier hierarchy to maximize the use of observable market data and minimize the use of unobservable inputs and to establish classification of fair value measurements for disclosure purposes. Inputs refer broadly to the information that market participants would use in pricing the asset or liability, including assumptions about risk. Examples of risks include those inherent in a particular valuation technique used to measure fair value such as the risk inherent in the inputs to the valuation technique. Inputs are classified as observable or unobservable. Observable inputs are inputs that reflect the assumptions market participants would use in pricing the asset or liability developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs are inputs that reflect the reporting entity’s own assumptions about the factors market participants would use in pricing the asset or liability developed based on the best information available in the circumstances.
 
The three-tier hierarchy of inputs is summarized in the three broad levels listed below.
Level 1 – quoted prices in active markets for identical investments
Level 2 – other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.)
Level 3 – significant unobservable inputs (including the Company’s own assumptions in determining the fair value of investments)
The following summarizes the levels of fair value measurements of the Company’s investments:
 
   
As of July 31, 2014
 
($ in thousands)
 
Level 1
   
Level 2
   
Level 3
   
Total
 
Cash equivalents
  $ 6,466     $ -     $ -     $ 6,466  
Securities available-for-sale
    9,095       -       -       9,095  
    $ 15,561     $ -     $ -     $ 15,561  
 
   
As of April 30, 2014
 
($ in thousands)
 
Level 1
   
Level 2
   
Level 3
   
Total
 
Cash equivalents
  $ 5,482     $ -     $ -     $ 5,482  
Securities available-for-sale
    9,226       -       -       9,226  
    $ 14,708     $ -     $ -     $ 14,708  
 
The Company had no other financial instruments such as futures, forwards and swap contracts. For the periods ended July 31, 2014 and April 30, 2014, there were no Level 2 nor Level 3 investments. The Company does not have any liabilities subject to fair value measurement.
 
Advertising expenses:
 
The Company expenses advertising costs as incurred.
 
Income Taxes:
 
The Company computes its income tax provision in accordance with the Income Tax Topic of the FASB’s ASC. Deferred tax liabilities and assets are recognized for the expected future tax consequences of events that have been reflected in the Consolidated Condensed Financial Statements. Deferred tax liabilities and assets are determined based on the differences between the book values and the tax bases of particular assets and liabilities, using tax rates currently in effect for the years in which the differences are expected to reverse.
 
The Income Tax Topic of the FASB’s ASC establishes for all entities, a minimum threshold for financial statement recognition of the benefit of positions taken in filing tax returns (including whether an entity is taxable in a particular jurisdiction), and requires certain expanded tax disclosures. As of July 31, 2014, management has reviewed the tax positions for the years still subject to tax audit under the statute of limitations, evaluated the implications, and determined that there is no material impact to the Company’s financial statements.
 
Earnings per share:
 
Earnings per share are based on the weighted average number of shares of common stock and common stock equivalents outstanding during each period. Any shares that are reacquired during the period are weighted for the portion of the period that they are outstanding. The Company does not have any potentially dilutive common shares from outstanding stock options, warrants, restricted stock, or restricted stock units.
 
Cash and Cash Equivalents:
 
For purposes of the Consolidated Condensed Statements of Cash Flows, the Company considers all cash held at banks and short term liquid investments with an original maturity of less than three months to be cash and cash equivalents. As of July 31, 2014 and April 30, 2014, cash equivalents included $6,466,000 and $5,482,000, respectively, for amounts invested in savings accounts at commercial banks and investments in money market mutual funds that invest in short term U.S. government securities.
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M8C$T,5\X.#0V934V96,T8S4-"D-O;G1E;G0M3&]C871I;VXZ(&9I;&4Z+R\O M0SHO.&,U8V5E-&%?-C`U,%\T-&0T7V(Q-#%?.#@T-F4U-F5C-&,U+U=O'0O:'1M;#L@ M8VAA'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'0^)SQS<&%N/CPO'!E;G-E'!E;G-E/"]T M9#X-"B`@("`@("`@/'1D(&-L87-S/3-$;G5M<#XD(#,P-"PP,#`\'0^)SQS<&%N M/CPO7!E.B!T M97AT+VAT;6P[(&-H87)S970](G5S+6%S8VEI(@T*#0H\>&UL('AM;&YS.F\] M,T0B=7)N.G-C:&5M87,M;6EC'1087)T7SAC-6-E931A @7S8P-3!?-#1D-%]B,30Q7S@X-#9E-39E8S1C-2TM#0H` ` end XML 29 R43.htm IDEA: XBRL DOCUMENT v2.4.0.8
Employees' Profit Sharing and Savings Plan (Detail Textuals) (USD $)
3 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Compensation Related Costs [Abstract]    
Estimated profit sharing plan contribution included in salaries and employee benefits $ 100,000 $ 83,000

XML 30 R29.htm IDEA: XBRL DOCUMENT v2.4.0.8
Property and Equipment (Tables)
3 Months Ended
Jul. 31, 2014
Property, Plant and Equipment [Abstract]  
Schedule of property and equipment
   
July 31,
   
April 30,
 
($ in thousands)
 
2014
   
2014
 
Land
  $ 726     $ 726  
Building and leasehold improvements
    5,024       5,024  
Furniture and equipment
    5,157       5,312  
      10,907       11,062  
Accumulated depreciation and amortization
    (7,043 )     (7,199 )
Total property and equipment, net
  $ 3,864     $ 3,863
XML 31 R28.htm IDEA: XBRL DOCUMENT v2.4.0.8
Federal, State and Local Income Taxes (Tables)
3 Months Ended
Jul. 31, 2014
Income Tax Disclosure [Abstract]  
Schedule of provision for income taxes
   
Three Months Ended July 31,
 
($ in thousands)
 
2014
   
2013
 
Current tax expense:
           
Federal
  $ 869     $ 216  
State and local
    90       28  
Current tax expense
    959       244  
Deferred tax expense:
               
Federal
    106       506  
State and local
    24       81  
Deferred tax expense
    130       587  
Income tax provision:
  $ 1,089     $ 831  
Schedule of components of deferred tax asset and deferred tax liability
   
July 31,
   
April 30,
 
($ in thousands)
 
2014
   
2014
 
Federal tax benefit (liability):
           
Unrealized gains on securities available-for-sale
  $ (87 )   $ (134 )
Operating lease deferred obligation
    70       70  
Deferred professional fees
    30       36  
Deferred charges
    305       327  
Total federal tax benefit
    318       299  
                 
State and local tax benefits:
               
Other
    66       65  
Total state and local tax benefits
    66       65  
Deferred tax asset, short term
  $ 384     $ 364  
 
   
July 31,
   
April 30,
 
($ in thousands)
 
2014
   
2014
 
Federal tax liability (benefit):
           
Deferred gain on deconsolidation of EAM
  $ 17,679     $ 17,679  
Deferred non-cash post-employment compensation
    (619 )     (619 )
Depreciation and amortization
    2,490       2,416  
Other
    466       646  
Total federal tax liability
    20,016       20,122  
                 
State and local tax liabilities (benefits):
               
Deferred gain on deconsolidation of EAM
    2,181       2,181  
Deferred non-cash post-employment compensation
    (76 )     (76 )
Depreciation and amortization
    308       298  
Deferred professional fees
    (15 )     (5 )
Total state and local tax liabilities
    2,398       2,398  
Deferred tax liability, long term
  $ 22,414     $ 22,520  
Schedule of effective income tax rate reconciliation
   
Three Months Ended July 31,
 
   
2014
   
2013
 
U.S. statutory federal rate
    35.00 %     35.00 %
Increase (decrease) in tax rate from:
               
State and local income taxes, net of federal income tax benefit
    2.37 %     2.24 %
Effect of dividends received deductions
    -0.29 %     -0.37 %
Domestic production tax credit
    -0.65 %     -  
Other, net
    -1.57 %     -0.36 %
Effective income tax rate
    34.86 %     36.51 %
XML 32 R56.htm IDEA: XBRL DOCUMENT v2.4.0.8
Lease Commitments (Detail Textuals) (USD $)
3 Months Ended 0 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Feb. 07, 2013
Citibank, N.A. (the "Sublandlord")
sqft
Operating Leased Assets [Line Items]      
Area of land for lease     44,493
Base rent under the sublease agreement per annum     $ 1,468,269
Security deposit in cash     489,423
Rental expenses 317,000 932,000  
Additional short term overlapping rent expense $ 304,000    
XML 33 R44.htm IDEA: XBRL DOCUMENT v2.4.0.8
Comprehensive Income - Components of comprehensive income that are included in Consolidated Statement of Changes in Shareholders' Equity (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Comprehensive Income (Loss) Note [Abstract]    
Change in unrealized gains on securities, Before Tax $ (131) $ (4)
Change in unrealized gains on securities, Tax Benefit 46 1
Change in unrealized gains on securities, Net of Tax (85) (3)
Other comprehensive income (loss), available-for-sale securities adjustment, Before Tax (131) (4)
Other comprehensive income (loss), available-for-sale securities, Tax Benefit 46 1
Other comprehensive income (loss), available-for-sale securities adjustment, Net of Tax $ (85) $ (3)
XML 34 R30.htm IDEA: XBRL DOCUMENT v2.4.0.8
Treasury Stock and Repurchase Program (Tables)
3 Months Ended
Jul. 31, 2014
Treasury Stock [Abstract]  
Schedule of treasury stock, at cost
         
