0001188112-13-001489.txt : 20130513 0001188112-13-001489.hdr.sgml : 20130513 20130513130523 ACCESSION NUMBER: 0001188112-13-001489 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 11 CONFORMED PERIOD OF REPORT: 20130331 FILED AS OF DATE: 20130513 DATE AS OF CHANGE: 20130513 FILER: COMPANY DATA: COMPANY CONFORMED NAME: THERAGENICS CORP CENTRAL INDEX KEY: 0000795551 STANDARD INDUSTRIAL CLASSIFICATION: INSTRUMENTS FOR MEAS & TESTING OF ELECTRICITY & ELEC SIGNALS [3825] IRS NUMBER: 581528626 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 001-14339 FILM NUMBER: 13836270 BUSINESS ADDRESS: STREET 1: 5203 BRISTOL INDUSTRIAL WAY CITY: BUFORD STATE: GA ZIP: 30518 BUSINESS PHONE: 7702710233 MAIL ADDRESS: STREET 1: 5203 BRISTOL INDUSTRIAL WAY CITY: BUFORD STATE: GA ZIP: 30518 FORMER COMPANY: FORMER CONFORMED NAME: NUCLEAR MEDICINE INC DATE OF NAME CHANGE: 19860902 10-Q 1 t76415_10q.htm FORM 10-Q t76415_10q.htm


UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C. 20549
 
FORM 10-Q
 
x
QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
 
For the quarterly period ended March 31, 2013
 
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 No. 001-14339
 
THERAGENICS CORPORATION®
(Exact name of registrant as specified in its charter)
 
Delaware    58-1528626
(State or other jurisdiction of   (I.R.S. Employer
incorporation or organization)   Identification Number)
     
5203 Bristol Industrial Way    
Buford, Georgia   30518
(Address of principal executive offices)   (Zip Code)
 
Registrant’s telephone number, including area code: (770) 271-0233
 
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 Web site, if any, every Interactive Data File required to be submitted and posted pursuant to Rule 405 of Regulation S-T (Section 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 smaller reporting company.  See 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 o Smaller Reporting Company x
 
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
 
As of May 6, 2013 the number of shares of $0.01 par value common stock outstanding was 31,061,883.
 
 
 

 

THERAGENICS CORPORATION
 
TABLE OF CONTENTS
 
   
Page No.
     
PART I. FINANCIAL INFORMATION
   
     
ITEM 1. CONDENSED CONSOLIDATED FINANCIAL STATEMENTS (UNAUDITED)
   
     
Condensed Consolidated Statements of Comprehensive Earnings (Loss) for the quarters ended March 31, 2013 and  2012
 
3
     
Condensed Consolidated Balance Sheets – March 31, 2013 and December 31, 2012
 
4
     
Condensed Consolidated Statements of Cash Flows for the quarters ended March 31, 2013 and 2012
 
5
     
Notes to Condensed Consolidated Financial Statements
 
6
     
ITEM 2. MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION AND RESULTS OF OPERATIONS
 
14
     
ITEM 3. QUANTITATIVE AND QUALITATIVE DISCLOSURES ABOUT MARKET RISK
 
23
     
ITEM 4. CONTROLS AND PROCEDURES
 
23
     
PART II. OTHER INFORMATION
 
24
     
ITEM 1. LEGAL PROCEEDINGS
 
24
     
ITEM 1A. RISK FACTORS
 
24
     
ITEM 6. EXHIBITS
 
25
     
SIGNATURES
 
26
 
 
2

 

PART I. FINANCIAL INFORMATION
Item 1. Financial Statements
 
THERAGENICS CORPORATION AND SUBSIDIARIES
CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE EARNINGS (LOSS)
(UNAUDITED)
(Amounts in thousands, except per share data)
 
   
Quarter Ended March 31,
 
   
2013
   
2012
 
REVENUE
           
Product sales
 
$
19,212
   
$
20,979
 
License and fee income
   
661
     
604
 
     
19,873
     
21,583
 
COST OF SALES
   
12,848
     
12,974
 
                 
GROSS PROFIT
   
7,025
     
8,609
 
                 
OPERATING EXPENSES
               
Selling, general and administrative
   
5,678
     
5,901
 
Amortization of purchased intangibles
   
861
     
855
 
Research and development
   
280
     
277
 
Medical device excise tax
   
193
     
 
Gain on disposal of assets
   
(4
)
   
 
     
7,008
     
7,033
 
                 
EARNINGS FROM OPERATIONS
   
17
     
1,576
 
                 
OTHER INCOME (EXPENSE)
               
Interest income
   
27
     
38
 
Interest expense
   
(136
)
   
(164
)
Other
   
     
1
 
     
(109
)
   
(125
)
                 
EARNINGS (LOSS) BEFORE INCOME TAXES
   
(92
)
   
1,451
 
                 
Income tax expense (benefit)
   
(58
)
   
517
 
                 
NET EARNINGS (LOSS)
 
$
(34
)
 
$
934
 
                 
EARNINGS PER SHARE:
               
Basic
 
$
0.00
   
$
0.03
 
Diluted
 
$
0.00
   
$
0.03
 
                 
WEIGHTED AVERAGE SHARES
               
Basic
   
29,065
     
33,533
 
Diluted
   
29,065
     
33,941
 
                 
COMPREHENSIVE EARNINGS (LOSS)
               
Net earnings (loss)
 
$
(34
)
 
$
934
 
Other comprehensive earnings (loss), net of taxes
               
Reclassification adjustment for gain included in net earnings (loss)
   
     
(1
Unrealized gains on securities arising during the period
   
     
57
 
Total other comprehensive earnings
   
     
56
 
 Total comprehensive earnings (loss)
 
$
(34
)
 
$
990
 
 
The accompanying notes are an integral part of these statements.
 
 
3

 
 
THERAGENICS CORPORATION AND SUBSIDIARIES
CONDENSED CONSOLIDATED BALANCE SHEETS
(Amounts in thousands, except per share data)
 
   
March 31,
2013
(Unaudited)
   
December 31,
2012
 
ASSETS
CURRENT ASSETS
           
Cash and cash equivalents
  $ 15,767     $ 23,589  
Marketable securities
    18,327       11,319  
Trade accounts receivable, less allowance of $571 in 2013 and $592 in 2012
    10,264       8,946  
Inventories
    15,588       15,382  
Deferred income tax asset
    1,006       1,008  
Refundable income taxes
          290  
Prepaid expenses and other current assets
    1,067       1,014  
TOTAL CURRENT ASSETS
    62,019       61,548  
                 
    Property and equipment, net
    31,846       32,370  
Intangible assets, net
    10,125       11,020  
Deferred income tax asset
    1,067       717  
Other assets
    70       70  
                 
       TOTAL ASSETS
  $ 105,127     $ 105,725  
             
LIABILITIES & SHAREHOLDERS’ EQUITY
           
             
CURRENT LIABILITIES
           
Accounts payable
  $ 1,895     $ 1,622  
Accrued salaries, wages and payroll taxes
    1,826       2,929  
Income taxes payable
    23        
Other current liabilities
    1,014       1,020  
TOTAL CURRENT LIABILITIES
    4,758       5,571  
                 
Long-term borrowings
    22,000       22,000  
Asset retirement obligations
    887       871  
Other long-term liabilities
    292       356  
TOTAL LIABILITIES
    27,937       28,798  
                 
COMMITMENTS AND CONTINGENCIES
               
                 
SHAREHOLDERS’ EQUITY
               
Common stock, authorized 100,000 shares of $0.01 par value, issued 35,812 in 2013 and 34,829 in 2012
    358       348  
Additional paid-in capital
    75,995       75,708  
Retained earnings
    11,198       11,232  
Accumulated other comprehensive gain
    21       21  
Common stock in treasury, at cost – 4,762 shares
    (10,382 )     (10,382 )
TOTAL SHAREHOLDERS’ EQUITY
    77,190       76,927  
                 
TOTAL LIABILITIES AND SHAREHOLDERS’ EQUITY
  $ 105,127     $ 105,725  
 
The accompanying notes are an integral part of these statements.
 
 
4

 

THERAGENICS CORPORATION AND SUBSIDIARIES
CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS
(UNAUDITED)
(Amounts in thousands)
 
   
Quarter Ended March 31,
 
   
2013
   
2012
 
CASH FLOWS FROM OPERATING ACTIVITIES
           
Net earnings (loss)
  $ (34 )   $ 934  
Adjustments to reconcile net earnings (loss) to net cash provided (used) by operating activities:
               
Depreciation and amortization
    2,004       1,983  
Deferred income taxes
    (348 )     (383 )
Provision for allowances
    272       21  
Share-based compensation
    280       196  
Change in fair value of interest rate swaps
          (28 )
Decommissioning retirement liability
    16       16  
    Gain on sale of marketable securities
          (1 )
    Gain on sale of equipment
    (4 )      
Changes in assets and liabilities:
               
Trade accounts receivable
    (1,344 )     (246 )
Inventories
    (452 )     (1,134 )
Prepaid expenses and other current assets
    (53 )     26  
Accounts payable
    273       583  
Accrued salaries, wages and payroll taxes
    (1,103 )     (1,047 )
Refundable income taxes net of income taxes payable
    288       914  
Other current liabilities
    (8 )     319  
Other
    (64 )     230  
Net cash provided (used) by operating activities
    (277 )     2,383  
                 
CASH FLOWS FROM INVESTING ACTIVITIES
               
Purchases and construction of property and equipment
    (527 )     (329 )
Cash paid for acquisition of Core Oncology customer base
          (4,086 )
Proceeds from sale of property and equipment
    8        
Purchases of marketable securities
    (9,008 )     (1,708 )
Maturities of marketable securities
    1,965       1,634  
Proceeds from sales of marketable securities
          189  
Net cash used by investing activities
    (7,562 )     (4,300 )
                 
CASH FLOWS FROM FINANCING ACTIVITIES
               
Repayment of borrowings
          (834 )
Employee stock purchase plan
    17       17  
Net cash provided (used) by financing activities
    17       (817 )
                 
NET DECREASE IN CASH AND CASH EQUIVALENTS
  $ (7,822 )   $ (2,734 )
CASH AND CASH EQUIVALENTS AT BEGINNING OF PERIOD
    23,589       29,553  
CASH AND CASH EQUIVALENTS AT END OF PERIOD
  $ 15,767     $ 26,819  
                 
SUPPLEMENTARY CASH FLOW DISCLOSURE:
               
Interest paid
  $ 108     $ 182  
Income taxes paid (received), net
  $ 2     $ (15 )
                 
NON-CASH INVESTING AND FINANCING ACTIVITIES:
               
Assets acquired from the Core transaction
  $     $ 5,241  
Liability for property and equipment acquired
  $ 27     $ 39  
 
The accompanying notes are an integral part of these statements.
 
 
5

 

THERAGENICS CORPORATION AND SUBSIDIARIES
NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
MARCH 31, 2013
(Unaudited)
 
NOTE A - BASIS OF PRESENTATION AND DESCRIPTION OF BUSINESS
 
The accompanying unaudited interim condensed consolidated financial statements reflect the consolidated operations of Theragenics Corporation and its wholly-owned subsidiaries.  All material intercompany accounts and transactions have been eliminated.  The terms Company, “we, “us, or “our mean Theragenics Corporation and all entities included in our consolidated financial statements.  These financial statements have been prepared in accordance with accounting principles generally accepted in the United States of America (“GAAP”) for interim financial reporting and the rules and regulations of the U.S. Securities and Exchange Commission (“SEC”) and, therefore, do not include all information and disclosures normally included in our annual consolidated financial statements.
 
To prepare financial statements in accordance with GAAP, we must make certain estimates and judgments that affect the reported amounts of assets, liabilities, revenues, and expenses, and the related disclosure of contingent assets and liabilities at the date of the financial statements.  Actual amounts may differ from these estimated amounts.  In our opinion, these interim financial statements include all adjustments (including normal recurring accruals) considered necessary for a fair presentation.
 
Our consolidated results of operations for the interim periods presented herein are not necessarily indicative of the results that may be expected for a full year.  These interim financial statements and notes should be read in conjunction with our audited consolidated financial statements and notes for the year ended December 31, 2012 included in the Form 10-K Annual Report that we filed with the SEC.
 
We are a medical device company serving the surgical products and cancer treatment markets, operating in two business segments. Our surgical products business consists of wound closure, vascular access, and specialty needle products.  Wound closure includes sutures, needles, and other surgical products.  Vascular access includes introducers, guidewires, and related products.  Specialty needles include coaxial, biopsy, spinal and disposable veress needles, access trocars, implanters, introducer products and other needle based products.  Our surgical products segment serves a number of markets and applications, including among other areas, interventional cardiology, interventional radiology, vascular surgery, orthopedics, plastic surgery, dental surgery, urology, veterinary medicine, pain management, endoscopy, and spinal surgery.  Our brachytherapy business manufactures, custom loads, markets and distributes “seeds” used primarily in the minimally invasive treatment of localized prostate cancer.  Our brachytherapy product line includes our palladium-103 based TheraSeed® device and our iodine-125 based AgX100® device.
 
