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Note 9 - Long-Term Debt (Tables)
9 Months Ended
Feb. 28, 2013
Schedule of Debt [Table Text Block]
   
February 28, 2013
   
May 31, 2012
 
             
Term Loan Facility, net of $11,852 and $16,821 debt discounts, respectively (1)
  $ 601,484     $ 595,104  
Revolving Facility
    21,000       -  
Notes, net of $4,491 and $4,821 debt discounts, respectively
    395,509       395,179  
      1,017,993       990,283  
Less current portion, net of discounts
    (25,210 )     (3,922 )
Long-term debt, net of current portion
  $ 992,783     $ 986,361  
Schedule of Maturities of Long-term Debt [Table Text Block]
Year Ending May 31:
 
2013
  $ 22,533  
2014
    6,133  
2015
    6,133  
2016
    6,133  
2017
    6,133  
Thereafter
    987,271  
    $ 1,034,336  
Schedule of Interest Expense [Table Text Block]
   
Quarter
Ended
February 28, 2013
   
Quarter
Ended
February 29, 2012
 
             
Notes, including OID amortization
  $ 11,236     $ 10,923  
Term loan facility, including OID amortization
    9,097       11,693  
Amortization of deferred financing costs
    1,210       1,153  
Interest rate swaps
    247       278  
Revolving credit facility fees
    160       96  
Other interest
    2       -  
    $ 21,952     $ 24,143  
         
Successor
   
Predecessor
 
   
Nine Months
Ended
February 28, 2013
   
August 20, 2011
Through
February 29, 2012
   
June 1, 2011
Through
August 19, 2011
 
                   
Notes, including OID amortization
  $ 33,705     $ 23,894     $ -  
Term loan facility, including OID amortization
    29,997       25,155       -  
Amortization of deferred financing costs
    3,600       2,488       -  
Interest rate swaps
    772       498       -  
Revolving credit facility fees
    612       271       -  
Other interest
    5       80       -  
    $ 68,691     $ 52,386     $ -