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Note 6 - Long-Term Debt (Tables)
12 Months Ended
Dec. 31, 2012
Schedule of Debt [Table Text Block]
   
December 31,
 
   
2012
   
2011
 
Zero coupon secured convertible term loan due June 29, 2013.  Interest accruing at 5% per annum until June 29, 2009 and at 6% thereafter
 
$
65,262
   
$
56,673
 
Other loans
   
50
     
4
 
Debt discount
   
(2,051
)
   
(4,641
)
     
63,261
     
52,036
 
                 
Less current portion
   
11
     
4
 
                 
   
$
63,250
   
$
52,032
 
Schedule of Maturities of Long-term Debt [Table Text Block]
12 Months
Ending December 31
 
 
$
 
000’s
 
         
2013
   
65,273
 
2014
   
11
 
2015
   
11
 
2016
   
11
 
2017
   
6
 
   
$
65,312
 
Tranche Schedule (Member)
 
Schedule of Debt [Table Text Block]
Tranche
 
Principal
Amount
(in thousands)
 
Conversion Price
(per share)
 
Potential Number
of Shares Issuable
 
               
Tranche A-1
 
$
4,550
 
$
7.00
   
650,000
 
Tranche A-2a
   
 2,411
 
$
 35.00
   
 68,889
 
Tranche A-2b
   
7,419
   
Non-Convertible
   
-
 
Tranche B-1
   
 2,856
 
$
 13.50
   
 211,565
 
Tranche B-2
   
2,190
 
$
12.50
   
       175,239
 
Tranche B-3a
   
6,810
 
$
35.00
   
194,558
 
Tranche B-3b
   
26,072
   
Non-Convertible
   
-
 
Tranche C-1
   
5,712
 
$
13.50
   
423,130
 
Tranche C-2
   
2,190
 
$
12.50
   
175,239
 
Tranche D
   
5,052
   
Non-Convertible
   
-
 
   
$
65,262
         
1,898,620