NOTE B ACQUISITION OF CORE ONCOLOGY’S PROSTATE BRACHYTHERAPY CUSTOMER BASE
 
On February 17, 2012, we acquired Core Oncology’s prostate brachytherapy customer base.  This transaction has substantially increased our share of the iodine-125 segment of the prostate brachytherapy market.  In addition to the customer base, we also acquired certain packaging technologies, equipment related to the packaging technologies, and certain existing component inventory. We did not acquire Core’s facilities, manufacturing equipment or processes, or Core’s employees.
 
The total purchase price for the acquired assets is equal to one times the actual revenue generated from the acquired customers over the twelve-month period from September 2012 to August 2013 (the “Earn-Out Period”), in excess of a $2.5 million Threshold Amount.  We paid $5.3 million (including transaction costs) through March 31, 2013 for this transaction, primarily consisting of prepayment of a portion of the earn-out at closing in February 2012 plus subsequent earn-out payments.   Quarterly earn-out payments based on actual revenue recognized from the acquired customers are due through August 2013; however, based on our current estimates, we do not expect to make any additional earn-out payments. No such earn-out payments were made in the first quarter of 2013.
 
 
6

 
THERAGENICS CORPORATION AND SUBSIDIARIES
NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
MARCH 31, 2013
(Unaudited)
 
NOTE C – FINANCIAL INSTRUMENTS AND FAIR VALUE
 
Financial Instruments
 
We are exposed to certain risks relating to our ongoing business operations. Prior to June 1, 2012 when our interest rate swaps expired, we managed our interest rate risk using interest rate swaps associated with outstanding borrowings under our credit agreement since our interest rates are floating rates based on LIBOR.  Our interest rate swaps were intended to convert a portion of our floating rate debt to a fixed rate.  We did not use interest rate swaps for speculative or trading purposes.  Subsequent to June 1, 2012 we have held no interest rate swaps or other derivative financial instruments.  Our interest rate swaps were recorded as either assets or liabilities at fair value on our consolidated balance sheets.  We entered into interest rate swaps that were designed to hedge our interest rate risk but were not designated as “hedging instruments”, as defined under guidance issued by the Financial Accounting Standards Board (“FASB”).  Changes in the fair value of these instruments were recognized as adjustments to interest expense in our consolidated statements of comprehensive earnings (loss).
 
A roll forward of the notional value of our interest rate swaps is as follows (in thousands):
 
   
Quarter Ended March 31,
 
   
2013
   
2012
 
Balance, beginning of the period
  $     $ 7,667  
New contracts
           
Matured contracts
          (834 )
Balance, end of the period
  $     $ 6,833  
 
The following table includes information about gains and losses recognized on our interest rate swaps not designated as hedging instruments in our condensed consolidated statements of comprehensive earnings (loss) (in thousands):
 
   
 
Quarter Ended
March 31,
  Location of
Loss (Gain)
Recognized in
Income 
   
2013
   
2012
 
Periodic settlements
  $     $ 31    Interest expense
Change in fair value
  $     $ (28 )  Interest expense
 
Financial Instruments Measured at Fair Value on a Recurring Basis
 
We measure fair value as the exchange price that would be received for an asset or paid to transfer a liability (an exit price) in the principal or most advantageous market for the asset or liability in an orderly transaction between market participants at the measurement date. In accordance with guidance issued by the FASB, we use a three-level fair value hierarchy to prioritize the inputs used to measure fair value. The hierarchy maximizes the use of observable inputs and minimizes the use of unobservable inputs. The three levels of inputs used to measure fair value are as follows:
 
 
Level 1 – Quoted prices in active markets for identical assets or liabilities.
 
Level 2 – Observable inputs other than quoted prices included in Level 1, such as quoted prices for similar assets and liabilities in active markets; quoted prices for identical or similar assets and liabilities in markets that are not active; or other inputs that are observable or can be corroborated by observable market data.
 
Level 3 – Unobservable inputs that are supported by little or no market activity and that are significant to the fair value of the assets or liabilities.  This includes certain pricing models, discounted cash flow methodologies and similar techniques that use significant unobservable inputs.
 
 
7

 
THERAGENICS CORPORATION AND SUBSIDIARIES
NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
MARCH 31, 2013
(Unaudited)
 
We had the following assets measured at fair value on a recurring basis subject to disclosure requirements (in thousands):
 
   
Quoted
Prices in
Active
Markets
(Level 1)
   
Significant
Other
Observable
Inputs
(Level 2)
   
Significant Unobservable Inputs
(Level 3)
   
 
Total
 
March 31, 2013
                       
Money market funds
  $ 477     $     $     $ 477  
Marketable securities
    18,327                   18,327  
        Total assets
  $ 18,804     $     $     $ 18,804  
                                 
December 31, 2012
                               
Money market funds
  $ 477     $     $     $ 477  
Marketable securities
    11,319                   11,319  
  Total assets
  $ 11,796     $     $     $ 11,796  
 
Financial Instruments Not Measured at Fair Value
 
Our financial instruments not measured at fair value consist of cash and cash equivalents, trade accounts receivable, and accounts payable, the carrying value of each approximating fair value due to the nature of these accounts. Our financial instruments not measured at fair value also include borrowings under our credit agreement.  We estimate the fair value of outstanding borrowings under our credit agreement based on the current market rates applicable to borrowers with credit profiles similar to us.  We estimate that the carrying value of our borrowings approximates fair value at March 31, 2013.
 
Other Fair Value Measurements
 
There were no nonfinancial assets or nonfinancial liabilities measured at fair value at March 31, 2013 or December 31, 2012.
 
NOTE D - INVENTORIES
 
Inventories are stated at the lower of cost or market. Cost is determined using the first-in, first-out (“FIFO”) method. Market is replacement cost or net realizable value. We estimate reserves for inventory obsolescence based on our judgment of future realization. Inventories were comprised of the following (in thousands): 
 
   
March 31,
2013
   
December 31,
2012
 
Raw materials
  $ 6,901     $ 6,806  
Work in process
    4,188       4,024  
Finished goods
    4,567       4,344  
Spare parts and supplies
    926       956  
      16,582       16,130  
Allowance for obsolete inventory
    (994 )     (748 )
    Inventories, net
  $ 15,588     $ 15,382  
 
 
 
8

 
THERAGENICS CORPORATION AND SUBSIDIARIES
NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
MARCH 31, 2013
(Unaudited)
 
NOTE E – INCOME TAXES
 
Our effective income tax rates include federal and state income taxes. For the quarter ended March 31, 2012 our effective tax rate was 36%. For the quarter ended March 31, 2013, we recorded a tax benefit at a rate of 63%. The effective tax rate for the quarter ended March 31, 2013 was impacted by the American Taxpayer Relief Act of 2012, which was signed into law on January 2, 2013 and retroactively reinstated the research tax credit. Although the reinstatement of this tax credit is retroactive to January 1, 2012, the enactment of this legislation in 2013 precluded us from recording the benefit in 2012. As a result, our income tax provision was reduced by approximately $32,000 in the first quarter of 2013 to recognize the 2012 benefit of this tax credit that would have otherwise been recorded in 2012.
 
NOTE F - SHARE-BASED COMPENSATION
 
Restricted Stock
 
A summary of activity in non-vested restricted stock awards during the quarter ended March 31, 2013 follows (shares in thousands):
 
   
Shares
 
Weighted
average grant
date fair value
 
     Non-vested at December 31, 2012
 
1,126
 
$
1.57
 
     Granted
 
970
   
1.46
 
     Vested
 
(285
)
 
1.51
 
     Forfeited
 
   
 
     Non-vested at March 31, 2013
 
1,811
 
$
1.52
 
 
During the quarter ended March 31, 2013, we granted 970,300 shares of restricted stock (with a grant date fair value of $1.46 per share based on the market price of the underlying common stock at the grant date) to executive officers in connection with long-term incentive compensation programs.  The restricted stock vests ratably over four years.
 
Non-cash compensation expense related to restricted stock totaled approximately $242,000 and $122,000 for the quarters ended March 31, 2013 and 2012, respectively. As of March 31, 2013, there was approximately $2,054,000 of unrecognized compensation cost related to the restricted shares, which is expected to be recognized over a weighted average period of 2.3 years.  The total fair value of restricted stock vested during the quarters ended March 31, 2013 and 2012 was approximately $441,000 and $232,000, respectively.
 
NOTE G - DISTRIBUTION AGREEMENTS AND MAJOR CUSTOMERS
 
Brachytherapy Seed Distribution Agreements
 
Our brachytherapy seed business sells our TheraSeed® and AgX100® devices directly to healthcare providers and to third-party distributors.  Under our TheraSeed® third-party distribution agreements, we are the exclusive palladium-103 seed supplier for the treatment of prostate cancer for each distributor, and each distributor has the non-exclusive right to sell TheraSeed® in the U.S. and Canada.  Certain agreements also provide distributors with rights to distribute TheraSeed® for the treatment of solid localized tumors other than in the prostate and with rights to distribute to certain locations outside of North America.  Such applications (non-prostate and outside of North America) have not been material.  Our principal non-exclusive distribution agreement is with C. R. Bard (“Bard”).  Our agreement with Bard (the “Bard Agreement”) provides for automatic one year extensions of the term, unless either party gives notice of its intent not to renew at least twelve months prior to the end of the current term. The current term expires December 31, 2014 and will be automatically extended for one additional year unless either party gives notice of its intent not to extend by December 31, 2013.
  
 
9

 
THERAGENICS CORPORATION AND SUBSIDIARIES
NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
MARCH 31, 2013
(Unaudited)
 
Major Customers
 
Sales to Bard under the Bard Agreement represented approximately 23% and 29% of total brachytherapy seed segment revenue for the quarters ended March 31, 2013 and 2012, respectively. No other single distributor represented 10% or more of brachytherapy seed segment revenues in the first quarter of 2013 or 2012.
 
Accounts receivable from Bard represented approximately18% of brachytherapy accounts receivable at March 31, 2013. At December 31, 2012, accounts receivable from Bard under the Bard Agreement represented approximately 16% of brachytherapy accounts receivable.
 
One surgical products customer represented 10% of surgical products accounts receivable.
 
NOTE H - SEGMENT REPORTING
 
We are a medical device company serving the surgical product and cancer treatment markets, operating in two business segments. Our surgical products business consists of wound closure, vascular access, and specialty needle products.  Our brachytherapy seed business manufactures, custom loads, markets, and distributes “seeds” used primarily in the minimally invasive treatment of localized prostate cancer.  Our brachytherapy product line includes our palladium-103 TheraSeed® device and our iodine-125 AgX100® device.
 
The following tables provide certain information for these segments (in thousands):
 
   
Quarter Ended
March 31,
 
   
2013
   
2012
 
Revenues
           
    Surgical products
  $ 14,483     $ 15,494  
    Brachytherapy seed
    5,719       6,320  
    Intersegment eliminations
    (329 )     (231 )
    $ 19,873     $ 21,583  
Earnings (loss) from operations
               
   Surgical products
  $ (335 )   $ 199  
   Brachytherapy seed
    399       1,380  
   Intersegment eliminations
    (47 )     (3 )
    $ 17     $ 1,576  
Capital expenditures
               
   Surgical products
  $ 412     $ 272  
   Brachytherapy seed
    115       57  
    $ 527     $ 329  
Depreciation and amortization
               
   Surgical products
  $ 1,236     $ 1,229  
   Brachytherapy seed
    768       754  
    $ 2,004     $ 1,983  
 
We evaluate business segment performance based on segment revenue and segment earnings (loss) from operations. Earnings (loss) from operations by segment do not include interest expense, interest income, other income and expense, or provisions for income taxes.  Intersegment eliminations are for surgical products segment sales transactions.  Corporate expenses are allocated based upon the relative revenue for each segment.
 
10

 
THERAGENICS CORPORATION AND SUBSIDIARIES
NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
MARCH 31, 2013
(Unaudited)
 
Supplemental information related to significant assets follows (in thousands):
 
   
March 31,
2013
   
December 31,
2012
 
Identifiable assets
           
Surgical products
  $ 69,965     $ 70,361  
Brachytherapy seed
    61,577       62,474  
Corporate investment in subsidiaries
    111,439       111,439  
Intersegment eliminations
    (137,854 )     (138,549 )
    $ 105,127     $ 105,725  
Intangible assets
               
Surgical products
  $ 5,958     $ 6,644  
Brachytherapy seed
    4,167       4,376  
    $ 10,125     $ 11,020  
 
 
 
Information regarding revenue by geographic regions follows (in thousands):
 
   
Quarter Ended
March 31,
 
   
2013
   
2012
 
Product sales
           
  United States
  $ 16,012     $ 18,948  
  Europe
    2,203       1,509  
  Other foreign countries
    997       522  
      19,212       20,979  
                 
License and fee income
               
  United States
    268       247  
  Canada
    393       357  
      661       604  
    $ 19,873     $ 21,583  
 
Foreign sales are attributed to countries based on the location of the customer. The license fees attributed to Canada are with Nordion, a Canadian based company, for the license of our TheraSphere® product.  Less than 10% of all foreign product sales are related to the brachytherapy segment.  Substantially all of our long-lived assets are located within the United States.
 