Total Average
   
Average Cost
   
Aggregate Purchase Price
 
(in thousands except for shares and cost per share)
 
Shares
   
Cost Assigned
   
per Share
   
Remaining Under the Program
 
Balance as of April 30, 2014 (1)(2)(3)
    182,071     $ 2,122     $ 11.65     $ 2,267  
Purchases effected in open market during the quarters ended:
                               
July 31, 2014
    3,053       42     $ 13.76     $ 2,225  
Balance as of July 31, 2014
    185,124     $ 2,164     $ 11.69          
 
(1) Includes 18,400 shares with a total average cost of $354,000 that were acquired prior to the repurchase program authorized in January 2011.
(2) Includes 85,219 shares with a total average cost of $1,036,000 that were acquired during the former repurchase program, which was authorized in January 2011 and expired in January 2012.
(3) Includes 19,953 shares with a total average cost of $182,000 that were acquired during the current repurchase program authorized in September 2012.
XML 35 R31.htm IDEA: XBRL DOCUMENT v2.4.0.8
Lease Commitments (Tables)
3 Months Ended
Jul. 31, 2014
Commitments and Contingencies Disclosure [Abstract]  
Schedule of future minimum payments
Fiscal Years Ended April 30,  
Sublease
 
     
($ in thousands)
 
         
 
2016
    1,468  
 
2017
    1,224  
 
2018
    -  
 
2019
    -  
 
2020 and thereafter
    -  
      $ 2,692
XML 36 R8.htm IDEA: XBRL DOCUMENT v2.4.0.8
Consolidated Condensed Statement of Changes in Shareholders' Equity (unaudited) (Parentheticals) (USD $)
3 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Statement Of Stockholders Equity [Abstract]    
Dividends declared per share (in dollars per share) $ 0.15 $ 0.15
XML 37 R32.htm IDEA: XBRL DOCUMENT v2.4.0.8
Organization and Summary of Significant Accounting Policies - Levels of fair value measurements of investments (Details) (USD $)
In Thousands, unless otherwise specified
Jul. 31, 2014
Apr. 30, 2014
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Cash equivalents $ 6,466 $ 5,482
Securities available-for-sale 9,095 9,226
Investments, fair value disclosure 15,561 14,708
Level 1
   
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Cash equivalents 6,466 5,482
Securities available-for-sale 9,095 9,226
Investments, fair value disclosure 15,561 14,708
Level 2
   
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Cash equivalents      
Securities available-for-sale      
Investments, fair value disclosure      
Level 3
   
Fair Value, Assets and Liabilities Measured on Recurring and Nonrecurring Basis [Line Items]    
Cash equivalents      
Securities available-for-sale      
Investments, fair value disclosure      
XML 38 R40.htm IDEA: XBRL DOCUMENT v2.4.0.8
Variable Interest Entity - Total assets of EAM, maximum exposure to loss due to involvement with EAM and value of assets and liabilities (Details) (USD $)
In Thousands, unless otherwise specified
Jul. 31, 2014
Apr. 30, 2014
Variable Interest Entity [Line Items]    
Investment in EAM Trust $ 57,985 $ 57,850
EAM Trust
   
Variable Interest Entity [Line Items]    
VIE Assets 59,931 59,965
Investment in EAM Trust 57,985 [1] 57,850 [1]
Liabilities      
Maximum Exposure to Loss $ 57,985 $ 57,850
[1] Reported within Long Term Assets on the Consolidated Condensed Balance Sheets.
XML 39 R53.htm IDEA: XBRL DOCUMENT v2.4.0.8
Treasury Stock and Repurchase Program - Components of treasury stock, at cost (Details) (USD $)
In Thousands, except Share data, unless otherwise specified
3 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Shares    
Balance as of April 30, 2014 182,071 [1],[2],[3]  
Purchases effected in open market 3,053  
Balance as of July 31, 2014 185,124  
Total Average Cost Assigned    
Balance as of April 30, 2014 $ 2,122 [1],[2],[3]  
Purchases effected in open market 42 226
Balance as of July 31, 2014 2,164  
Average Cost per Share    
Balance as of April 30, 2014 $ 11.65 [1],[2],[3]  
Purchases effected in open market $ 13.76  
Balance as of July 31, 2014 $ 11.69  
Aggregate Purchase Price Remaining Under the Program    
Balance as of April 30, 2014 2,267 [1],[2],[3]  
Purchases effected in open market $ 2,225  
[1] Includes 18,400 shares with a total average cost of $354,000 that were acquired prior to the repurchase program authorized in January 2011.
[2] Includes 85,219 shares with a total average cost of $1,036,000 that were acquired during the former repurchase program, which was authorized in January 2011 and expired in January 2012.
[3] Includes 19,953 shares with a total average cost of $182,000 that were acquired during the current repurchase program authorized in September 2012.
XML 40 R2.htm IDEA: XBRL DOCUMENT v2.4.0.8
Consolidated Condensed Balance Sheets (USD $)
In Thousands, unless otherwise specified
Jul. 31, 2014
Apr. 30, 2014
Current Assets:    
Cash and cash equivalents (including short term investments of $6,506 and $5,482, respectively) $ 6,912 $ 5,788
Securities available-for-sale 9,095 9,226
Accounts receivable, net of allowance for doubtful accounts of $31 and $39, respectively 731 1,206
Prepaid and refundable income taxes 100 175
Prepaid expenses and other current assets 1,452 1,507
Deferred income taxes 384 364
Total current assets 18,674 18,266
Long term assets:    
Investment in EAM Trust 57,985 57,850
Property and equipment, net 3,864 3,863
Capitalized software and other intangible assets, net 6,891 6,896
Total long term assets 68,740 68,609
Total assets 87,414 86,875
Current Liabilities:    
Accounts payable and accrued liabilities 2,054 2,429
Accrued salaries 1,363 1,349
Dividends payable 1,472 1,472
Accrued taxes on income 1,323 316
Unearned revenue 20,663 21,490
Total current liabilities 26,875 27,056
Long term liabilities:    
Unearned revenue 4,073 3,634
Deferred charges 317 367
Deferred income taxes 22,414 22,520
Total long term liabilities 26,804 26,521
Total liabilities 53,679 53,577
Shareholders' Equity:    
Common stock, $0.10 par value; authorized 30,000,000 shares; issued 10,000,000 shares 1,000 1,000
Additional paid-in capital 991 991
Retained earnings 33,747 33,183
Treasury stock, at cost (185,124 and 182,071 shares, respectively) (2,164) (2,122) [1],[2],[3]
Accumulated other comprehensive income, net of tax 161 246
Total shareholders' equity 33,735 33,298
Total liabilities and shareholders' equity $ 87,414 $ 86,875
[1] Includes 18,400 shares with a total average cost of $354,000 that were acquired prior to the repurchase program authorized in January 2011.
[2] Includes 85,219 shares with a total average cost of $1,036,000 that were acquired during the former repurchase program, which was authorized in January 2011 and expired in January 2012.
[3] Includes 19,953 shares with a total average cost of $182,000 that were acquired during the current repurchase program authorized in September 2012.
XML 41 R45.htm IDEA: XBRL DOCUMENT v2.4.0.8
Related Party Transactions - Income from non-voting revenues interest and non-voting profits interests in EAM (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Related Party Transactions [Abstract]    
Non-voting revenues interest in EAM $ 1,833 $ 1,598
Non-voting profits interest in EAM 189 171
Revenues and profits interests in EAM Trust $ 2,022 $ 1,769
XML 42 R6.htm IDEA: XBRL DOCUMENT v2.4.0.8
Consolidated Condensed Statements of Cash Flows (unaudited) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Cash flows from operating activities:    
Net income $ 2,036 $ 1,445
Adjustments to reconcile net income to net cash provided by (used in) operating activities:    
Depreciation and amortization 606 466
Non-voting revenues interest in EAM Trust (1,833) (1,598)
Non-voting profits interest in EAM Trust (189) (171)
Deferred income taxes 130 587
Deferred rent (50)  
Changes in operating assets and liabilities:    
Unearned revenue (388) (1,282)
Reserve for settlement (26) (38)
Operating lease exit obligation   (36)
Accounts payable & accrued expenses (349) (440)
Accrued salaries 14 (46)
Accrued taxes on income 797 242
Prepaid and refundable income taxes 75  
Prepaid expenses and other current assets 55 (20)
Receivable from affiliates 3 (2)
Accounts receivable 472 103
Total adjustments (683) (2,235)
Net cash provided by (used in) operating activities 1,353 (790)
Cash flows from investing activities:    
Purchases of securities classified as available-for-sale   (1,223)
Distributions received from EAM Trust 1,887 1,620
Acquisition of property and equipment (74) (133)
Expenditures for capitalized software (528) (586)
Net cash provided by (used in) investing activities 1,285 (322)
Cash flows from financing activities:    
Purchase of treasury stock at cost (42) (226)
Dividends paid (1,472) (1,481)
Net cash used in financing activities (1,514) (1,707)
Net change in cash and cash equivalents 1,124 (2,819)
Cash and cash equivalents at beginning of year 5,788 6,840
Cash and cash equivalents at end of period $ 6,912 $ 4,021
XML 43 R35.htm IDEA: XBRL DOCUMENT v2.4.0.8
Investments - Composition of income from securities transactions (Details 1) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Investments, Debt and Equity Securities [Abstract]    
Dividend income $ 39 $ 37
Interest income 3  
Other (1) 1
Total income from securities transactions, net $ 41 $ 38
XML 44 R22.htm IDEA: XBRL DOCUMENT v2.4.0.8
Organization and Summary of Significant Accounting Policies (Tables)
3 Months Ended
Jul. 31, 2014
Organization, Consolidation and Presentation Of Financial Statements [Abstract]  
Schedule of levels of fair value measurements of investments
   
