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Note 9 - Long-Term Debt (Tables)
6 Months Ended
Nov. 30, 2012
Schedule of Debt [Table Text Block]
   
November 30, 2012
   
May 31, 2012
 
             
             
Term Loan Facility, net of $13,082 and $16,821 debt discounts, respectively (1)
  $ 595,780     $ 595,104  
Revolving Facility
    1,000       -  
Notes, net of $4,602 and $4,821 debt discounts, respectively
    395,398       395,179  
      992,178       990,283  
Less current portion, net of discounts
    (5,108 )     (3,922 )
Long-term debt, net of current portion
  $ 987,070     $ 986,361  
Schedule of Maturities of Long-term Debt [Table Text Block]
Year Ending May 31:                       
 
2013
  $ 4,052  
2014
    6,104  
2015
    6,104  
2016
    6,104  
2017
    6,104  
Thereafter
    981,394  
    $ 1,009,862  
Schedule of Interest Expense [Table Text Block]
   
Quarter
Ended
November 30, 2012
   
Quarter
Ended
November 30, 2011
 
             
             
Notes, including OID amortization
  $ 11,236     $ 11,358  
Term loan facility, including OID amortization
    9,325       11,791  
Amortization of deferred financing costs
    1,166       1,198  
Interest rate swaps
    257       220  
Revolving credit facility interest and fees
    265       203  
Other interest
    2       80  
Interest expense
  $ 22,251     $ 24,850  
         
Successor
   
Predecessor
 
   
Six Months
Ended
November 30, 2012
   
August 20, 2011
Through
November 30, 2011
   
June 1, 2011
Through
August 19, 2011
 
                   
                   
Notes, including OID amortization
  $ 22,469     $ 12,971     $ -  
Term loan facility, including OID amortization
    20,900       13,462       -  
Amortization of deferred financing costs
    2,389       1,335       -  
Interest rate swaps
    525       220       -  
Revolving credit facility fees
    452       175       -  
Other interest
    4       80       -  
Interest expense
  $ 46,739     $ 28,243     $ -