 
11

 
THERAGENICS CORPORATION AND SUBSIDIARIES
NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
MARCH 31, 2013
(Unaudited)
 
NOTE I – EARNINGS PER SHARE
 
Basic earnings per share represents net earnings divided by the weighted average shares outstanding. Diluted earnings per share represents net earnings divided by weighted average shares outstanding adjusted for the incremental dilution of outstanding stock options and awards. A reconciliation of weighted average common shares outstanding to weighted average common shares outstanding assuming dilution for the periods presented follows (in thousands, except per share data):
 
   
Quarter Ended
March 31,
 
   
2013
    2012
 
           
Net earnings (loss)
  $ (34 )   $ 934  
                 
Weighted average common shares outstanding
    29,065       33,533  
Incremental common shares issuable under stock options and awards
          408  
Weighted average common shares outstanding assuming dilution
    29,065       33,941  
                 
Earnings per share
               
Basic
  $ 0.00     $ 0.03  
Diluted
  $ 0.00     $ 0.03  
 
For the quarters ended March 31, 2013 and 2012, approximately 3,135,000 and 1,077,000 stock options and awards, respectively, were not included in the computation of diluted earnings per share because their effect is antidilutive.
 
NOTE J – CONTINGENCIES
 
Litigation and claims
 
From time to time we may be a party to claims that arise in the ordinary course of business, none of which, in our view, is expected to have a material adverse effect on our consolidated financial position or results of operations.
 
NOTE K – RESTRUCTURING
 
On May 8, 2013, our Board of Directors approved a restructuring of our vascular access manufacturing operations.  This primarily includes our introducer and guidewire products produced under our Galt brand and produced for our OEM and distributor customers.  We intend to retain the Galt brand and the full line of Galt labeled products, private label products, and bulk non-sterile products currently being produced at our Garland, Texas facility.
 
Commencing in the second quarter of 2013 and through December 2014, we will begin to transfer a significant portion of our vascular access manufacturing to independent suppliers located in Latin America. A small portion of the current production will be transferred to our specialty needle manufacturing facility located in North Attleboro, Massachusetts.  By the end of 2014, we expect this transition to be completed and our manufacturing plant located in Garland, Texas to be closed. 
 
 
12

 
THERAGENICS CORPORATION AND SUBSIDIARIES
NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
MARCH 31, 2013
(Unaudited)
 
This restructuring plan is expected to be implemented over the 20 month period through December 2014. Expected expenses and savings are as follows:
 
 
Incremental expenses of $3.7 to $4.1 million, consisting primarily of severance related expenses and project implementation costs. The operations at our Garland, Texas plant will be transitioned out over the 20 month period. Accordingly, these incremental expenses related to the restructuring will be recorded over the 20 month restructuring period. No significant non-cash charges are expected to be recorded related to this restructuring.
 
Capital expenditures of approximately $2.5 to $2.7 million. We will own this new capital equipment located in Latin America at our independent suppliers’ facilities. We will also transfer our existing equipment from our Garland, Texas facility to our independent suppliers and to our facility in North Attleboro, Massachusetts.
 
 
13
 
 
Item 2. Management’s Discussion and Analysis of Financial Condition and Results of Operations
 
Overview
 
Theragenics Corporation is a medical device company serving the surgical products and cancer treatment markets, operating in two business segments.    The terms Company, “we”, “us”, or “our” mean Theragenics Corporation and all entities included in our consolidated financial statements.
 
Our surgical products business consists of wound closure, vascular access, and specialty needle products.  Wound closure includes sutures, needles and other surgical products. Vascular access includes introducers, guidewires, and related products.  Specialty needles include coaxial, biopsy, spinal and disposable veress needles, access trocars, implanters, introducer products, and other needle based products.  This segment serves a number of markets and applications, including among other areas, interventional cardiology, interventional radiology, vascular surgery, orthopedics, plastic surgery, dental surgery, urology, veterinary medicine, pain management, endoscopy, and spinal surgery.  Our surgical products business sells our devices and components primarily to original equipment manufacturers (“OEMs”) and to a network of distributors.
 
Our brachytherapy business manufactures, custom loads, markets and distributes “seeds” used primarily in the minimally invasive treatment of localized prostate cancer.  Our brachytherapy product line includes our palladium-103 based TheraSeed® device and our iodine-125 based AgX100® device. Physicians, hospitals and other healthcare providers, primarily located in the United States, utilize our devices. We maintain an in-house sales force that sells TheraSeed® and AgX100® directly to physicians.  We also sell our TheraSeed® and AgX100® devices to non-exclusive third party distributors.  We manufacture the TheraSeed® and the AgX100® devices.
 
Restructuring of Vascular Access Manufacturing Operations
 
On May 8, 2013, our Board of Directors approved a restructuring of our vascular access manufacturing operations.  This primarily includes our introducer and guidewire products produced under our Galt brand and produced for our OEM and distributor customers.  We intend to retain the Galt brand and the full line of Galt labeled products, private label products, and bulk non-sterile products currently being produced at our Garland, Texas facility.
 
Commencing in the second quarter of 2013 and through December 2014, we will begin to transfer a significant portion of our vascular access manufacturing to independent suppliers located in Latin America.  A small portion of the current production will be transferred to our specialty needle manufacturing facility located in North Attleboro, Massachusetts.  By the end of 2014, we expect this transition to be completed and our manufacturing plant located in Garland, Texas to be closed. With the exception of certain sales, marketing, and customer service positions, substantially all of the 205 jobs currently located at the Garland, Texas facility will be eliminated over the 20 month restructuring period through December 2014.
 
We believe the offshore outsourcing of our vascular access manufacturing will significantly reduce our costs, allowing us to remain competitive in a highly competitive medical device industry.  This outsourcing will also allow us to better respond to our customers’ needs and macroeconomic issues such as increased regulation, new taxes and decreased demand across the medical device industry. We expect to continue to invest and expand our product offerings in the business.
 
This restructuring plan is expected to be implemented over the 20 month period through December 2014.  Expected expenses and savings are as follows:
 
 
 
Incremental expenses of $3.7 to $4.1 million, consisting primarily of severance expenses and project implementation costs.  The operations at our Garland, Texas plant will be transitioned out over the 20 month period.  Accordingly, these incremental expenses related to the restructuring will be recorded over the 20 month restructuring period. No significant non-cash charges are expected to be recorded related to this restructuring.
 
Capital expenditures of approximately $2.5 to $2.7 million.  We will own this new capital equipment located in Latin America at our independent suppliers’ facilities. We will also transfer our existing equipment from our Garland, Texas facility to our independent suppliers and to our facility in North Attleboro, Massachusetts.  This will allow us to maintain back up and redundant capabilities.
 
Subsequent to completion of the restructuring in 2014, our net operating savings are expected to be $3.3 to $3.6 million annually.
 
 
14

 
 
 
As noted above, expenses related to the restructuring will be incurred in 2013 and 2014. However, we also expect some cost reductions as the restructuring is implemented. We expect cost savings totaling approximately $2.4 to $2.8 million during 2013 and 2014.
 
Our estimated and expected incremental expenses related to the restructuring, capital expenditures and net savings are significant estimates.  These estimates are subject to change and actual results may be materially different.
 
Medical Device Tax
 
Significant reforms to the U.S. healthcare system were adopted in the form of the Patient Protection and Affordable Care Act of 2010 (the “PPACA”). See our discussion below under "Other Regulatory Developments". The PPACA requires us to, among other things, pay a 2.3% excise tax on certain U.S. medical device sales beginning in 2013. During the quarter ended March 31, 2013, we recorded a medical device excise tax of $193,000.  Some commentators have suggested that medical device companies can expect to experience an increase in the usage of their products beginning in 2014 as the PPACA provides healthcare coverage to all Americans, including approximately 30 million Americans currently uninsured.  However, many of our products are typically used for the treatment of patients who are currently covered under Medicare.  Accordingly, we do not expect to experience a material increase in sales as a result of this provision of the PPACA.
 
Results of Operations
 
Revenue
 
Following is a summary of revenue by segment (in thousands):
 
   
Quarter Ended
March 31,
 
   
2013
   
2012
   
Change ($)
 
Revenues by segment:
                 
    Surgical products
                 
      Product sales
  $ 14,465     $ 15,483     $ (1,018 )
      License and fee income
    18       11       7  
          Total surgical products
    14,483       15,494       (1,011 )
                         
    Brachytherapy seed
                       
      Product sales
    5,076       5,727       (651 )
      License and fee income
    643       593       50  
          Total brachytherapy seed
    5,719       6,320       (601 )
                         
Intersegment eliminations
    (329 )     (231 )     (98 )
                         
    Consolidated
                       
      Product sales
    19,212       20,979       (1,767 )
      License and fee income
    661       604       57  
          Total consolidated
  $ 19,873     $ 21,583     $ (1,710 )
 
 
15

 
 
Surgical Products Segment
 
Revenue in our surgical products business decreased 7% in the first quarter of 2013 from the first quarter of 2012. Our revenue was affected by the variability in the ordering patterns of our larger customers.  It has been reported that the medical device industry experienced sluggish demand in the first quarter, a result in part of overall declining procedures and a trend of fewer patient visits to physicians.  We believe this industry trend has affected our customers and, in turn, short-term demand for our products.  In addition, many customers, as well as others in the medical device industry, are seeking to reduce costs.  We were also affected in the first quarter by pricing pressure, as well as customers either outsourcing production offshore or producing products internally in an effort to reduce costs. We expect this variability and unpredictable customer behavior to continue through 2013.
 
Open orders in our surgical products segment were $13.4 million on March 31, 2013 compared to $12.5 million at December 31, 2012.  Open orders represent orders from customers for future delivery that we believe to be firm.  Open orders are not guaranteed shipments, and they are subject to cancellation or delay.  Backlog in our surgical products business was $261,000 at March 31, 2013 and $411,000 at December 31, 2012.  Backlog represents orders included in open orders, but for which we have missed promised shipment dates. The reduction in backlog was primarily a result of addressing the shortages of supply of certain animal-based materials utilized in some of our wound closure products that existed at December 31, 2012.  We expect our open orders and backlog to continue to vary based on changes in ordering patterns of our larger customers, changes in customer behavior and changes in availability of raw materials.
 
We announced the launch of three new product lines during the first four months of 2013.  We launched the Synergy™ peripherally inserted central catheter (PICC) product line and our line of TorxTM transitionless guidewires for the vascular access market. We also launched our “PLUS” line of antibacterial sutures for the veterinary market. While sales of these new products are not expected to be material in 2013, each of these new products is expected to provide our surgical products business with access to new markets and new customers.  These new products are generally expected to carry a higher gross profit margin than we are currently realizing in our surgical products business.
 
A significant portion of the products in our surgical business continue to be sold to OEMs and a network of distributors.  Ordering patterns and behaviors of these customers vary and are difficult to predict. Accordingly, surgical products revenue continues to be subject to fluctuation, especially on a quarter-to-quarter basis.  In addition, revenue has been and will continue to be affected by our customers’ and potential customers’ efforts to manage their supply chains and reduce costs.  All of these factors may cause the fluctuations in our results to be even more volatile from period to period.
 
Brachytherapy Seed Segment
 
We sell our TheraSeed® palladium-103 device, our AgX100® iodine-125 device, and other brachytherapy related products directly to healthcare providers and to third-party distributors.  We also custom load brachytherapy seeds in prescription loaded needles, custom strands and other configurations.
 
Our brachytherapy product sales decreased 9% in the first quarter of 2013 from the first quarter of 2012, with TheraSeed® sales declining $1.2 million. In May 2012, the U.S. Preventive Services Task Force recommended against routine PSA screenings for healthy men without symptoms.  We believe this recommendation has led to a decline in PSA screening.  In addition, we believe there has been an increase in “active surveillance”, a practice where no immediate medical treatment is provided; but the physician and patient closely monitor the patient’s cancer for signs that the cancer is growing.  We believe that declines in PSA screenings has led to a decline in the number of men diagnosed with prostate cancer.  Both a decline in the number of PSA screenings and an increase in the proportion of men diagnosed with prostate cancer but not seeking immediate medical treatment would in turn lead to a decline in the number of procedures to treat prostate cancer, including brachytherapy procedures.  Incremental sales of $435,000 to the acquired Core customers and revenue from our new Oncura custom loading agreement, which was announced in December 2012, partially offset the overall decline in revenue we experienced.
 
The prostate brachytherapy industry in the United States continues to experience pressure from newer forms of treatment. Some newer forms of treatment have increased their market share, especially those with Medicare reimbursement levels that are higher than reimbursement levels for brachytherapy.  These newer forms of alternative treatments include Intensity Modulated Radiation Therapy (“IMRT”) and robotic surgery. In addition to treatment options that enjoy favorable reimbursement rates, we believe brachytherapy seed volume and revenue are also affected by disruptive pricing from other brachytherapy providers and uncertainties surrounding reimbursement.
 