As of July 31, 2014
 
($ in thousands)
 
Level 1
   
Level 2
   
Level 3
   
Total
 
Cash equivalents
  $ 6,466     $ -     $ -     $ 6,466  
Securities available-for-sale
    9,095       -       -       9,095  
    $ 15,561     $ -     $ -     $ 15,561  
  
   
As of April 30, 2014
 
($ in thousands)
 
Level 1
   
Level 2
   
Level 3
   
Total
 
Cash equivalents
  $ 5,482     $ -     $ -     $ 5,482  
Securities available-for-sale
    9,226       -       -       9,226  
    $ 14,708     $ -     $ -     $ 14,708
XML 45 R36.htm IDEA: XBRL DOCUMENT v2.4.0.8
Investments - Components of EAM's investment management operations (Details 2) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Schedule of Investments [Line Items]    
Value Line's non-voting revenues interest $ 1,833 $ 1,598
EAM's net income 2,036 1,445
EAM Trust
   
Schedule of Investments [Line Items]    
Investment management fees earned from the Value Line Funds, net of fee waivers 3,787 3,485
12b-1 fees and other fees, net of fee waivers 1,360 1,119
Other income 5 2
Investment management fee waivers 28 [1] 24 [1]
12b-1 fee waivers 395 [1] 523 [1]
Value Line's non-voting revenues interest 1,833 1,598
EAM's net income $ 378 [2] $ 343 [2]
[1] During fiscal 2015, investment management fee waivers primarily related to the U.S. Government Money Market Fund ("USGMMF") which was merged into a third party fund, the Daily Income Fund, managed by Reich & Tang, effective October 19, 2012. During fiscal 2015 and 2014, the 12b-1 fee waivers related to one of the Value Line Mutual Fixed Income Funds, respectively.
[2] Represents EAM's net income, after giving effect to Value Line's non-voting revenues interest, but before distributions to voting profits interest holders and to the Company in respect of its 50% non-voting profits interest.
XML 46 R24.htm IDEA: XBRL DOCUMENT v2.4.0.8
Variable Interest Entity (Tables)
3 Months Ended
Jul. 31, 2014
Variable Interest Entity [Abstract]  
Schedule of total assets, the maximum exposure to loss, value of the assets and liabilities in EAM
 
Value Line
Maximum
Investment in
Exposure to
($ in thousands)
VIE Assets
EAM Trust (1)
Liabilities
Loss
As of July 31, 2014 (unaudited)
$ 59,931 $ 57,985 $ - $ 57,985
As of April 30, 2014
$ 59,965 $ 57,850 $ - $ 57,850
 
(1) Reported within Long Term Assets on the Consolidated Condensed Balance Sheets.
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Consolidated Condensed Statement of Changes in Shareholders' Equity (unaudited) (USD $)
In Thousands, except Share data, unless otherwise specified
Common stock
Additional paid-in capital
Treasury stock
Retained earnings
Accumulated other comprehensive income/(loss)
Total
Balance at Apr. 30, 2013 $ 1,000 $ 991 $ (1,572) $ 32,315 $ 251 $ 32,985
Balance (in shares) at Apr. 30, 2013 10,000,000   (123,572)      
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Net income       1,445   1,445
Change in unrealized gains on securities, net of taxes         (3) (3)
Purchase of treasury stock     (226)     (226)
Purchase of treasury stock (in shares)     (25,723)      
Dividends declared       (1,478)   (1,478)
Balance at Jul. 31, 2013 1,000 991 (1,798) 32,282 248 32,723
Balance (in shares) at Jul. 31, 2013 10,000,000   (149,295)      
Balance at Apr. 30, 2014 1,000 991 (2,122) 33,183 246 33,298
Balance (in shares) at Apr. 30, 2014 10,000,000   (182,071)      
Increase (Decrease) in Stockholders' Equity [Roll Forward]            
Net income       2,036   2,036
Change in unrealized gains on securities, net of taxes         (85) (85)
Purchase of treasury stock     (42)     (42)
Purchase of treasury stock (in shares)     (3,053)     (3,053)
Dividends declared       (1,472)   (1,472)
Balance at Jul. 31, 2014 $ 1,000 $ 991 $ (2,164) $ 33,747 $ 161 $ 33,735
Balance (in shares) at Jul. 31, 2014 10,000,000   (185,124)      
XML 49 R3.htm IDEA: XBRL DOCUMENT v2.4.0.8
Consolidated Condensed Balance Sheets (Parentheticals) (USD $)
In Thousands, except Share data, unless otherwise specified
Jul. 31, 2014
Apr. 30, 2014
Statement Of Financial Position [Abstract]    
Short term investments (in dollars) $ 6,506 $ 5,482
Allowance for doubtful accounts (in dollars) $ 31 $ 39
Common stock, par value (in dollars per share) $ 0.10 $ 0.10
Common stock, shares authorized 30,000,000 30,000,000
Common stock, shares issued 10,000,000 10,000,000
Treasury stock, shares 185,124 182,071 [1],[2],[3]
[1] Includes 18,400 shares with a total average cost of $354,000 that were acquired prior to the repurchase program authorized in January 2011.
[2] Includes 85,219 shares with a total average cost of $1,036,000 that were acquired during the former repurchase program, which was authorized in January 2011 and expired in January 2012.
[3] Includes 19,953 shares with a total average cost of $182,000 that were acquired during the current repurchase program authorized in September 2012.
XML 50 R17.htm IDEA: XBRL DOCUMENT v2.4.0.8
Property and Equipment
3 Months Ended
Jul. 31, 2014
Property, Plant and Equipment [Abstract]  
Property and Equipment
Note 9 - Property and Equipment:
 
Property and equipment are carried at cost. Depreciation and amortization are provided using the straight-line method over the estimated useful lives of the assets, or in the case of leasehold improvements, over the remaining terms of the leases. For income tax purposes, depreciation of furniture and equipment is computed using accelerated methods and buildings and leasehold improvements are depreciated over prescribed extended tax lives. Property and equipment, net, on the Consolidated Condensed Balance Sheets was comprised of the following:
   
July 31,
   
April 30,
 
($ in thousands)
 
2014
   
2014
 
Land
  $ 726     $ 726  
Building and leasehold improvements
    5,024       5,024  
Furniture and equipment
    5,157       5,312  
      10,907       11,062  
Accumulated depreciation and amortization
    (7,043 )     (7,199 )
Total property and equipment, net
  $ 3,864     $ 3,863  
XML 51 R1.htm IDEA: XBRL DOCUMENT v2.4.0.8
Document and Entity Information
3 Months Ended
Jul. 31, 2014
Aug. 25, 2014
Document and Entity Information [Abstract]    
Entity Registrant Name VALUE LINE INC  
Entity Central Index Key 0000717720  
Trading Symbol valu  
Current Fiscal Year End Date --04-30  
Entity Filer Category Non-accelerated Filer  
Entity Common Stock, Shares Outstanding   9,814,876
Document Type 10-Q  
Document Period End Date Jul. 31, 2014  
Amendment Flag false  
Document Fiscal Year Focus 2015  
Document Fiscal Period Focus Q1  
XML 52 R18.htm IDEA: XBRL DOCUMENT v2.4.0.8
Accounting for the Costs of Computer Software Developed for Internal Use
3 Months Ended
Jul. 31, 2014
Internal Use Software [Abstract]  
Accounting for the Costs of Computer Software Developed for Internal Use
Note 10 - Accounting for the Costs of Computer Software Developed for Internal Use:
 
The Company has adopted the provisions of the Statement of Position 98-1 (SOP 98-1), “Accounting for the Costs of Computer Software Developed for Internal Use”. SOP 98-1 requires companies to capitalize as long-lived assets many of the costs associated with developing or obtaining software for internal use and amortize those costs over the software’s estimated useful life in a systematic and rational manner.
 
The Company capitalized $528,000 and $586,000 related to the development of software for internal use for the three months ended July 31, 2014 and 2013, respectively, of which $527,000 and $574,000 related to development costs for the digital production software project and $1,000 and $12,000 related to a new fulfillment system, respectively. Total capitalized software includes $305,000 and $445,000 of internal costs to develop software and $223,000 and $141,000 of third party programmers’ costs for the three months ended July 31, 2014, and July 31, 2013, respectively. Such costs are capitalized and amortized over the expected useful life of the asset which is 5 years. Total amortization expenses for the three months ended July 31, 2014 and July 31, 2013, were $533,000 and $402,000, respectively.
XML 53 R4.htm IDEA: XBRL DOCUMENT v2.4.0.8
Consolidated Condensed Statements of Income (unaudited) (USD $)
In Thousands, except Share data, unless otherwise specified
3 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Revenues:    
Investment periodicals and related publications $ 8,273 $ 8,196
Copyright data fees 797 756
Total revenues 9,070 8,952
Expenses:    
Advertising and promotion 975 1,043
Salaries and employee benefits 4,115 3,900
Production and distribution 1,640 1,542
Office and administration 1,278 1,998
Total expenses 8,008 8,483
Income from operations 1,062 469
Revenues and profits interests in EAM Trust 2,022 1,769
Income from securities transactions, net 41 38
Income before income taxes 3,125 2,276
Income tax provision 1,089 831
Net income $ 2,036 $ 1,445
Earnings per share, basic & fully diluted (in dollars per share) $ 0.21 $ 0.15
Weighted average number of common shares (in shares) 9,815,175 9,863,388
XML 54 R12.htm IDEA: XBRL DOCUMENT v2.4.0.8
Supplementary Cash Flow Information
3 Months Ended
Jul. 31, 2014
Supplemental Cash Flow Elements [Abstract]  
Supplementary Cash Flow Information
Note 4 - Supplementary Cash Flow Information:
             
   
Three Months Ended July 31,
 
($ in thousands)
 
2014
   
2013
 
State and local income tax payments
  $ 86     $ -  
Federal income tax payments to the Parent
  $ -     $ -
XML 55 R11.htm IDEA: XBRL DOCUMENT v2.4.0.8
Variable Interest Entity
3 Months Ended
Jul. 31, 2014
Variable Interest Entity [Abstract]  
Variable Interest Entity
Note 3 - Variable Interest Entity
 
The Company retained a non-voting revenues interest and a 50% non-voting profits interest in EAM, which was formed, as a result of the Restructuring Transaction on December 23, 2010, to carry on the asset management and mutual fund distribution businesses formerly conducted by the Company. EAM is considered to be a VIE. The Company makes its determination for consolidation of EAM as a VIE based on a qualitative assessment of the purpose and design of EAM, the terms and characteristics of the variable interests in EAM, and the risks EAM is designed to originate and pass through to holders of variable interests. Other than EAM, the Company does not have an interest in any other VIEs.
 
The Company has determined that it does not have a controlling financial interest in EAM because it does not have the power to direct the activities of EAM that most significantly impact its economic performance. Value Line does not hold any voting stock of EAM and it does not have any involvement in the day-to-day activities or operations of EAM. Although the EAM Trust Agreement provides Value Line with certain consent rights and contains certain restrictive covenants related to the activities of EAM, these are considered to be protective rights and therefore Value Line does not maintain control over EAM.
 
In addition, although EAM is expected to be profitable, there is a risk that it could operate at a loss. While all of the profit interest shareholders in EAM are subject to variability based on EAM’s operations risk, Value Line’s non-voting revenues interest in EAM is a preferred interest in the revenues of EAM, rather than a profits interest in EAM, and Value Line accordingly believes it is subject to proportionately less risk than other holders of the profits interests.
 
The Company has not provided any explicit or implicit financial or other support to EAM other than what was contractually agreed to in the EAM Trust Agreement. Value Line has no obligation to fund EAM in the future and, as a result, has no exposure to loss beyond its initial investment and any undistributed revenues and profits interests retained in EAM. The following table presents the total assets of EAM, the maximum exposure to loss due to involvement with EAM, as well as the value of the assets and liabilities the Company has recorded on its Consolidated Condensed Balance Sheets for its interest in EAM.
 
          Value Line  
                   
Maximum
 
         
Investment in
         
Exposure to
 
($ in thousands)
 
VIE Assets
   
EAM Trust (1)
   
Liabilities
   
Loss
 
As of July 31, 2014 (unaudited)
  $ 59,931     $ 57,985     $ -     $ 57,985  
As of April 30, 2014
  $ 59,965     $ 57,850     $ -     $ 57,850  
 
(1)  Reported within Long Term Assets on the Consolidated Condensed Balance Sheets.
XML 56 R23.htm IDEA: XBRL DOCUMENT v2.4.0.8
Investments (Tables)
3 Months Ended
Jul. 31, 2014
Investments, Debt and Equity Securities [Abstract]  
Schedule of carrying value and fair value of securities available-for-sale
The carrying value and fair value of securities available-for-sale at July 31, 2014 were as follows:
 
               
Gross
       
         
Gross Unrealized
   
Unrealized
       
($ in thousands)
 
Cost
   
Gains
   
Losses
   
Fair Value
 
Common stocks
  $ 101     $ 48     $ (2 )   $ 147  
ETFs - equities
    3,878       1,218       (2 )     5,094  
Inverse ETFs - equities
    4,868       -       (1,014 )     3,854  
    $ 8,847     $ 1,266     $ (1,018 )   $ 9,095  
 
The carrying value and fair value of securities available-for-sale at April 30, 2014 were as follows:
 
($ in thousands)
 
Cost
   
Gross Unrealized
Gains
   
Gross
Unrealized
Losses
   
Fair Value
 
Common stocks
  $ 101     $ 47     $ (12 )   $ 136  
ETFs - equities
    3,878       1,280       (2 )     5,156  
Inverse ETFs - equities
    4,868       -       (934 )     3,934  
    $ 8,847     $ 1,327     $ (948 )   $ 9,226  
Schedule of income from securities transactions
         
Three Months Ended July 31,
 
($ in thousands)
       
2014
   
2013
 
Dividend income
        $ 39     $ 37  
Interest income
          3       -  
Other
          (1 )     1  
Total income from securities transactions, net
        $ 41     $ 38  
Schedule of components of EAM's investment management operations
   
three Months Ended July 31,
 
($ in thousands) (unaudited)
 
2014
   
2013
 
Investment management fees earned from the Value Line Funds, net of fee waivers
  $ 3,787     $ 3,485  
12b-1 fees and other fees, net of fee waivers
  $ 1,360     $ 1,119  
Other income
  $ 5     $ 2  
Investment management fee waivers (1)
  $ 28     $ 24  
12b-1 fee waivers (1)
  $ 395     $ 523  
Value Line’s non-voting revenues interest
  $ 1,833     $ 1,598  
EAM’s net income (2)
  $ 378     $ 343  
 
(1) During fiscal 2015, investment management fee waivers primarily related to the U.S. Government Money Market Fund (“USGMMF”) which was merged into a third party fund, the Daily Income Fund, managed by Reich & Tang, effective October 19, 2012.  During fiscal 2015 and 2014, the 12b-1 fee waivers related to one of the Value Line Mutual Fixed Income Funds, respectively.
 
(2) Represents EAM’s net income, after giving effect to Value Line’s non-voting revenues interest, but before distributions to voting profits interest holders and to the Company in respect of its 50% non-voting profits interest.
Schedule of assets and liabilities
($ in thousands)
 
July 31,
2014
   
April 30,
2014
 
   
(unaudited)     
       
EAM’s total assets
  $ 59,931     $ 59,965  
EAM’s total liabilities (1)
    (3,054 )     (3,158 )
EAM’s total equity
  $ 56,877     $ 56,807  
 
(1) At July 31, 2014 and April 30, 2014, EAM’s total liabilities included a payable to VLI for its accrued non-voting revenues and non-voting profits interests of $2,003,000 and $1,887,000, respectively.
XML 57 R19.htm IDEA: XBRL DOCUMENT v2.4.0.8
Treasury Stock and Repurchase Program
3 Months Ended
Jul. 31, 2014
Treasury Stock [Abstract]  
Treasury Stock and Repurchase Program
Note 11 - Treasury Stock and Repurchase Program:
 
On September 19, 2012, the Company’s Board of Directors approved a share repurchase program authorizing the repurchase of shares of the Company’s common stock up to an aggregate purchase price of $3,000,000. The repurchases may be made from time to time on the open market at prevailing market prices, in negotiated transactions off the market, in block purchases or otherwise. The repurchase program may be suspended or discontinued at any time at the Company’s discretion and has no set expiration date.
 