 
16

 
 
We have non-exclusive distribution agreements in place for our TheraSeed® and AgX100® seed devices. Under our third party TheraSeed® distribution agreements, we are the exclusive palladium-103 seed supplier for the treatment of prostate cancer for each distributor, and each distributor has the non-exclusive right to sell TheraSeed® in the U.S. and Canada.  Certain agreements also provide distributors with the right to distribute TheraSeed® for the treatment of solid localized tumors other than in the prostate and with rights to distribute to certain locations outside of North America.  Such applications (non-prostate and outside of North America) have not been material and are not expected to become material in the near future. Our principal non-exclusive distribution agreement is with C.R. Bard (“Bard”).  Our agreement with Bard provides for automatic one year extensions of the term, unless either party gives notice of its intent not to renew at least twelve months prior to the end of the current term. The current term expires December 31, 2014 and will be automatically extended for one additional year unless either party gives notice of its intent not to extend by December 31, 2013. Sales to Bard by our brachytherapy segment represented 23% and 29% of brachytherapy seed segment revenue in the first quarter of 2013 and 2012, respectively.
 
We also currently have other non-exclusive distributors (other than Bard) for our TheraSeed® and AgX100® devices.  We may pursue additional distribution agreements in an effort to increase market share.  We may also have opportunities to enter certain markets outside of the United States with our AgX100® device.
 
On an annual basis, the Center for Medicare and Medicaid Services (CMS”) establishes and fixes the per seed rate at which Medicare reimburses hospitals for the purchase of brachytherapy seeds. CMS reimbursement policies have led to pricing pressure from hospitals and other healthcare providers and have had an adverse effect on our brachytherapy revenue.  We believe our brachytherapy revenue may continue to be adversely affected by CMS’ reimbursement policies for brachytherapy seeds and favorable CMS reimbursement rates enjoyed by alternative, less proven technologies for early stage prostate cancer treatment.
 
License fees in our brachytherapy segment increased $50,000 or 8% in the first quarter of 2013 over the comparable 2012 period.  License fees include fees from the licensing of our TheraSphere® product, a medical device used for the treatment of liver cancer. License fees also include fees related to the licensing of certain intellectual property related to an expandable brachytherapy delivery system that we developed. This agreement provides for a minimal non-refundable initial license fee and non-refundable, continuing royalties based upon sales and subject to certain minimums.
 
Operating income (loss) and costs and expenses
 
Following is a summary of operating income (loss) by segment (in thousands):
 
   
Quarter Ended
March 30,
 
   
2013
   
2012
   
Change ($)
 
                   
  Surgical products
  $ (335 )   $ 199     $ (534 )
  Brachytherapy seed
    399       1,380       (981 )
  Intersegment eliminations
    (47 )     (3 )     (44 )
                         
  Consolidated
  $ 17     $ 1,576     $ (1,559 )
 
Surgical Products Segment
 
In the first quarter of 2013, we incurred a loss from operations of $335,000 in our surgical products segment compared to operating income of $199,000 in the first quarter of 2012.  Our gross profit margins on sales were 33% in the quarter ended March 31, 2013 compared to 35% in the quarter ended March 31, 2012. Gross margin in the first quarter of 2013 was affected by product mix, as well as lower volumes to cover the fixed portion of our manufacturing expenses. Also affecting results in the first quarter of 2013 was $135,000 of expense for the medical device excise tax, which was effective on January 1, 2013. Over time, we plan to increase margins by integrating and outsourcing manufacturing processes, improving efficiencies and introducing newer and higher margin products, such as the new product lines launched thus far in 2013 discussed in “Revenue – Surgical Products Segment” above.  In May 2013 we announced the restructuring of our vascular access manufacturing operations.  This restructuring is intended to significantly reduce our manufacturing costs.  See “Restructuring of Vascular Access Manufacturing Operations” above.
 
 
17

 
 
Selling, general and administrative (“SG&A”) costs were 27% of revenue in both the first quarter of 2013 and 2012.
 
Research and development (“R&D”) expenses were $280,000 and $277,000 in the first quarter of 2013 and 2012, respectively.  Our R&D program is intended to focus on product extensions, next generation products, and new products that are complementary to our current product lines and that support our customers’ product lines.  Our R&D program is directed toward 510(k) products that have an established market and not on products that require lengthy and expensive clinical trials. Looking forward, our quarterly results are expected to be affected by the timing of these investments.  We recently introduced three new product lines.  See our discussion under “Revenue - Surgical Products Segment” above.
 
Looking forward, we expect a number of items to continue to affect the profitability in our surgical products business including, among other things:
 
incremental expenses and capital expenditures related to the restructuring of our vascular access manufacturing operations, cost reductions and improvements to profitability resulting from the restructuring, and timing of the restructuring,
 
ordering patterns of our larger OEM and distributor customers,
 
costs incurred to address significant changes in demand,
 
continued investments in infrastructure, R&D, products, and companies as we make investments to support anticipated future growth and to develop products to address growth opportunities,
 
changes in product mix and sales channels, with sales through OEM channels generally carrying a relatively lower gross profit margin and sales through distributor channels generally carrying a somewhat higher gross profit margin,
 
continued pricing pressure from customers,
 
the medical device tax under the PPACA,
 
potential changes in the 510(k) application process and other changes in FDA and governmental regulations,
 
the implementation and efficiencies to be gained from our corporate-wide ERP system,
 
manufacturing outsourcing activities,
 
the increasing scale of our surgical products business, and
 
trends of consumers making fewer visits to doctors’ offices and the effect on demand for medical devices.
 
Brachytherapy Seed Segment
 
Operating income in our brachytherapy segment was $399,000 in the first quarter of 2013 compared to $1.4 million in the first quarter of 2012. Manufacturing expenses related to our TheraSeed® palladium-103 based device tend to be fixed in nature and, accordingly, the $1.2 million decline in TheraSeed® revenue had a significant effect on operating income in the 2013 period. Operating income in our brachytherapy seed business is expected to continue to be highly dependent on TheraSeed® sales levels due to the high fixed cost component of our manufacturing operations.  Revenue from the acquired Core customers and the Oncura custom loading agreement partially offset the decline in TheraSeed® sales and contributed to operating income in 2013, though margins on iodine-125 based devices and custom loading are lower than on our TheraSeed® devices. Also affecting results in the first quarter of 2013 was $58,000 of expense for the medical device excise tax, which was effective January 1, 2013.
 
Non-operating income/expense
 
A summary of our interest expense is as follows (in thousands):
 
   
Quarter Ended
March 31,
 
   
2013
   
2012
 
Interest paid or accrued, including loan fees
  $ 136     $ 200  
Fair value adjustment
          (28 )
Interest capitalized
          (8 )
Total interest expense
  $ 136     $ 164  
 
 
18

 
 
Interest expense paid or accrued, including loan fees, is related to our effective interest rates and the level of our outstanding borrowings under our credit agreement.  Fair value adjustments were related to our interest rate swaps, which matured in June 2012.  Such fair value adjustments were unrealized gains and reflected the period to period changes in the estimated fair value of our swaps.  Interest capitalized related to the development of our ERP system.  The effective interest rate under our Credit Agreement was 1.96% at March 31, 2013.
 
Income tax expense
 
Our effective income tax rates include federal and state income taxes.  For the quarter ended March 31, 2012, our effective tax rate was 36%.  For the quarter ended March 31, 2013, we recorded a tax benefit at a rate of 63%. The effective tax rate for the first quarter of 2013 was impacted by the American Taxpayer Relief Act of 2012, which was signed into law on January 2, 2013 and retroactively reinstated the research tax credit. Although the reinstatement of this tax credit is retroactive to January 1, 2012, the enactment of this legislation in 2013 precluded us from recording the benefit in 2012. As a result, our income tax provision was reduced by approximately $32,000 in the first quarter of 2013 to recognize the 2012 benefit of this tax credit that would have otherwise been recorded in 2012.
 
Future tax rates can be affected by, among other things, tax credits, tax expense for items unrelated to actual taxable income (such as the write-off of deferred tax assets associated with share-based compensation), changes in tax regulations, changes in statutory tax rates, changes in the tax jurisdictions in which we must file income tax returns, and many other items that affect the taxability and deductibility of our revenue and expenses and for which we cannot currently predict.
 
Critical Accounting Policies and Estimates
 
The preparation of financial statements requires us to make estimates and assumptions that affect the reported amount of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenues and expenses during the reporting period. The SEC defines “critical accounting policies” as those that require application of our most difficult, subjective or complex judgments, often as a result of the need to make estimates about the effect of matters that are inherently uncertain and may change in subsequent periods. Our significant accounting policies are more fully described in the notes to our consolidated financial statements included in our Form 10-K for the year ended December 31, 2012. Certain accounting policies, as more fully described under “Critical Accounting Policies and Estimates” included in the Management’s Discussion and Analysis of our 2012 Form 10-K, are those which we believe are most critical in fully understanding and evaluating our reported financial results, and are areas in which our judgment in selecting an available alternative might produce a materially different result. There have been no significant changes to our critical accounting policies since December 31, 2012 other than described as follows:
 
Restructuring expenses. Restructuring charges will be recorded upon the approval of a formal management plan and included in the operating results of the period in which such plan is approved and any restructuring liabilities are incurred.  We expect restructuring expenses to consist primarily of severance related costs.  Severance related liabilities will be measured initially at the communication date based on the fair value of the liability as of the estimated termination date and recognized ratably over the required future service period. 

To estimate severance related restructuring charges, we will make assumptions and estimates regarding, among other things, the number of employees that will be terminated and that will fulfill the required service period to earn the severance.  Changes to these assumptions and estimates could result in a material increase or reversal of the restructuring liabilities and related costs we record as we execute the restructuring plan.

 
 
19

 
 
Liquidity and Capital Resources
 
We assess our liquidity in terms of our ability to generate cash to fund our operating, investing and financing activities. Significant factors affecting the management of our liquidity are: cash flows generated from operating activities, capital expenditures, operational investments to support growth (such as research and development programs), and acquisitions of businesses and technologies.
 
We had cash, cash equivalents, and marketable securities of $34.1 million at March 31, 2013 compared to $34.9 million at December 31, 2012.
 
Cash used by operations was $277,000 for the first quarter of 2013. In the first quarter of 2012 cash provided by operations was $2.4 million. Cash provided by operations consists of net earnings plus non-cash expenses such as depreciation, amortization, deferred income taxes and changes in balance sheet items such as accounts receivable, inventories, prepaid expenses and payables. The decrease in cash from operations is primarily due to the decline in net earnings and an increase in accounts receivable. The increase in accounts receivable from December 31, 2012 is primarily a result of the timing within the quarter of sales and receipt of payments from customers.
 
Cash used by investing activities was $7.6 million for the first quarter of 2013, consisting primarily of net purchases of marketable securities.  For the first quarter of 2012, cash used by investing activities was $4.3 million consisting primarily of cash used for the acquisition of the Core customer base. We have not made and do not expect to make additional remaining earn-out payments for the acquisition of the Core customer base in 2013.  However, we may make additional earn-out payments, which could be material, depending upon the actual amount of revenue generated from the acquired customers during the earn-out period. Capital expenditures, net of the acquisition of the Core customer base in 2012, totaled $527,000 and $329,000 during the first quarter of 2013 and 2012, respectively.
 
For 2013, we expect our capital expenditures to be $2.0 to $2.5 million, exclusive of capital expenditures related to the restructuring of our vascular access manufacturing operations.   These capital expenditures in 2013 will be intended to support growth in the surgical products segment and maintain the brachytherapy segment. However, the timing and amounts of capital expenditures are subject to fluctuation depending upon opportunities we may identify. All capital expenditures will be funded from cash on hand.
 
Cash used by financing activities in the first quarter of 2012 included $834,000 of principal repayments on our outstanding borrowings in accordance with the terms of our credit facility.  No such payment was required in the first quarter of 2013.
 
On May 8, 2013, our Board of Directors approved a restructuring of our vascular access manufacturing operations.  During 2013 and 2014, cash will be required for the implementation of this restructuring, which will be funded from cash on hand.  See “Restructuring of Vascular Access Manufacturing Operations” above.
 
We may also continue to use cash for increased marketing and support activities in our brachytherapy seed business and in the pursuit of additional diversification efforts such as product development, the purchase of technologies, products, companies, and other strategic initiatives. We believe that current cash, cash equivalents, and investment balances and cash from future operations will be sufficient to meet our current short-term anticipated working capital and capital expenditure requirements. However, any disruption or instability in the U.S. and global financial markets and worldwide economies may hinder our ability to take advantage of opportunities for long-term growth in our businesses. In the event additional financing becomes necessary, we may choose to raise those funds through other means of financing as appropriate.
 