Treasury stock, at cost, consists of the following:
                         
         
Total Average
   
Average Cost
   
Aggregate Purchase Price
 
(in thousands except for shares and cost per share)
 
Shares
   
Cost Assigned
   
per Share
   
Remaining Under the Program
 
Balance as of April 30, 2014 (1)(2)(3)
    182,071     $ 2,122     $ 11.65     $ 2,267  
Purchases effected in open market during the quarters ended:
                               
July 31, 2014
    3,053       42     $ 13.76     $ 2,225  
Balance as of July 31, 2014
    185,124     $ 2,164     $ 11.69          
 
(1) Includes 18,400 shares with a total average cost of $354,000 that were acquired prior to the repurchase program authorized in January 2011.
(2) Includes 85,219 shares with a total average cost of $1,036,000 that were acquired during the former repurchase program, which was authorized in January 2011 and expired in January 2012.
(3) Includes 19,953 shares with a total average cost of $182,000 that were acquired during the current repurchase program authorized in September 2012.
XML 58 R15.htm IDEA: XBRL DOCUMENT v2.4.0.8
Related Party Transactions
3 Months Ended
Jul. 31, 2014
Related Party Transactions [Abstract]  
Related Party Transactions
Note 7 - Related Party Transactions:
 
Investment Management (overview):
 
On December 23, 2010, the Company deconsolidated its asset management and mutual fund distribution businesses and its interest in these businesses was restructured as a non-voting revenues and non-voting profits interests in EAM. Accordingly, the Company no longer reports this operation as a separate business segment, although it still maintains a significant interest in the cash flows generated by this business and will receive non-voting revenues and non-voting profits interests going forward, as discussed below. Total assets in the Value Line Funds managed and/or distributed by EAM at July 31, 2014, were $2.3 billion, 3.5% above total assets of $2.2 billion in the Value Line Funds managed and/or distributed by EAM at July 31, 2013. The increase is primarily a result of net appreciation in equity assets under management partially offset by redemptions net of sales within the Value Line funds.
 
The Company’s non-voting revenues and non-voting profits interests in EAM entitle it to receive quarterly distributions in a range of 41% to 55% of EAM’s revenues (excluding distribution revenues) from EAM’s mutual fund and separate account business and at least 90% of the Company’s 50% interest in the residual profits of EAM which are payable each fiscal quarter under the provisions of the EAM Trust Agreement. Value Line’s percent share of EAM’s revenues calculated each fiscal quarter was 49.18% and 46.66% during the first quarter o fiscal 2015 and 2014, respectively. The distributable amounts earned through the balance sheet date, which is included in the Investment in EAM Trust on the Consolidated Condensed Balance Sheets, and not yet paid, were $1,833,000 and $1,887,000 at July 31, 2014 and April 30, 2014, respectively.
 
EAM Trust - VLI’s non-voting revenues and non-voting profits interests:
 
The Company holds non-voting revenues and non-voting profits interests in EAM which entitle the Company to receive from EAM an amount ranging from 41% to 55% of EAM’s investment management fee revenues from its mutual fund and separate accounts business. EAM currently has no separately managed account clients. The Company recorded income from its non-voting revenues interest and its non-voting profits interest in EAM as follows:
 
   
Three Months Ended July 31,
 
($ in thousands)
 
2014
   
2013
 
Non-voting revenues interest in EAM
  $ 1,833     $ 1,598  
Non-voting profits interest in EAM
    189       171  
    $ 2,022     $ 1,769  
 
Transactions with Parent:
 
During the three months ended July 31, 2014 and July 31, 2013, the Company was reimbursed $41,000 and $51,000, respectively, for payments it made on behalf of and for services the Company provided to the Parent. There were no receivables from affiliates including receivables from the Parent on the Consolidated Condensed Balance Sheets at July 31, 2014 and April 30, 2014.
 
The Company is a party to a tax-sharing arrangement with the Parent which allocates the tax liabilities of the two Companies between them. The Company made no federal tax payments made to the Parent during the three months ended July 31, 2014 and July 31, 2013, respectively.
 
From time to time, the Parent has purchased additional shares of common stock of the Company in the market when and as the Parent has determined it to be appropriate. The Parent may make additional purchases of common stock of the Company from time to time in the future. As of July 31, 2014, the Parent owned 87.98% of the outstanding shares of common stock of the Company.
XML 59 R13.htm IDEA: XBRL DOCUMENT v2.4.0.8
Employees' Profit Sharing and Savings Plan
3 Months Ended
Jul. 31, 2014
Compensation Related Costs [Abstract]  
Employees' Profit Sharing and Savings Plan
Note 5 - Employees Profit Sharing and Savings Plan:
 
Substantially all employees of the Company and its subsidiaries are members of the Value Line, Inc. Profit Sharing and Savings Plan (the Plan). In general, this is a qualified, contributory plan which provides for a discretionary annual Company contribution which is determined by a formula based on the salaries of eligible employees and the amount of consolidated net operating income as defined in the Plan. For the three months ended July 31, 2014 and July 31, 2013, the estimated profit sharing plan contribution, which is included as an expense in salaries and employee benefits in the Consolidated Condensed Statements of Income, was $100,000 and $83,000, respectively.
XML 60 R14.htm IDEA: XBRL DOCUMENT v2.4.0.8
Comprehensive Income
3 Months Ended
Jul. 31, 2014
Comprehensive Income (Loss) Note [Abstract]  
Comprehensive Income
Note 6 - Comprehensive Income:
 
The FASB’s ASC Comprehensive Income topic requires the reporting of comprehensive income in addition to net income from operations. Comprehensive income is a more inclusive financial reporting methodology that includes disclosure of certain financial information that otherwise would not be recognized in the calculation of net income.
 
Beginning in fiscal 2013, the Company adopted the provisions of Accounting Standards Update 2011-05 to reflect comprehensive income in two statements which include the components of net income and total net income in the first statement, immediately followed by a financial statement that presents the components of other comprehensive income, a total for other comprehensive income and a total for comprehensive income.
 
As of July 31, 2014 and July 31, 2013, the Company held equity securities consisting primarily of ETFs with high relative dividend yields that are classified as securities available-for-sale on the Consolidated Condensed Balance Sheets. Additionally, as of Jul 31, 2014 and July 31, 2013, the Company held non-leveraged ETFs, classified as securities available-for-sale, whose performance inversely corresponds to the market value changes of investments in other ETF securities held in the equity portfolio for dividend yield. The change in valuation of these securities, net of deferred income taxes, has been recorded in accumulated other comprehensive income in the Company’s Consolidated Condensed Balance Sheets.
 
The components of comprehensive income included in the Consolidated Condensed Statements of Income and Changes in Shareholders’ Equity for the three months ended July 31, 2014 are as follows:
 
   
Amount Before
         
Amount Net of
 
($ in thousands)
 
Tax
   
Tax Benefit
   
Tax
 
Change in unrealized gains on securities
  $ (131 )   $ 46     $ (85 )
                         
    $ (131 )   $ 46     $ (85 )
 
The components of comprehensive income included in the Consolidated Condensed Statements of Income and Changes in Shareholders’ Equity for the three months ended July 31, 2013 are as follows:
 
   
Amount Before
         
Amount Net of
 
($ in thousands)
 
Tax
 
Tax Benefit
   
Tax
 
Change in unrealized gains on securities
  $ (4 )   $ 1     $ (3 )
                         
    $ (4 )   $ 1     $ (3 )
XML 61 R16.htm IDEA: XBRL DOCUMENT v2.4.0.8
Federal, State and Local Income Taxes
3 Months Ended
Jul. 31, 2014
Income Tax Disclosure [Abstract]  
Federal, State and Local Income Taxes
Note 8 - Federal, State and Local Income Taxes:
 
In accordance with the requirements of the Income Tax Topic of the FASB’s ASC, the Company’s provision for income taxes includes the following:
       
   
Three Months Ended July 31,
 
($ in thousands)
 
2014
   
2013
 
Current tax expense:
           
Federal
  $ 869     $ 216  
State and local
    90       28  
Current tax expense
    959       244  
Deferred tax expense:
               
Federal
    106       506  
State and local
    24       81  
Deferred tax expense
    130       587  
Income tax provision:
  $ 1,089     $ 831  
 
 
Deferred income taxes are provided for temporary differences between the financial reporting basis and the tax basis of the Company’s assets and liabilities. The tax effect of temporary differences giving rise to the Company’s deferred tax asset and deferred tax liability are as follows:
             
   
July 31,
   
April 30,
 
($ in thousands)
 
2014
   
2014
 
Federal tax benefit (liability):
           
Unrealized gains on securities available-for-sale
  $ (87 )   $ (134 )
Operating lease deferred obligation
    70       70  
Deferred professional fees
    30       36  
Deferred charges
    305       327  
Total federal tax benefit
    318       299  
                 
State and local tax benefits:
               
Other
    66       65  
Total state and local tax benefits
    66       65  
Deferred tax asset, short term
  $ 384     $ 364  
 
             
   
July 31,
   
April 30,
 
($ in thousands)
 
2014
   
2014
 
Federal tax liability (benefit):
           
Deferred gain on deconsolidation of EAM
  $ 17,679     $ 17,679  
Deferred non-cash post-employment compensation
    (619 )     (619 )
Depreciation and amortization
    2,490       2,416  
Other
    466       646  
Total federal tax liability
    20,016       20,122  
                 
State and local tax liabilities (benefits):
               
Deferred gain on deconsolidation of EAM
    2,181       2,181  
Deferred non-cash post-employment compensation
    (76 )     (76 )
Depreciation and amortization
    308       298  
Deferred professional fees
    (15 )     (5 )
Total state and local tax liabilities
    2,398       2,398  
Deferred tax liability, long term
  $ 22,414     $ 22,520  
 
At the end of each interim reporting period, the Company estimates the effective income tax rate to apply for the full fiscal year. The Company uses the effective income tax rate determined to provide for income taxes on a year-to-date basis and reflects the tax effect of any tax law changes and certain other discrete events in the period in which they occur.
 
The overall effective income tax rate, as a percentage of pre-tax ordinary income for the three months ended July 31, 2014 and July 31, 2013 was 34.86% and 36.51%, respectively. The Company’s annual effective tax rate may change due to a number of factors including but not limited to an increase or decrease in the ratio of items that do not have tax consequences to pre-tax income, the Company’s geographic profit mix between tax jurisdictions, new tax laws, new interpretations of existing tax laws and rulings by and settlements with tax authorities. The fluctuation in the effective income tax rate during fiscal 2015 is primarily attributable to a lower percentage of income subject to state and local taxes and an increase in the dividends received deduction.
 
The provision for income taxes differs from the amount of income tax determined by applying the applicable U.S. statutory income tax rate to pretax income as a result of the following:
       
   
Three Months Ended July 31,
 
   
2014
   
2013
 
U.S. statutory federal rate
    35.00 %     35.00 %
Increase (decrease) in tax rate from:
               
State and local income taxes, net of federal income tax benefit
    2.37 %     2.24 %
Effect of dividends received deductions
    -0.29 %     -0.37 %
Domestic production tax credit
    -0.65 %     -  
Other, net
    -1.57 %     -0.36 %
Effective income tax rate
    34.86 %     36.51 %
 
The Company believes that, as of July 31, 2014, there were no material uncertain tax positions that would require disclosure under GAAP.
 
The Company is included in the consolidated federal income tax return of the Parent. The Company has a tax sharing agreement which requires it to make tax payments to the Parent equal to the Company’s liability/(benefit) as if it filed a separate return.
 
The Company’s federal income tax returns (included in the Parent’s consolidated returns) and state and city tax returns for fiscal years 2013 2012, and 2011 are subject to examination by the tax authorities, generally for three years after they were filed with the tax authorities. During May 2014, New York City concluded its examination of the Company’s income tax returns for the three years through fiscal year 2011, which resulted in no changes that had any adverse effect on the Company’s financial statements. The Company’s tax returns for the fiscal years ended April 30, 2013 and 2012 are being examined by the Internal Revenue Service (IRS). The Company does not expect the audit examination to have a material effect on its financial statements.
XML 62 R34.htm IDEA: XBRL DOCUMENT v2.4.0.8
Investments - Carrying value and fair value of securities available-for-sale (Details) (USD $)
In Thousands, unless otherwise specified
Jul. 31, 2014
Apr. 30, 2014
Schedule of Available-for-sale Securities [Line Items]    
Cost $ 8,847 $ 8,847
Gross Unrealized Gains 1,266 1,327
Gross Unrealized Losses (1,018) (948)
Fair Value 9,095 9,226
Common stocks
   
Schedule of Available-for-sale Securities [Line Items]    
Cost 101 101
Gross Unrealized Gains 48 47
Gross Unrealized Losses (2) (12)
Fair Value 147 136
ETFs - equities
   
Schedule of Available-for-sale Securities [Line Items]    
Cost 3,878 3,878
Gross Unrealized Gains 1,218 1,280
Gross Unrealized Losses (2) (2)
Fair Value 5,094 5,156
Inverse ETFs - equities
   
Schedule of Available-for-sale Securities [Line Items]    
Cost 4,868 4,868
Gross Unrealized Gains      
Gross Unrealized Losses (1,014) (934)
Fair Value $ 3,854 $ 3,934
XML 63 R51.htm IDEA: XBRL DOCUMENT v2.4.0.8
Property and Equipment - Components of property and equipment, net (Details) (USD $)
In Thousands, unless otherwise specified
Jul. 31, 2014
Apr. 30, 2014
Property, Plant and Equipment [Abstract]    
Land $ 726 $ 726
Building and leasehold improvements 5,024 5,024
Furniture and equipment 5,157 5,312
Property and equipment, gross 10,907 11,062
Accumulated depreciation and amortization (7,043) (7,199)
Total property and equipment, net $ 3,864 $ 3,863
XML 64 R21.htm IDEA: XBRL DOCUMENT v2.4.0.8
Organization and Summary of Significant Accounting Policies (Policies)
3 Months Ended
Jul. 31, 2014
Organization, Consolidation and Presentation Of Financial Statements [Abstract]  
Use of Estimates
Use of Estimates:
 
The preparation of financial statements in conformity with U.S. generally accepted accounting principles (“GAAP”) requires management to make estimates and assumptions that affect certain reported amounts and disclosures. Accordingly, actual results may differ from those estimates.
Principles of Consolidation
Principles of Consolidation:
 
The Company follows the guidance in the Financial Accounting Standards Board’s (“FASB”) Topic 810 “Consolidation” to determine if it should consolidate its investment in a variable interest entity (“VIE”). A VIE is a legal entity in which either (i) equity investors do not have sufficient equity investment at risk to enable the entity to finance its activities independently or (ii) the equity holders at risk lack the obligation to absorb losses, the right to receive residual returns or the right to make decisions about the entity’s activities that most significantly affect the entity’s economic performance. A holder of a variable interest in a VIE is required to consolidate the entity if it is determined that it has a controlling financial interest in the VIE and is therefore the primary beneficiary. The determination of a controlling financial interest in a VIE is based on a qualitative assessment to identify the variable interest holder, if any, that has (i) the power to direct the activities of the VIE that most significantly impact the VIE’s economic performance, and (ii) either the obligation to absorb losses of the entity or the right to receive benefits from the entity that could potentially be significant to the VIE. The accounting guidance requires the Company to perform an ongoing assessment of whether the Company is the primary beneficiary of a VIE and the Company has determined it is not the primary beneficiary of a VIE (see Note 3).
 
In accordance with FASB’s Topic 810, the assets, liabilities, and results of operations of subsidiaries in which the Company has a controlling interest have been consolidated. All significant intercompany accounts and transactions have been eliminated in consolidation. On December 23, 2010, the Company completed the deconsolidation of the investment management related affiliates (the “Restructuring Transaction”) in accordance with FASB’s Topic 810. As part of the Restructuring Transaction, the Company received a significant non-voting revenues interest (excluding distribution revenues) and a significant non-voting profits interest in the new entity, EULAV Asset Management, a Delaware statutory trust (“EAM” or “EAM Trust”). The Company relied on the guidance in FASB’s ASC Topics 323 and 810 in its determination not to consolidate its investment in EAM and to account for such investment under the equity method of accounting. The Company reports the amount it receives for its non-voting revenues and non-voting profits interests as a separate line item below operating income in the Consolidated Condensed Statements of Income.
Revenue Recognition
Revenue Recognition:
 
Depending upon the product, subscriptions to Value Line periodicals and related publications are available in print or digitally, via internet access. The length of a subscription varies by product and offer received by the subscriber. Generally, subscriptions are offered as annual subscriptions. Subscription revenues, net of discounts, are recognized ratably on a straight line basis when the product is served to the client over the life of the subscription. Accordingly, the amount of subscription fees to be earned by fulfilling subscriptions after the date of the balance sheets are shown as unearned revenue within current and long term liabilities.
 
Copyright data revenues are derived from providing certain Value Line trademarks and Value Line Proprietary Ranking System information to third parties under written agreements for use in selecting securities for third party marketed products, including unit investment trusts, annuities and exchange traded funds (“ETFs”). The Company earns asset-based copyright data fees as specified in the individual agreements. Revenue is recognized monthly over the term of the agreement and, because it is asset-based, will fluctuate as the market value of the underlying portfolio increases or decreases in value.
Investment in Unconsolidated Entities
Investment in Unconsolidated Entities:
 
The Company accounts for its investment in its unconsolidated entity, EAM, using the equity method of accounting in accordance with FASB’s ASC 323. The equity method is an appropriate means of recognizing increases or decreases measured by GAAP in the economic resources underlying the investments. Under the equity method, an investor recognizes its share of the earnings or losses of an investee in the periods for which they are reported by the investee in its financial statements rather than in the period in which an investee declares a dividend or distribution. An investor adjusts the carrying amount of an investment for its share of the earnings or losses recognized by the investee.
 
The Company’s “interests” in EAM, the investment adviser to and the sole member of the distributor of the Value Line Funds, consist of a “non-voting revenues interest” and a “non-voting profits interest” in EAM as defined in the EAM Trust Agreement. The non-voting revenues interest entitles the Company to receive a range of 41% to 55%, based on the amount of EAM’s adjusted gross revenues, excluding ES’s distribution revenues (“Revenues Interest”). The non-voting profits interest entitles the Company to receive 50% of EAM’s profits, subject to certain limited adjustments as defined in the EAM Trust Agreement (“Profits Interest”). The Revenues Interest and at least 90% of the Profits Interest are to be distributed each quarter to all interest holders of EAM, including Value Line. Subsequent to the Restructuring Date, the Company’s Revenues Interest in EAM excludes participation in the service and distribution fees of EAM’s subsidiary ES. The Company reflects its non-voting revenues and non-voting profits interests in EAM as non-operating income under the equity method of accounting subsequent to the Restructuring Transaction. Although the Company does not have control over the operating and financial policies of EAM, pursuant to the EAM Trust Agreement, the Company has a contractual right to receive its share of EAM’s revenues and profits.
Valuation of Securities
Valuation of Securities:
 
The Company’s securities classified as cash equivalents and available-for-sale consist of shares of money market funds that invest primarily in short-term U.S. Government securities, investments in equities including ETFs, and deposits in savings accounts at large commercial banks and are valued in accordance with the requirements of the Fair Value Measurements Topic of the FASB’s ASC 820. The securities classified as available-for-sale reflected in the Consolidated Condensed Balance Sheets are valued at market and unrealized gains and losses, net of applicable taxes, are reported as a separate component of shareholders’ equity. Realized gains and losses on sales of the securities classified as available-for-sale are recorded in earnings as of the trade date and are determined on the identified cost method.
 