Credit Agreement
 
We have a Credit Agreement with a financial institution that provides for up to $40 million of borrowings under a revolving credit facility (the “Revolver”).  The Revolver matures on October 10, 2015 with interest on outstanding borrowings payable at the London Interbank Offered Rate (“LIBOR”) plus 1.75%. Our interest rate as of March 31, 2013 was 1.96%. The Revolver also provides for a $5 million sub-limit for trade and stand-by letters of credit. As of March 31, 2013, borrowings of $22.0 million were outstanding under the Revolver, and letters of credit totaling $946,000, representing decommission funding required by the Georgia Department of Natural Resources, were outstanding under the Credit Agreement.
 
 
20

 
 
The Credit Agreement is unsecured, but provides for a lien to be established on substantially all of our assets upon certain events of default. The Credit Agreement contains representations and warranties, as well as affirmative, reporting and negative covenants customary for financings of this type. Among other things, the Credit Agreement restricts the incurrence of certain additional debt and certain capital expenditures, and requires the maintenance of certain financial ratios, including a minimum fixed charge coverage ratio, a maximum senior liabilities to tangible net worth ratio, and the maintenance of minimum liquid assets of $10 million, as all such ratios and terms are defined in the Credit Agreement. We were in compliance with all covenants as of March 31, 2013.
 
Other Regulatory Developments
 
Significant reforms to the healthcare system were adopted in the form of the Patient Protection and Affordable Care Act (the “PPACA”). The PPACA includes provisions that, among other things, reduce and/or limit Medicare reimbursement to certain providers, require all individuals to have health insurance (with limited exceptions) and impose new and/or increased taxes. Specifically, the law requires the medical device industry to subsidize healthcare reform in the form of a 2.3% excise tax on the U.S. sales of most medical devices beginning in 2013 as noted above in “Overview – Medical Device Tax”. The Medical Device Tax will have a material impact on our consolidated results of operations, cash flows, and financial condition. Other provisions of the PPACA, such as requirements relating to employee health insurance, can be expected to increase our operating costs.
 
CMS has published final regulations that would implement provisions in PPACA related to disclosure of payments made by manufacturers to physicians and teaching hospitals, effective April 2013.  Because we manufacture a number of devices that are covered by the regulations, all payments that we make to physicians and teaching hospitals would be subject to this reporting requirement even if the payment relates to a device that is not considered a covered device. The tracking and reporting of these payments could have an adverse impact on our business and/or consolidated results of operations and financial condition and on our relationships with customers and potential customers.
 
In addition to the PPACA, various healthcare reform proposals have also emerged at the state level. Like the PPACA, these proposals could reduce medical procedure volumes and impact the demand for our products or the prices at which we sell our products. The impact of these proposals could have a material adverse effect on our business and/or consolidated results of operations and financial condition.
 
The American Taxpayer Relief Act (ATRA) of 2012, known as the fiscal cliff deal, was enacted on January 2, 2013. This Act delayed until March 1, 2013 the automatic spending cuts of nearly $1 trillion over the next 10 years that were included under the Budget Control Act of 2011. These spending cuts include a 2% cut to Medicare providers and suppliers. Medicaid is exempt from these cuts. Any cuts to Medicare reimbursement which affect our products could have a material adverse effect on our business and/or our consolidated results of operations and financial condition. 
 
Forward Looking and Cautionary Statements
 
This document contains forward-looking statements within the meaning of the Private Securities Litigation Reform Act of 1995 including, without limitation, statements regarding the restructuring of our vascular access manufacturing operations, sales, marketing and distribution efforts, ordering patterns of customers, effects of healthcare reform, third-party reimbursement, CMS policy, sales mix, effectiveness and continuation of non-exclusive distribution agreements, anticipated growth in the surgical products business segment, the increasing scale of our surgical products business, future cost of sales and gross margins, R&D efforts and expenses, investment in additional personnel, infrastructure and capital assets, SG&A expenses, potential new products and opportunities, future results in general, plans and strategies for continuing diversification, valuation of marketable securities and cash equivalents we may hold, and the sufficiency of our liquidity and capital resources.
 
In addition, there are substantial risks inherent in the medical device business. Our business involves the design, development, manufacture, packaging, distribution and sale of life-sustaining medical devices. These devices are often used on, or permanently or temporarily implanted in, patients in clinically demanding circumstances, such as operating rooms, emergency units, intensive care and critical care settings, among others. These circumstances, among other factors, can cause the products to become associated with adverse clinical events, including patient mortality and injury, and could lead to product liability claims and other litigation, product withdrawals, warning letters, recalls, field corrections or regulatory enforcement actions relating to one or more of our products, any of which could have a material adverse effect on our business, results of operations, financial condition and/or liquidity.
 
 
21

 
 
Because actual results are affected by these and other risks and uncertainties, we caution investors that actual results may differ materially from those expressed or implied. It is not possible to predict or identify all risks and uncertainties, but the most significant factors, in addition to those addressed above and those under Item 1A. “Risk Factors” in our Annual Report on Form 10-K for the year ended December 31, 2012, that could adversely affect our business or cause the actual results to differ materially from those expressed or implied include, but are not limited to:
 
 
the ability to achieve manufacturing or administrative efficiencies, including gross margin benefits from our manufacturing processes and supply chain programs or in connection with the integration of acquired businesses;
 
 
the ability to implement the restructuring of our vascular access manufacturing operations within our costt estimates and timetable; realize the expected net savings from the restructuring; our ability to retain customers and market share during the restructuring period; and the ability of the independent suppliers to manufacture our products in accordance with our quality specifications and in the quantities we require;
 
 
the effects of negative publicity concerning our products, which could result in product withdrawals or decreased product demand and which could reduce market or governmental acceptance of our products;
 
 
the reduction in the number of procedures using our devices caused by customers’ cost-containment pressures or preferences for alternate therapies;
 
 
the ability to implement, and realize the benefits of, our plans to invest in our business, including our plans for new product development;
 
 
internal factors, such as retention of key employees;
 
 
damage to a facility where our products are manufactured or from which they are distributed, which could render us unable to manufacture or distribute one or more products and may require us to reduce the output of products at the damaged facility thereby making it difficult to meet product shipping targets;
 
 
the potential impairment of our intangible assets resulting from insufficient cash flow generated from such assets specifically, or our business more broadly, so as to not allow us to justify the carrying value of the assets;
 
 
the ability to obtain appropriate levels of product liability insurance on reasonable terms;
 
 
the trend of consolidation in the medical device industry as well as among our customers, resulting in potentially greater pricing pressures and more significant and complex contracts than in the past;
 
 
development of new products or technologies by competitors having superior performance compared to our current products or products under development which could negatively impact sales of our products or render one or more of our products obsolete;
 
 
technological advances, patents and registrations obtained by competitors that would have the effect of excluding us from new market segments or preventing us from selling a product or including key features in our products;
 
 
attempts by competitors to gain market share through aggressive marketing programs;
 
 
reprocessing by third-party reprocessors of our products designed and labeled for single use;
 
 
the ability to obtain regulatory approval for products on a timely basis and to launch products on a timely basis within cost estimates;
 
 
lengthy and costly regulatory approval processes, which may result in lost market opportunities and/or delayed product launches;
 
 
the suspension or revocation of authority to manufacture, market or distribute existing products;
 
 
the imposition of additional or different regulatory requirements, such as those affecting manufacturing and labeling;
 
 
performance, efficacy, quality or safety concerns for existing products, whether scientifically justified or not, that may lead to product discontinuations, product withdrawals, recalls, field corrections, regulatory enforcement actions, litigation or declining sales;
 
 
FDA inspections resulting in Form-483 notices and/or warning letters identifying deficiencies in our manufacturing practices and/or quality systems; warning letters identifying violations of FDA regulations that could result in product holds, recalls, restrictions on future clearances by the FDA and/or civil penalties;
 
 
the failure to obtain, limitations on the use of, or the loss of, patent and other intellectual property rights, and the failure of efforts to protect our intellectual property rights against infringement and legal challenges that can increase our costs;
 
 
difficulties obtaining necessary components or raw materials used in our products and/or price increases from our suppliers of critical components or raw materials;
 
 
customers that may limit the number of manufacturers or vendors from which they will purchase products, which can result in our inability to sell products to or contract with large hospital systems, integrated delivery networks or group purchasing organizations;
 
 
the impact of continued healthcare cost containment;
 
 
22

 
 
 
 
new laws and judicial decisions related to healthcare availability, healthcare reform, payment for healthcare products and services or the marketing and distribution of products, including legislative or administrative reforms to the United States Medicare and Medicaid systems or other United States or international reimbursement systems in a manner that would significantly reduce or eliminate reimbursements for procedures that use our products;
 
 
changes in the FDA and/or foreign regulatory approval processes that may delay or prevent the approval of new products and result in lost market opportunity;
 
 
the impact of more vigorous compliance and enforcement activities affecting the healthcare industry in general or the company in particular;
 
 
changes in the tax laws affecting our business, such as the medical device tax;
 
 
changes in the environmental laws or standards affecting our business;
 
 
changes in laws that could require facility upgrades or process changes and could affect production rates and output;
 
 
compliance costs and potential penalties and remediation obligations in connection with environmental laws, including regulations regarding air emissions, waste water discharges and solid waste;
 
 
disputes over legal proceedings;
 
 
product liability claims;
 
 
claims asserting securities law violations;
 
 
claims asserting, and/or subpoenas seeking information regarding, violations of law in connection with federal and/or state healthcare programs;
 
 
derivative shareholder actions;
 
 
claims and subpoenas asserting antitrust violations;
 
 
environmental claims, including risks relating to accidental contamination or injury from the use of hazardous materials in our manufacturing, sterilization and research activities and the potential for us to be held liable for any resulting damages;
 
 
commercial disputes, including disputes over distribution agreements, license agreements, manufacturing/supply agreements, development/research agreements, acquisition or sale agreements, and insurance policies;
 
 
domestic and international business conditions;
 
 
political or economic instability in foreign countries;
 
 
interest rates;
 
 
changes in the rate of inflation;
 
 
instability of global financial markets and economies; and
 
 
other factors beyond our control, including catastrophes, both natural and man-made, earthquakes, floods, fires, explosions, acts of terrorism or war.
 
These and other risks and uncertainties are described herein and in other information contained in our publicly available SEC filings and press releases.  You are cautioned not to place undue reliance on these forward-looking statements, which speak only as of the date such statements were first made. Except to the extent required by federal securities laws, we undertake no obligation to publicly release the result of any revisions to these forward-looking statements to reflect events or circumstances after the date hereof, or to reflect the occurrence of unanticipated events.
 
Item 3. Quantitative and Qualitative Disclosures About Market Risk
 
The quantitative and qualitative disclosures about market risk are discussed in Item 7A in our 2012 Annual Report on Form 10-K. There have been no material changes in information since the information reported in the 10-K for the year ended December 31, 2012.
 
Item 4. Controls and Procedures
 
Under the supervision and with the participation of our management, including our Chief Executive Officer and Chief Financial Officer, we conducted an evaluation of the effectiveness of the design and operation of our disclosure controls and procedures, as such term is defined under Rule 13a-15(e) promulgated under the Securities Exchange Act of 1934, as amended.  Based on this evaluation, the Chief Executive Officer and Chief Financial Officer concluded that our disclosure controls and procedures were effective as of March 31, 2013, the end of the period covered by this report.
 
 
23

 
No changes in our internal control over financial reporting were identified as having occurred during the quarter ended March 31, 2013, that have materially affected, or are reasonably likely to materially affect, our internal control over financial reporting.
 
PART II. OTHER INFORMATION
 
Item 1. Legal Proceedings
 
From time to time, we are subject to certain legal proceedings and claims in the ordinary course of business. We currently are not aware of any such legal proceedings or claims that we believe will have, individually or in aggregate, a material adverse effect on our business, financial condition, or operating results.
 
Item 1A. Risk Factors
 
In addition to the other information set forth in this report, the factors discussed in Part I, “Item 1A. Risk Factors” in our Annual Report on Form 10-K for the year ended December 31, 2012, which could materially affect our business, financial condition or future results, should be carefully considered. The risks described in our Annual Report on Form 10-K are not the only risks facing us. Additional risks and uncertainties not currently known to us or that we currently deem to be immaterial also may materially adversely affect our business, financial condition and/or operating results.
 
 
24
 
 
Item 6. Exhibits
 
Exhibit No.
 
Title
     
31.1
 
Certification of Chief Executive Officer pursuant to Rule 13a-14(a) and Section 302 of the Sarbanes-Oxley Act of 2002.
     
31.2
 
Certification of Chief Financial Officer pursuant to Rule 13a-14(a) and Section 302 of the Sarbanes-Oxley Act of 2002.
     
32.1
 
Certification of Chief Executive Officer pursuant to Section 1350, Chapter 63 of Title 18, United States Code, as adopted to Section 906 of the Sarbanes-Oxley Act of 2002.
     
32.2
 
Certification of Chief Financial Officer pursuant to Section 1350, Chapter 63 of Title 18, United States Code, as adopted to Section 906 of the Sarbanes-Oxley Act of 2002.
     
101.INS
 
XBRL Instance Document.
     