The Company classifies its securities available-for-sale as current assets to properly reflect its liquidity and to recognize the fact that it has liquid assets available-for-sale should the need arise.
 
Market valuations of securities listed on a securities exchange and ETF shares are based on the closing sales prices on the last business day of each month. The market value of fixed maturity U.S. Government debt securities is determined utilizing publicly quoted market prices. Cash equivalents consist of investments in money market funds that invest primarily in U.S. Government securities valued in accordance with rule 2a-7 under the 1940 Act.
 
The Fair Value Measurements Topic of FASB’s ASC 820 defines fair value as the price that the Company would receive upon selling an investment in a timely transaction to an independent buyer in the principal or most advantageous market for the investment. The Fair Value Measurements Topic established a three-tier hierarchy to maximize the use of observable market data and minimize the use of unobservable inputs and to establish classification of fair value measurements for disclosure purposes. Inputs refer broadly to the information that market participants would use in pricing the asset or liability, including assumptions about risk. Examples of risks include those inherent in a particular valuation technique used to measure fair value such as the risk inherent in the inputs to the valuation technique. Inputs are classified as observable or unobservable. Observable inputs are inputs that reflect the assumptions market participants would use in pricing the asset or liability developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs are inputs that reflect the reporting entity’s own assumptions about the factors market participants would use in pricing the asset or liability developed based on the best information available in the circumstances.
 
The three-tier hierarchy of inputs is summarized in the three broad levels listed below.
Level 1 – quoted prices in active markets for identical investments
Level 2 – other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.)
Level 3 – significant unobservable inputs (including the Company’s own assumptions in determining the fair value of investments)
The following summarizes the levels of fair value measurements of the Company’s investments:
 
   
As of July 31, 2014
 
($ in thousands)
 
Level 1
   
Level 2
   
Level 3
   
Total
 
Cash equivalents
  $ 6,466     $ -     $ -     $ 6,466  
Securities available-for-sale
    9,095       -       -       9,095  
    $ 15,561     $ -     $ -     $ 15,561  
 
   
As of April 30, 2014
 
($ in thousands)
 
Level 1
   
Level 2
   
Level 3
   
Total
 
Cash equivalents
  $ 5,482     $ -     $ -     $ 5,482  
Securities available-for-sale
    9,226       -       -       9,226  
    $ 14,708     $ -     $ -     $ 14,708  
 
The Company had no other financial instruments such as futures, forwards and swap contracts. For the periods ended July 31, 2014 and April 30, 2014, there were no Level 2 nor Level 3 investments. The Company does not have any liabilities subject to fair value measurement.
Advertising expenses
Advertising expenses:
 
The Company expenses advertising costs as incurred.
Income Taxes
Income Taxes:
 
The Company computes its income tax provision in accordance with the Income Tax Topic of the FASB’s ASC. Deferred tax liabilities and assets are recognized for the expected future tax consequences of events that have been reflected in the Consolidated Condensed Financial Statements. Deferred tax liabilities and assets are determined based on the differences between the book values and the tax bases of particular assets and liabilities, using tax rates currently in effect for the years in which the differences are expected to reverse.
 
The Income Tax Topic of the FASB’s ASC establishes for all entities, a minimum threshold for financial statement recognition of the benefit of positions taken in filing tax returns (including whether an entity is taxable in a particular jurisdiction), and requires certain expanded tax disclosures. As of July 31, 2014, management has reviewed the tax positions for the years still subject to tax audit under the statute of limitations, evaluated the implications, and determined that there is no material impact to the Company’s financial statements.
Earnings per share
Earnings per share:
 
Earnings per share are based on the weighted average number of shares of common stock and common stock equivalents outstanding during each period. Any shares that are reacquired during the period are weighted for the portion of the period that they are outstanding. The Company does not have any potentially dilutive common shares from outstanding stock options, warrants, restricted stock, or restricted stock units.
Cash and Cash Equivalents
Cash and Cash Equivalents:
 
For purposes of the Consolidated Condensed Statements of Cash Flows, the Company considers all cash held at banks and short term liquid investments with an original maturity of less than three months to be cash and cash equivalents. As of July 31, 2014 and April 30, 2014, cash equivalents included $6,466,000 and $5,482,000, respectively, for amounts invested in savings accounts at commercial banks and investments in money market mutual funds that invest in short term U.S. government securities.
XML 65 R26.htm IDEA: XBRL DOCUMENT v2.4.0.8
Comprehensive Income (Tables)
3 Months Ended
Jul. 31, 2014
Comprehensive Income (Loss) Note [Abstract]  
Schedule of components of comprehensive income included in the consolidated condensed statements of income and changes in shareholders' equity
The components of comprehensive income included in the Consolidated Condensed Statements of Income and Changes in Shareholders’ Equity for the three months ended July 31, 2014 are as follows:
 
   
Amount Before
         
Amount Net of
 
($ in thousands)
 
Tax
   
Tax Benefit
   
Tax
 
Change in unrealized gains on securities
  $ (131 )   $ 46     $ (85 )
                         
    $ (131 )   $ 46     $ (85 )
 
The components of comprehensive income included in the Consolidated Condensed Statements of Income and Changes in Shareholders’ Equity for the three months ended July 31, 2013 are as follows:
 
   
Amount Before
         
Amount Net of
 
($ in thousands)
 
Tax
 
Tax Benefit
   
Tax
 
Change in unrealized gains on securities
  $ (4 )   $ 1     $ (3 )
                         
    $ (4 )   $ 1     $ (3 )
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Federal, State and Local Income Taxes - Provision for income taxes differs from the amount of income tax determined by applying the applicable U.S. statutory income tax rate (Details 2)
3 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Effective Income Tax Rate, Continuing Operations, Tax Rate Reconciliation [Abstract]    
U.S. statutory federal rate 35.00% 35.00%
Increase (decrease) in tax rate from:    
State and local income taxes, net of federal income tax benefit 2.37% 2.24%
Effect of dividends received deductions (0.29%) (0.37%)
Domestic production tax credit (0.65%)  
Other, net (1.57%) (0.36%)
Effective income tax rate 34.86% 36.51%
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Variable Interest Entity (Detail textuals) (EAM Trust)
3 Months Ended
Jul. 31, 2014
EAM Trust
 
Variable Interest Entity [Line Items]  
Non-voting profits interest in EAM 50.00%
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Consolidated Condensed Statements of Comprehensive Income (unaudited) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Statement Of Other Comprehensive Income [Abstract]    
Net income $ 2,036 $ 1,445
Other comprehensive income (loss), net of tax:    
Change in unrealized gains on securities, net of taxes (85) (3)
Other comprehensive income (loss) (85) (3)
Comprehensive income $ 1,951 $ 1,442
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Investments
3 Months Ended
Jul. 31, 2014
Investments, Debt and Equity Securities [Abstract]  
Investments
Note 2 - Investments:
 
Securities Available-for-Sale:
Investments held by the Company and its subsidiaries are classified as securities available-for-sale in accordance with FASB’s ASC 320, Investments - Debt and Equity Securities. All of the Company’s securities classified as available-for-sale are readily marketable and have a maturity of twelve months or less and are classified as current assets on the Consolidated Condensed Balance Sheets.
 
Equity Securities:
 
Equity securities classified as available-for-sale, consist of investments in common stocks, ETFs that attempt to replicate the performance of certain equity indexes, ETFs that attempt to replicate the inverse of the price performance of certain equity indexes and ETFs that hold preferred shares primarily of financial institutions. As of July 31, 2014 and April 30, 2014, the Company held equity securities consisting primarily of ETFs and select common stock holdings of blue chip companies with a concentration on large capitalization companies with high relative dividend yields, all classified as securities available-for-sale on the Consolidated Condensed Balance Sheets. Additionally, as of July 31, 2014 and April 30, 2014, the Company held non-leveraged ETFs, classified as securities available-for-sale, whose performance inversely corresponds to the market value changes of investments in other ETF securities held in the equity portfolio for dividend yield.
 
As of July 31, 2014 and April 30, 2014, the aggregate cost of the equity securities classified as available-for-sale, which consist of investments in the iShares Dow Jones Select Dividend Index (DVY), SPDR S&P Dividend (SDY), First Trust Value Line Dividend Index (FVD), PowerShares Financial Preferred (PGF), certain common shares, and inverse equity index ETFs, was $8,847,000 and $8,847,000, respectively, and the fair value was $9,095,000 and $9,226,000, respectively.
 
There were no sales or proceeds from sales of equity securities during the three months ended July 31, 2014 and July 31, 2013. The decrease in gross unrealized gains on equity securities classified as available-for-sale of $131,000, net of deferred taxes of $46,000 was included in Shareholders’ Equity at July 31, 2014. The decrease in gross unrealized gains on equity securities classified as available-for-sale of $4,000, net of deferred  taxes of $1,000 was included in Shareholders’ Equity at July 31, 2013.
 
The changes in the value of equity securities investments are recorded in Other Comprehensive Income in the Consolidated Condensed Financial Statements. Realized gains and losses are recorded as of the trade date in the Consolidated Condensed Statements of Income when securities are sold, mature or are redeemed. As of July 31, 2014 and April 30, 2014, accumulated other comprehensive income included unrealized gains of $248,000 and $379,000, net of deferred taxes of $87,000 and $133,000, respectively.
 
The carrying value and fair value of securities available-for-sale at July 31, 2014 were as follows:
 
               
Gross
       
         
Gross Unrealized
   
Unrealized
       
($ in thousands)
 
Cost
   
Gains
   
Losses
   
Fair Value
 
Common stocks
  $ 101     $ 48     $ (2 )   $ 147  
ETFs - equities
    3,878       1,218       (2 )     5,094  
Inverse ETFs - equities
    4,868       -       (1,014 )     3,854  
    $ 8,847     $ 1,266     $ (1,018 )   $ 9,095  
 
The carrying value and fair value of securities available-for-sale at April 30, 2014 were as follows:
 
($ in thousands)
 
Cost
   
Gross Unrealized
Gains
   
Gross
Unrealized
Losses
   
Fair Value
 
Common stocks
  $ 101     $ 47     $ (12 )   $ 136  
ETFs - equities
    3,878       1,280       (2 )     5,156  
Inverse ETFs - equities
    4,868       -       (934 )     3,934  
    $ 8,847     $ 1,327     $ (948 )   $ 9,226  
 
Income from Securities Transactions:
 
Income from securities transactions was comprised of the following:
 
         
Three Months Ended July 31,
 
($ in thousands)
       
2014
   
2013
 
Dividend income
        $ 39     $ 37  
Interest income
          3       -  
Other
          (1 )     1  
Total income from securities transactions, net
        $ 41     $ 38  
 
Investment in Unconsolidated Entities:
 
Equity Method Investment:
 
As of July 31, 2014 and April 30, 2014, the Company’s investment in EAM Trust, on the Consolidated Balance Sheets was $57,985,000 and $57,850,000, respectively.
 
The value of VLI’s investment in EAM at July 31, 2014 and April 30, 2014 reflects the fair value of contributed capital of $55,805,000 at inception which included $5,820,000 of cash and liquid securities in excess of working capital requirements contributed to EAM’s capital account by VLI, plus VLI’s share of non-voting revenues and non-voting profits from EAM less distributions, made quarterly to VLI by EAM, during the period subsequent to its initial investment through the dates of the Consolidated Condensed Balance Sheets.
 
It is anticipated that EAM will have sufficient liquidity and earn enough profit to conduct its current and future operations so the management of EAM will not need additional funding. Although the distributor had historically received, from the Value Line Funds under the compensation plans it had in place with the Funds, amounts in excess of its actual expenditures, in more recent years the distributor has been spending amounts on promotion of the Value Line Funds in excess of the compensation received from the Funds. Over time, EAM anticipates that its total future expenditures on such promotion will equal or exceed its total future revenues under the Funds’ distribution plans.  However, if that should not occur, EAM has no obligation to reimburse the Value Line Funds.
 
The Company monitors its investment in EAM Trust for impairment to determine whether an event or change in circumstances has occurred that may have a significant adverse effect on the fair value of the investment. Impairment indicators include, but are not limited to the following: (a) a significant deterioration in the earnings performance, asset quality, or business prospects of the investee, (b) a significant adverse change in the regulatory, economic, or technological environment of the investee, (c) a significant adverse change in the general market condition of the industry in which the investee operates, or (d) factors that raise significant concerns about the investee’s ability to continue as a going concern such as negative cash flows, working capital deficiencies, or noncompliance with statutory capital and regulatory requirements.  EAM did not record any impairment losses for its assets during the fiscal years 2015 or 2014.
 
The components of EAM’s investment management operations, provided to the Company by EAM, were as follows:
 
   
three Months Ended July 31,
 
($ in thousands) (unaudited)
 
2014
   
2013
 
Investment management fees earned from the Value Line Funds, net of fee waivers
  $ 3,787     $ 3,485  
12b-1 fees and other fees, net of fee waivers
  $ 1,360     $ 1,119  
Other income
  $ 5     $ 2  
Investment management fee waivers (1)
  $ 28     $ 24  
12b-1 fee waivers (1)
  $ 395     $ 523  
Value Line’s non-voting revenues interest
  $ 1,833     $ 1,598  
EAM’s net income (2)
  $ 378     $ 343  
 
(1) During fiscal 2015, investment management fee waivers primarily related to the U.S. Government Money Market Fund (“USGMMF”) which was merged into a third party fund, the Daily Income Fund, managed by Reich & Tang, effective October 19, 2012.  During fiscal 2015 and 2014, the 12b-1 fee waivers related to one of the Value Line Mutual Fixed Income Funds, respectively.
 
(2) Represents EAM’s net income, after giving effect to Value Line’s non-voting revenues interest, but before distributions to voting profits interest holders and to the Company in respect of its 50% non-voting profits interest.
 
($ in thousands)
 
July 31,
2014
   
April 30,
2014
 
   
(unaudited)     
       
EAM’s total assets
  $ 59,931     $ 59,965  
EAM’s total liabilities (1)
    (3,054 )     (3,158 )
EAM’s total equity
  $ 56,877     $ 56,807  
 
(1) At July 31, 2014 and April 30, 2014, EAM’s total liabilities included a payable to VLI for its accrued non-voting revenues and non-voting profits interests of $2,003,000 and $1,887,000, respectively.
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Related Party Transactions (Tables)
3 Months Ended
Jul. 31, 2014
Related Party Transactions [Abstract]  
Schedule of non voting revenues interest and non voting profits interests
   
Three Months Ended July 31,
 
($ in thousands)
 
2014
   
2013
 
Non-voting revenues interest in EAM
  $ 1,833     $ 1,598  
Non-voting profits interest in EAM
    189       171  
  $ 2,022     $ 1,769
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Investments (Detail Textuals) (USD $)
3 Months Ended
Jul. 31, 2014
Jul. 31, 2013
Apr. 30, 2014
Schedule of Available-for-sale Securities [Line Items]      
Aggregate cost of equity securities available for sale $ 8,847,000   $ 8,847,000
Fair value of equity securities 9,095,000   9,226,000
Increase (decreases) in gross unrealized gains on equity securities classified as available-for-sale (131,000) (4,000)  
Equity Securities
     
Schedule of Available-for-sale Securities [Line Items]      
Increase (decreases) in gross unrealized gains on equity securities classified as available-for-sale (131,000) (4,000)  
Deferred taxes on unrealized gains on securities 46,000 1,000  
Accumulated other comprehensive income, net of tax 248,000   379,000
Deferred taxes on accumulated other comprehensive income $ 87,000   $ 133,000
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Lease Commitments
3 Months Ended
Jul. 31, 2014
Commitments and Contingencies Disclosure [Abstract]  
Lease Commitments
Note 12 - Lease Commitments:
 
On February 7, 2013, the Company and Citibank, N.A. (the “Sublandlord”) entered into a sublease agreement, pursuant to which Value Line has leased approximately 44,493 square feet of office space located on the ninth floor at 485 Lexington Ave., New York, NY (“Building” or “Premises”) beginning on July 1, 2013 and ending on February 27, 2017 (“Sublease”). On August 16, 2013, the Company moved to the Building which became its new corporate office facility. Base rent under the Sublease is $1,468,269 per annum, subject to customary concessions in the Company’s favor and pass-through of certain increases in operating costs and real estate taxes. The Company provided a security deposit in cash in the amount of $489,423, which is to be partially returned over the course of the sublease term. The Company is required to pay for certain operating expenses associated with the Premises as well as utilities supplied to the Premises. The Sublease terms have provided for a significant decrease in the Company’s annual rental expenses. The Company recorded a deferred charge on its Consolidated Balance Sheets to reflect the excess of annual rental expense over cash payments since inception of the lease due to free rent for the first six months of the sublease.
 
The total amount of the base rent payments is being charged to expense on the straight-line method over the term of the lease.
 
Future minimum payments, exclusive of potential increases in real estate taxes and operating cost escalations, under operating leases for office space, with remaining terms of one year or more, are as follows:
 
Fiscal Years Ended April 30,  
Sublease
 
     
($ in thousands)
 
         
 
2016
    1,468  
 
2017
    1,224  
 
2018
    -  
 
2019
    -  
 
2020 and thereafter
    -  
      $ 2,692  
 
For the three months ended July 31, 2014 and 2013, rental expenses was $317,000 and $932,000, respectively. The rental expenses during fiscal 2014 included additional one time overlapping rent of $304,000 for the previously occupied office facilities during the short term lease extension which ended September 15, 2013. The additional rent was offset by a significant decrease in the Company’s annual rental expenses for the New York City office facility under the sublease terms between Value Line, Inc. and Citibank.