101.SCH
 
XBRL Taxonomy Extension Schema Document.
     
101.CAL
 
XBRL Taxonomy Extension Calculation Linkbase Document.
     
101.DEF
 
XBRL Taxomony Extension Definition Linkbase Document.
     
101.LAB
 
XBRL Taxonomy Extension Label Linkbase Document.
     
101.PRE
 
XBRL Taxonomy Extension Presentation Linkbase Document.
     
 
 
25

 
 
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.
 
   
REGISTRANT:
   
 
THERAGENICS CORPORATION
 
Date: May 13, 2013
 
By: 
 
/s/ M. Christine Jacobs
     
M. Christine Jacobs
Chief Executive Officer
 
Date: May 13, 2013
 
By: 
/s/ Francis J. Tarallo
     
Francis J. Tarallo
Chief Financial Officer
 
26
EX-31.1 2 ex31-1.htm EXHIBIT 31.1 ex31-1.htm

Exhibit 31.1
 
CERTIFICATION
 
I, M. Christine Jacobs, certify that:
 
1.
I have reviewed this quarterly report on Form 10-Q of Theragenics Corporation;
 
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 registrants other certifying officer 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; and
 
5.
The registrant’s other certifying officer 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: May 13, 2013
By:  
/s/ M. Christine Jacobs
   
M. Christine Jacobs
   
Chief Executive Officer
 
 
EX-31.2 3 ex31-2.htm EXHIBIT 31.2 ex31-2.htm

Exhibit 31.2
 
CERTIFICATION
 
I, Francis J. Tarallo, certify that:
 
1.
I have reviewed this quarterly report on Form 10-Q of Theragenics Corporation;
 
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 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; and
 
5.
The registrant’s other certifying officer 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: May 13, 2013
By:  
/s/ Francis J. Tarallo
   
Francis J. Tarallo
   
Chief Financial Officer
 
 
EX-32.1 4 ex32-1.htm EXHIBIT 32.1 ex32-1.htm

Exhibit 32.1
 
CERTIFICATION PURSUANT TO
SECTION 1350, CHAPTER 63 OF TITLE 18, UNITED STATES CODE,
AS ADOPTED PURSUANT TO
SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002
 
In connection with the Quarterly Report of Theragenics Corporation, (the “Company”) on Form 10-Q for the period ended March 31, 2013 as filed with the Securities and Exchange Commission on the date hereof (the “Report”), I, M. Christine Jacobs, President and Chief Executive Officer, certify pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that:
 
 
(1)
The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and
 
(2)
The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company as of the dates and for the periods referred to in the Report.
 
Date: May 13, 2013
By:  
/s/ M. Christine Jacobs
   
M. Christine Jacobs
   
Chief Executive Officer
 
A signed original of this written statement required by Section 906 has been provided to Theragenics Corporation and will be retained by Theragenics Corporation and furnished to the Securities and Exchange Commission or its staff upon request.
 
 
EX-32.2 5 ex32-2.htm EXHIBIT 32.2 ex32-2.htm

Exhibit 32.2
 
CERTIFICATION PURSUANT TO
SECTION 1350, CHAPTER 63 OF TITLE 18, UNITED STATES CODE,
AS ADOPTED PURSUANT TO
SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002

In connection with the Quarterly Report of Theragenics Corporation, (the “Company”) on Form 10-Q for the period ended March 31, 2013 as filed with the Securities and Exchange Commission on the date hereof (the “Report”), I, Francis J. Tarallo, Chief Financial Officer, certify pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that:
 
 
(1)
The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and
 
(2)
The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company as of the dates and for the periods referred to in the Report.
 
Date: May 13, 2013
By:  
/s/ Francis J. Tarallo
   
Francis J. Tarallo
   
Chief Financial Officer
 
A signed original of this written statement required by Section 906 has been provided to Theragenics Corporation and will be retained by Theragenics Corporation and furnished to the Securities and Exchange Commission or its staff upon request.
 
 
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RESTRUCTURING (Detail Textuals) (Facility Elimination, USD $)
In Millions, unless otherwise specified
3 Months Ended
Mar. 31, 2013
Restructuring Cost and Reserve [Line Items]  
Restructuring period 20 months
Incremental expenses $ 3.7
Capital expenditures 2.5
Scenario, Forecast
 
Restructuring Cost and Reserve [Line Items]  
Description of restructuring plan On May 8, 2013, our Board of Directors approved a restructuring of our vascular access manufacturing operations.
Incremental expenses 4.1
Capital expenditures $ 2.7
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SEGMENT REPORTING - Segment Information (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Mar. 31, 2013
Mar. 31, 2012
Segment Reporting Information [Line Items]    
Revenue $ 19,873 $ 21,583
Earnings (loss) from operations 17 1,576
Capital expenditures 527 329
Depreciation and amortization 2,004 1,983
Surgical products
   
Segment Reporting Information [Line Items]    
Revenue 14,483 15,494
Earnings (loss) from operations (335) 199
Capital expenditures 412 272
Depreciation and amortization 1,236 1,229
Brachytherapy Seed
   
Segment Reporting Information [Line Items]    
Revenue 5,719 6,320
Earnings (loss) from operations 399 1,380
Capital expenditures 115 57
Depreciation and amortization 768 754
Intersegment eliminations
   
Segment Reporting Information [Line Items]    
Revenue (329) (231)
Earnings (loss) from operations $ (47) $ (3)
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FINANCIAL INSTRUMENTS AND FAIR VALUE- Gains and losses recognized on derivative financial instruments (Details 1) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Mar. 31, 2013
Mar. 31, 2012
Derivative [Line Items]    
Change in fair value   $ (28)
Interest rate swaps | Interest Expense
   
Derivative [Line Items]    
Periodic settlements    31
Change in fair value    $ (28)
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EARNINGS PER SHARE - Summary (Details) (USD $)
In Thousands, except Per Share data, unless otherwise specified
3 Months Ended
Mar. 31, 2013
Mar. 31, 2012
Earnings Per Share [Abstract]    
Net earnings (loss) $ (34) $ 934
Weighted average common shares outstanding (in shares) 29,065 33,533
Incremental common shares issuable under stock options and awards   408
Weighted average common shares outstanding assuming dilution 29,065 33,941
Earnings per share    
Basic (in dollars per share) $ 0.00 $ 0.03
Diluted (in dollars per share) $ 0.00 $ 0.03
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INVENTORIES
3 Months Ended
Mar. 31, 2013
Inventory Disclosure [Abstract]  
INVENTORIES
NOTE D - INVENTORIES
 
Inventories are stated at the lower of cost or market. Cost is determined using the first-in, first-out (“FIFO”) method. Market is replacement cost or net realizable value. We estimate reserves for inventory obsolescence based on our judgment of future realization. Inventories were comprised of the following (in thousands): 
 
   
March 31,
2013
   
December 31,
2012
 
Raw materials
  $ 6,901     $ 6,806  
Work in process
    4,188       4,024  
Finished goods
    4,567       4,344  
Spare parts and supplies
    926       956  
      16,582       16,130  
Allowance for obsolete inventory
    (994 )     (748 )
    Inventories, net
  $ 15,588     $ 15,382  
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SHARE-BASED COMPENSATION - Summary of activity in non-vested restricted stock awards (Details) (Non-vested restricted stock, USD $)
3 Months Ended
Mar. 31, 2013
Mar. 31, 2012
Non-vested restricted stock
   
Shares    
Non-vested at December 31, 2012 1,126  
Granted 970  
Vested (285)  
Forfeited     
Non-vested at March 31, 2013 1,811  
Weighted average grant date fair value    
Non-vested at December 31, 2012 $ 1.57  
Granted $ 1.46 $ 1.46
Vested $ 1.51  
Forfeited     
Non-vested at March 31, 2013 $ 1.52  
XML 20 R28.htm IDEA: XBRL DOCUMENT v2.4.0.6
INCOME TAXES (Detail Textuals) (USD $)
3 Months Ended
Mar. 31, 2013
Income Tax Disclosure [Abstract]  
Effective income tax rate 36.00%
Recorded tax benefit rate 63.00%
Reduction in amount of income tax provision $ 32,000
XML 21 R30.htm IDEA: XBRL DOCUMENT v2.4.0.6
SHARE-BASED COMPENSATION (Detail Textuals) (Restricted Stock, USD $)
3 Months Ended
Mar. 31, 2013
Mar. 31, 2012
Restricted Stock
   
Share-based Compensation Arrangement by Share-based Payment Award [Line Items]    
Number of restricted stock shares 970,300  
Fair value on market price of the underlying common stock at the grant date (in dollars per share) $ 1.46 $ 1.46
Vesting period of restricted stock   4 years
Non-cash compensation expense related to restricted stock $ 242,000 $ 122,000
Unrecognized compensation cost related to restricted shares 2,054,000  
Weighted average recognition period 2 years 3 months 18 days  
Fair value of restricted stock vested $ 441,000 $ 232,000
XML 22 R31.htm IDEA: XBRL DOCUMENT v2.4.0.6
DISTRIBUTION AGREEMENTS AND MAJOR CUSTOMERS (Detail Textuals) (Brachytherapy Seed, C R Bard)
3 Months Ended
Mar. 31, 2013
Brachytherapy Seed | C R Bard
 
Revenue, Major Customer [Line Items]  
Automatic extension term of agreement 1 year
Notice period for extension of term of agreement 12 months
XML 23 R8.htm IDEA: XBRL DOCUMENT v2.4.0.6
FINANCIAL INSTRUMENTS AND FAIR VALUE
3 Months Ended
Mar. 31, 2013
Fair Value Disclosures [Abstract]  
FINANCIAL INSTRUMENTS AND FAIR VALUE
NOTE C – FINANCIAL INSTRUMENTS AND FAIR VALUE
 
Financial Instruments
 
We are exposed to certain risks relating to our ongoing business operations. Prior to June 1, 2012 when our interest rate swaps expired, we managed our interest rate risk using interest rate swaps associated with outstanding borrowings under our credit agreement since our interest rates are floating rates based on LIBOR.  Our interest rate swaps were intended to convert a portion of our floating rate debt to a fixed rate.  We did not use interest rate swaps for speculative or trading purposes.  Subsequent to June 1, 2012 we have held no interest rate swaps or other derivative financial instruments.  Our interest rate swaps were recorded as either assets or liabilities at fair value on our consolidated balance sheets.  We entered into interest rate swaps that were designed to hedge our interest rate risk but were not designated as “hedging instruments”, as defined under guidance issued by the Financial Accounting Standards Board (“FASB”).  Changes in the fair value of these instruments were recognized as adjustments to interest expense in our consolidated statements of comprehensive earnings (loss).
 
A roll forward of the notional value of our interest rate swaps is as follows (in thousands):
 
   
Quarter Ended March 31,
 
   
2013
   
2012
 
Balance, beginning of the period
  $     $ 7,667  
New contracts
           
Matured contracts
          (834 )
Balance, end of the period
  $     $ 6,833  
 
The following table includes information about gains and losses recognized on our interest rate swaps not designated as hedging instruments in our condensed consolidated statements of comprehensive earnings (loss) (in thousands):
 
   
 
Quarter Ended
March 31,
  Location of
Loss (Gain)
Recognized in
Income 
   
2013
   
2012
 
Periodic settlements
  $     $ 31    Interest expense
Change in fair value
  $     $ (28 )  Interest expense
 
Financial Instruments Measured at Fair Value on a Recurring Basis
 
We measure fair value as the exchange price that would be received for an asset or paid to transfer a liability (an exit price) in the principal or most advantageous market for the asset or liability in an orderly transaction between market participants at the measurement date. In accordance with guidance issued by the FASB, we use a three-level fair value hierarchy to prioritize the inputs used to measure fair value. The hierarchy maximizes the use of observable inputs and minimizes the use of unobservable inputs. The three levels of inputs used to measure fair value are as follows:
 
 
Level 1 – Quoted prices in active markets for identical assets or liabilities.
 
Level 2 – Observable inputs other than quoted prices included in Level 1, such as quoted prices for similar assets and liabilities in active markets; quoted prices for identical or similar assets and liabilities in markets that are not active; or other inputs that are observable or can be corroborated by observable market data.
 
Level 3 – Unobservable inputs that are supported by little or no market activity and that are significant to the fair value of the assets or liabilities.  This includes certain pricing models, discounted cash flow methodologies and similar techniques that use significant unobservable inputs.
 
 
We had the following assets measured at fair value on a recurring basis subject to disclosure requirements (in thousands):
 
   
Quoted
Prices in
Active
Markets
(Level 1)
   
Significant
Other
Observable
Inputs
(Level 2)
   
Significant Unobservable Inputs
(Level 3)
   
 
Total
 
March 31, 2013
                       
Money market funds
  $ 477     $     $     $ 477  
Marketable securities
    18,327                   18,327  
        Total assets
  $ 18,804     $     $     $ 18,804  
                                 
December 31, 2012
                               
Money market funds
  $ 477     $     $     $ 477  
Marketable securities
    11,319                   11,319  
  Total assets
  $ 11,796     $     $     $ 11,796  
 
Financial Instruments Not Measured at Fair Value
 
Our financial instruments not measured at fair value consist of cash and cash equivalents, trade accounts receivable, and accounts payable, the carrying value of each approximating fair value due to the nature of these accounts. Our financial instruments not measured at fair value also include borrowings under our credit agreement.  We estimate the fair value of outstanding borrowings under our credit agreement based on the current market rates applicable to borrowers with credit profiles similar to us.  We estimate that the carrying value of our borrowings approximates fair value at March 31, 2013.
 
Other Fair Value Measurements
 
There were no nonfinancial assets or nonfinancial liabilities measured at fair value at March 31, 2013 or December 31, 2012.
XML 24 R32.htm IDEA: XBRL DOCUMENT v2.4.0.6
DISTRIBUTION AGREEMENTS AND MAJOR CUSTOMERS (Detail Textuals 1) (C R Bard)
3 Months Ended
Mar. 31, 2013
Mar. 31, 2012
Dec. 31, 2012
Brachytherapy Seed
     
Revenue, Major Customer [Line Items]      
Percentage of revenue 23.00% 29.00%  
Percentage of consolidated revenue 10.00% 10.00%  
Percentage of accounts receivable 18.00%   16.00%
Surgical products
     
Revenue, Major Customer [Line Items]      
Percentage of accounts receivable 10.00%    
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CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE EARNINGS (LOSS) (UNAUDITED) (USD $)
In Thousands, except Per Share data, unless otherwise specified
3 Months Ended
Mar. 31, 2013
Mar. 31, 2012
REVENUE    
Product sales $ 19,212 $ 20,979
License and fee income 661 604
Revenue 19,873 21,583
COST OF SALES 12,848 12,974
GROSS PROFIT 7,025 8,609
OPERATING EXPENSES    
Selling, general and administrative 5,678 5,901
Amortization of purchased intangibles 861 855
Research and development 280 277
Medical device excise tax 193  
Gain on disposal of assets (4)  
Operating expenses 7,008 7,033
EARNINGS FROM OPERATIONS 17 1,576
OTHER INCOME (EXPENSE)    
Interest income 27 38
Interest expense (136) (164)
Other   1
Other income (expense) (109) (125)
EARNINGS (LOSS) BEFORE INCOME TAXES (92) 1,451
Income tax expense (benefit) (58) 517
NET EARNINGS (LOSS) (34) 934
EARNINGS PER SHARE:    
Basic (in dollars per share) $ 0.00 $ 0.03
Diluted (in dollars per share) $ 0.00 $ 0.03
WEIGHTED AVERAGE SHARES    
Basic (in shares) 29,065 33,533
Diluted (in shares) 29,065 33,941
COMPREHENSIVE EARNINGS (LOSS)    
Net earnings (loss) (34) 934
Other comprehensive earnings (loss), net of taxes    
Reclassification adjustment for gain included in net earnings (loss)   (1)
Unrealized gains on securities arising during the period   57
Total other comprehensive earnings    56
Total comprehensive earnings (loss) $ (34) $ 990
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BASIS OF PRESENTATION AND DESCRIPTION OF BUSINESS
3 Months Ended
Mar. 31, 2013
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
BASIS OF PRESENTATION AND DESCRIPTION OF BUSINESS
NOTE A - BASIS OF PRESENTATION AND DESCRIPTION OF BUSINESS
 
The accompanying unaudited interim condensed consolidated financial statements reflect the consolidated operations of Theragenics Corporation and its wholly-owned subsidiaries. All material intercompany accounts and transactions have been eliminated. The terms Company, “we, “us, or “our mean Theragenics Corporation and all entities included in our consolidated financial statements. These financial statements have been prepared in accordance with accounting principles generally accepted in the United States of America (“GAAP”) for interim financial reporting and the rules and regulations of the U.S. Securities and Exchange Commission (“SEC”) and, therefore, do not include all information and disclosures normally included in our annual consolidated financial statements.
 
To prepare financial statements in accordance with GAAP, we must make certain estimates and judgments that affect the reported amounts of assets, liabilities, revenues, and expenses, and the related disclosure of contingent assets and liabilities at the date of the financial statements. Actual amounts may differ from these estimated amounts. In our opinion, these interim financial statements include all adjustments (including normal recurring accruals) considered necessary for a fair presentation.
 
Our consolidated results of operations for the interim periods presented herein are not necessarily indicative of the results that may be expected for a full year. These interim financial statements and notes should be read in conjunction with our audited consolidated financial statements and notes for the year ended December 31, 2012 included in the Form 10-K Annual Report that we filed with the SEC.
 
We are a medical device company serving the surgical products and cancer treatment markets, operating in two business segments. Our surgical products business consists of wound closure, vascular access, and specialty needle products. Wound closure includes sutures, needles, and other surgical products. Vascular access includes introducers, guidewires, and related products. Specialty needles include coaxial, biopsy, spinal and disposable veress needles, access trocars, implanters, introducer products and other needle based products. Our surgical products segment serves a number of markets and applications, including among other areas, interventional cardiology, interventional radiology, vascular surgery, orthopedics, plastic surgery, dental surgery, urology, veterinary medicine, pain management, endoscopy, and spinal surgery. Our brachytherapy business manufactures, custom loads, markets and distributes “seeds” used primarily in the minimally invasive treatment of localized prostate cancer. Our brachytherapy product line includes our palladium-103 based TheraSeed® device and our iodine-125 based AgX100® device.
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SEGMENT REPORTING - Revenue By Geographic Regions (Details 2) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Mar. 31, 2013
Mar. 31, 2012
Segment Reporting Information [Line Items]    
Product sales $ 19,212 $ 20,979
License and fee income 661 604
Revenue 19,873 21,583
Product sales | United States
   
Segment Reporting Information [Line Items]    
Product sales 16,012 18,948
Product sales | Europe
   
Segment Reporting Information [Line Items]    
Product sales 2,203 1,509
Product sales | Other foreign countries
   
Segment Reporting Information [Line Items]    
Product sales 997 522
License and fee income | United States
   
Segment Reporting Information [Line Items]    
License and fee income 268 247
License and fee income | Canada
   
Segment Reporting Information [Line Items]    
License and fee income $ 393 $ 357
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BASIS OF PRESENTATION AND DESCRIPTION OF BUSINESS (Detail Textuals)
3 Months Ended
Mar. 31, 2013
Segment
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Number of business segment 2
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SEGMENT REPORTING (Detail Textuals)
3 Months Ended
Mar. 31, 2013
Segment
Segment Reporting Information [Line Items]  
Number of business segment 2
Brachytherapy segment
 
Segment Reporting Information [Line Items]  
Maximum limit of foreign product sales percentage 10.00%
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FINANCIAL INSTRUMENTS AND FAIR VALUE - Roll forward of notional value (Details) (Interest rate swaps, USD $)
In Thousands, unless otherwise specified
3 Months Ended
Mar. 31, 2013
Mar. 31, 2012
Interest rate swaps
   
Notional Amount Of Interest Rate Derivatives [Roll Forward]    
Balance, beginning of the period    $ 7,667
New contracts      
Matured contracts    (834)
Balance, end of the period    $ 6,833
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ACQUISITION OF CORE ONCOLOGY'S PROSTATE BRACHYTHERAPY CUSTOMER BASE
3 Months Ended
Mar. 31, 2013
Asset Acquisition Disclosure [Abstract]  
ACQUISITION OF CORE ONCOLOGY'S PROSTATE BRACHYTHERAPY CUSTOMER BASE
NOTE B ACQUISITION OF CORE ONCOLOGY’S PROSTATE BRACHYTHERAPY CUSTOMER BASE
 
On February 17, 2012, we acquired Core Oncology’s prostate brachytherapy customer base. This transaction has substantially increased our share of the iodine-125 segment of the prostate brachytherapy market. In addition to the customer base, we also acquired certain packaging technologies, equipment related to the packaging technologies, and certain existing component inventory. We did not acquire Core’s facilities, manufacturing equipment or processes, or Core’s employees.
 
The total purchase price for the acquired assets is equal to one times the actual revenue generated from the acquired customers over the twelve-month period from September 2012 to August 2013 (the “Earn-Out Period”), in excess of a $2.5 million Threshold Amount. We paid $5.3 million (including transaction costs) through March 31, 2013 for this transaction, primarily consisting of prepayment of a portion of the earn-out at closing in February 2012 plus subsequent earn-out payments. Quarterly earn-out payments based on actual revenue recognized from the acquired customers are due through August 2013; however, based on our current estimates, we do not expect to make any additional earn-out payments. No such earn-out payments were made in the first quarter of 2013.
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CONDENSED CONSOLIDATED BALANCE SHEETS (USD $)
In Thousands, unless otherwise specified
Mar. 31, 2013
Dec. 31, 2012
CURRENT ASSETS    
Cash and cash equivalents $ 15,767 $ 23,589
Marketable securities 18,327 11,319
Trade accounts receivable, less allowance of $571 in 2013 and $592 in 2012 10,264 8,946
Inventories 15,588 15,382
Deferred income tax asset 1,006 1,008
Refundable income taxes   290
Prepaid expenses and other current assets 1,067 1,014
TOTAL CURRENT ASSETS 62,019 61,548
Property and equipment, net 31,846 32,370
Intangible assets, net 10,125 11,020
Deferred income tax asset 1,067 717
Other assets 70 70
TOTAL ASSETS 105,127 105,725
CURRENT LIABILITIES    
Accounts payable 1,895 1,622
Accrued salaries, wages and payroll taxes 1,826 2,929
Income taxes payable 23  
Other current liabilities 1,014 1,020
TOTAL CURRENT LIABILITIES 4,758 5,571
Long-term borrowings 22,000 22,000
Asset retirement obligations 887 871
Other long-term liabilities 292 356
TOTAL LIABILITIES 27,937 28,798
COMMITMENTS AND CONTINGENCIES      
SHAREHOLDERS' EQUITY    
Common stock, authorized 100,000 shares of $0.01 par value, issued 35,812 in 2013 and 34,829 in 2012 358 348
Additional paid-in capital 75,995 75,708
Retained earnings 11,198 11,232
Accumulated other comprehensive gain 21 21
Common stock in treasury, at cost - 4,762 shares (10,382) (10,382)
TOTAL SHAREHOLDERS' EQUITY 77,190 76,927
TOTAL LIABILITIES AND SHAREHOLDERS' EQUITY $ 105,127 $ 105,725
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FINANCIAL INSTRUMENTS AND FAIR VALUE (Tables)
3 Months Ended
Mar. 31, 2013
Fair Value Disclosures [Abstract]  
Schedule of derivative instrument showing notional value of interest rate swaps
 
   
Quarter Ended March 31,
 
   
2013
   
2012
 
Balance, beginning of the period
  $     $ 7,667  
New contracts
           
Matured contracts
          (834 )
Balance, end of the period
  $     $ 6,833  
Schedule of derivatives not designated as hedging instruments included in condensed consolidated statement of comprehensive earnings

 
   
 
Quarter Ended
March 31,
  Location of
Loss (Gain)
Recognized in
Income 
   
2013
   
2012
 
Periodic settlements
  $     $ 31    Interest expense
Change in fair value
  $     $ (28 )  Interest expense
Schedule of fair value measured on recurring basis
   
Quoted
Prices in
Active
Markets
(Level 1)
   
Significant
Other
Observable
Inputs
(Level 2)
   
Significant Unobservable Inputs
(Level 3)
   
 
Total
 
March 31, 2013
                       
Money market funds
  $ 477     $     $     $ 477  
Marketable securities
    18,327                   18,327  
        Total assets
  $ 18,804     $     $     $ 18,804  
                                 
December 31, 2012
                               
Money market funds
  $ 477     $     $     $ 477  
Marketable securities
    11,319                   11,319  
  Total assets
  $ 11,796     $     $     $ 11,796  
XML 36 R1.htm IDEA: XBRL DOCUMENT v2.4.0.6
Document and Entity Information
3 Months Ended
Mar. 31, 2013
May 06, 2013
Document and Entity Information [Abstract]    
Entity Registrant Name THERAGENICS CORP  
Entity Central Index Key 0000795551  
Trading Symbol tgx  
Entity Current Reporting Status Yes  
Entity Voluntary Filers No  
Current Fiscal Year End Date --12-31  
Entity Filer Category Smaller Reporting Company  
Entity Common Stock Shares Outstanding   31,061,883
Document Type 10-Q  
Document Period End Date Mar. 31, 2013  
Amendment Flag false  
Document Fiscal Year Focus 2013  
Document Fiscal Period Focus Q1  
XML 37 R18.htm IDEA: XBRL DOCUMENT v2.4.0.6
INVENTORIES (Tables)
3 Months Ended
Mar. 31, 2013
Inventory Disclosure [Abstract]  
Schedule of Inventories
   
March 31,
2013
   
December 31,
2012
 
Raw materials
  $ 6,901     $ 6,806  
Work in process
    4,188       4,024  
Finished goods
    4,567       4,344  
Spare parts and supplies
    926       956  
      16,582       16,130  
Allowance for obsolete inventory
    (994 )     (748 )
    Inventories, net
  $ 15,588     $ 15,382  
 
XML 38 R4.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONDENSED CONSOLIDATED BALANCE SHEETS (Parentheticals) (USD $)
In Thousands, except Per Share data, unless otherwise specified
Mar. 31, 2013
Dec. 31, 2012
Statement Of Financial Position [Abstract]    
Trade accounts receivable, allowance (in dollars) $ 571 $ 592
Common stock, par value (in dollars per share) $ 0.01 $ 0.01
Common stock, shares authorized 100,000 100,000
Common stock, shares issued 35,812 34,829
Treasury stock, shares 4,762 4,762
XML 39 R12.htm IDEA: XBRL DOCUMENT v2.4.0.6
DISTRIBUTION AGREEMENTS AND MAJOR CUSTOMERS
3 Months Ended
Mar. 31, 2013
Distribution Agreements and Major Customer [Abstract]  
DISTRIBUTION AGREEMENTS AND MAJOR CUSTOMERS
NOTE G - DISTRIBUTION AGREEMENTS AND MAJOR CUSTOMERS
 
Brachytherapy Seed Distribution Agreements
 
Our brachytherapy seed business sells our TheraSeed® and AgX100® devices directly to healthcare providers and to third-party distributors. Under our TheraSeed® third-party distribution agreements, we are the exclusive palladium-103 seed supplier for the treatment of prostate cancer for each distributor, and each distributor has the non-exclusive right to sell TheraSeed® in the U.S. and Canada. Certain agreements also provide distributors with rights to distribute TheraSeed® for the treatment of solid localized tumors other than in the prostate and with rights to distribute to certain locations outside of North America. Such applications (non-prostate and outside of North America) have not been material. Our principal non-exclusive distribution agreement is with C. R. Bard (“Bard”). Our agreement with Bard (the “Bard Agreement”) provides for automatic one year extensions of the term, unless either party gives notice of its intent not to renew at least twelve months prior to the end of the current term. The current term expires December 31, 2014 and will be automatically extended for one additional year unless either party gives notice of its intent not to extend by December 31, 2013.
 
Major Customers
 
Sales to Bard under the Bard Agreement represented approximately 23% and 29% of total brachytherapy seed segment revenue for the quarters ended March 31, 2013 and 2012, respectively. No other single distributor represented 10% or more of brachytherapy seed segment revenues in the first quarter of 2013 or 2012.
 
Accounts receivable from Bard represented approximately18% of brachytherapy accounts receivable at March 31, 2013. At December 31, 2012, accounts receivable from Bard under the Bard Agreement represented approximately 16% of brachytherapy accounts receivable.
 
One surgical products customer represented 10% of surgical products accounts receivable.
XML 40 R11.htm IDEA: XBRL DOCUMENT v2.4.0.6
SHARE-BASED COMPENSATION
3 Months Ended
Mar. 31, 2013
Disclosure Of Compensation Related Costs, Share-Based Payments [Abstract]  
SHARE-BASED COMPENSATION
 NOTE F - SHARE-BASED COMPENSATION
 
Restricted Stock
 
A summary of activity in non-vested restricted stock awards during the quarter ended March 31, 2013 follows (shares in thousands):
 
Shares
Weighted
average grant
date fair value
    Non-vested at December 31, 2012
1,126
$
1.57
    Granted
970
1.46
    Vested
(285
)
1.51
    Forfeited
    Non-vested at March 31, 2013
1,811
$
1.52
 
During the quarter ended March 31, 2013, we granted 970,300 shares of restricted stock (with a grant date fair value of $1.46 per share based on the market price of the underlying common stock at the grant date) to executive officers in connection with long-term incentive compensation programs. The restricted stock vests ratably over four years.
 
Non-cash compensation expense related to restricted stock totaled approximately $242,000 and $122,000 for the quarters ended March 31, 2013 and 2012, respectively. As of March 31, 2013, there was approximately $2,054,000 of unrecognized compensation cost related to the restricted shares, which is expected to be recognized over a weighted average period of 2.3 years. The total fair value of restricted stock vested during the quarters ended March 31, 2013 and 2012 was approximately $441,000 and $232,000, respectively.
XML 41 R23.htm IDEA: XBRL DOCUMENT v2.4.0.6
ACQUISITION OF CORE ONCOLOGY'S PROSTATE BRACHYTHERAPY CUSTOMER BASE (Detail Textuals) (USD $)
In Millions, unless otherwise specified
3 Months Ended
Mar. 31, 2013
Asset Acquisition Disclosure [Abstract]  
Threshold amount of actual revenue generated from the acquired customers $ 2.5
Prepaid cash related to acquisition $ 5.3
XML 42 R19.htm IDEA: XBRL DOCUMENT v2.4.0.6
SHARE-BASED COMPENSATION (Tables)
3 Months Ended
Mar. 31, 2013
Disclosure Of Compensation Related Costs, Share-Based Payments [Abstract]  
Schedule of activity in non-vested restricted stock awards
   
Shares
 
Weighted
average grant
date fair value
 
     Non-vested at December 31, 2012
 
1,126
 
$
1.57
 
     Granted
 
970
   
1.46
 
     Vested
 
(285
)
 
1.51
 
     Forfeited
 
   
 
     Non-vested at March 31, 2013
 
1,811
 
$
1.52
 
XML 43 R15.htm IDEA: XBRL DOCUMENT v2.4.0.6
CONTINGENCIES
3 Months Ended
Mar. 31, 2013
Commitments and Contingencies Disclosure [Abstract]  
CONTINGENCIES
NOTE J – CONTINGENCIES
 
Litigation and claims
 
From time to time we may be a party to claims that arise in the ordinary course of business, none of which, in our view, is expected to have a material adverse effect on our consolidated financial position or results of operations.
XML 44 R13.htm IDEA: XBRL DOCUMENT v2.4.0.6
SEGMENT REPORTING
3 Months Ended
Mar. 31, 2013
Segment Reporting [Abstract]  
SEGMENT REPORTING
NOTE H - SEGMENT REPORTING
 
We are a medical device company serving the surgical product and cancer treatment markets, operating in two business segments. Our surgical products business consists of wound closure, vascular access, and specialty needle products.  Our brachytherapy seed business manufactures, custom loads, markets, and distributes “seeds” used primarily in the minimally invasive treatment of localized prostate cancer.  Our brachytherapy product line includes our palladium-103 TheraSeed® device and our iodine-125 AgX100® device.
 
The following tables provide certain information for these segments (in thousands):
 
   
Quarter Ended
March 31,
 
   
2013
   
2012
 
Revenues
           
    Surgical products
  $ 14,483     $ 15,494  
    Brachytherapy seed
    5,719       6,320  
    Intersegment eliminations
    (329 )     (231 )
    $ 19,873     $ 21,583  
Earnings (loss) from operations
               
   Surgical products
  $ (335 )   $ 199  
   Brachytherapy seed
    399       1,380  
   Intersegment eliminations
    (47 )     (3 )
    $ 17     $ 1,576  
Capital expenditures
               
   Surgical products
  $ 412     $ 272  
   Brachytherapy seed
    115       57  
    $ 527     $ 329  
Depreciation and amortization
               
   Surgical products
  $ 1,236     $ 1,229  
   Brachytherapy seed
    768       754  
    $ 2,004     $ 1,983  
 
We evaluate business segment performance based on segment revenue and segment earnings (loss) from operations. Earnings (loss) from operations by segment do not include interest expense, interest income, other income and expense, or provisions for income taxes.  Intersegment eliminations are for surgical products segment sales transactions.  Corporate expenses are allocated based upon the relative revenue for each segment.
 
Supplemental information related to significant assets follows (in thousands):
 
   
March 31,
2013
   
December 31,
2012
 
Identifiable assets
           
Surgical products
  $ 69,965     $ 70,361  
Brachytherapy seed
    61,577       62,474  
Corporate investment in subsidiaries
    111,439       111,439  
Intersegment eliminations
    (137,854 )     (138,549 )
    $ 105,127     $ 105,725  
Intangible assets
               
Surgical products
  $ 5,958     $ 6,644  
Brachytherapy seed
    4,167       4,376  
    $ 10,125     $ 11,020  
 
Information regarding revenue by geographic regions follows (in thousands):
 
   
Quarter Ended
March 31,
 
   
2013
   
2012
 
Product sales
           
  United States
  $ 16,012     $ 18,948  
  Europe
    2,203       1,509  
  Other foreign countries
    997       522  
      19,212       20,979  
                 
License and fee income
               
  United States
    268       247  
  Canada
    393       357  
      661       604  
    $ 19,873     $ 21,583  
 
Foreign sales are attributed to countries based on the location of the customer. The license fees attributed to Canada are with Nordion, a Canadian based company, for the license of our TheraSphere® product.  Less than 10% of all foreign product sales are related to the brachytherapy segment.  Substantially all of our long-lived assets are located within the United States.
XML 45 R14.htm IDEA: XBRL DOCUMENT v2.4.0.6
EARNINGS PER SHARE
3 Months Ended
Mar. 31, 2013
Earnings Per Share [Abstract]  
EARNINGS PER SHARE
NOTE I – EARNINGS PER SHARE
 
Basic earnings per share represents net earnings divided by the weighted average shares outstanding. Diluted earnings per share represents net earnings divided by weighted average shares outstanding adjusted for the incremental dilution of outstanding stock options and awards. A reconciliation of weighted average common shares outstanding to weighted average common shares outstanding assuming dilution for the periods presented follows (in thousands, except per share data):
 
   
Quarter Ended
March 31,
 
   
2013
    2012
 
           
Net earnings (loss)
  $ (34 )   $ 934  
                 
Weighted average common shares outstanding
    29,065       33,533  
Incremental common shares issuable under stock options and awards
          408  
Weighted average common shares outstanding assuming dilution
    29,065       33,941  
                 
Earnings per share
               
Basic
  $ 0.00     $ 0.03  
Diluted
  $ 0.00     $ 0.03  
 
For the quarters ended March 31, 2013 and 2012, approximately 3,135,000 and 1,077,000 stock options and awards, respectively, were not included in the computation of diluted earnings per share because their effect is antidilutive.
XML 46 R16.htm IDEA: XBRL DOCUMENT v2.4.0.6
RESTRUCTURING
3 Months Ended
Mar. 31, 2013
Restructuring and Related Activities [Abstract]  
RESTRUCTURING
NOTE K – RESTRUCTURING
 
On May 8, 2013, our Board of Directors approved a restructuring of our vascular access manufacturing operations. This primarily includes our introducer and guidewire products produced under our Galt brand and produced for our OEM and distributor customers. We intend to retain the Galt brand and the full line of Galt labeled products, private label products, and bulk non-sterile products currently being produced at our Garland, Texas facility.
 
Commencing in the second quarter of 2013 and through December 2014, we will begin to transfer a significant portion of our vascular access manufacturing to independent suppliers located in Latin America. A small portion of the current production will be transferred to our specialty needle manufacturing facility located in North Attleboro, Massachusetts. By the end of 2014, we expect this transition to be completed and our manufacturing plant located in Garland, Texas to be closed.
 
This restructuring plan is expected to be implemented over the 20 month period through December 2014. Expected expenses and savings are as follows:
 
 
Incremental expenses of $3.7 to $4.1 million, consisting primarily of severance related expenses and project implementation costs. The operations at our Garland, Texas plant will be transitioned out over the 20 month period. Accordingly, these incremental expenses related to the restructuring will be recorded over the 20 month restructuring period. No significant non-cash charges are expected to be recorded related to this restructuring.
 
Capital expenditures of approximately $2.5 to $2.7 million. We will own this new capital equipment located in Latin America at our independent suppliers’ facilities. We will also transfer our existing equipment from our Garland, Texas facility to our independent suppliers and to our facility in North Attleboro, Massachusetts.
XML 47 R34.htm IDEA: XBRL DOCUMENT v2.4.0.6
SEGMENT REPORTING - Supplemental information related to significant assets (Details 1) (USD $)
In Thousands, unless otherwise specified
Mar. 31, 2013
Dec. 31, 2012
Segment Reporting Information [Line Items]    
Identifiable assets $ 105,127 $ 105,725
Intangible assets 10,125 11,020
Surgical products
   
Segment Reporting Information [Line Items]    
Identifiable assets 69,965 70,361
Intangible assets 5,958 6,644
Brachytherapy Seed
   
Segment Reporting Information [Line Items]    
Identifiable assets 61,577 62,474
Intangible assets 4,167 4,376
Corporate investment in subsidiaries
   
Segment Reporting Information [Line Items]    
Identifiable assets 111,439 111,439
Intersegment eliminations
   
Segment Reporting Information [Line Items]    
Identifiable assets $ (137,854) $ (138,549)
XML 48 R21.htm IDEA: XBRL DOCUMENT v2.4.0.6
EARNINGS PER SHARE (Tables)
3 Months Ended
Mar. 31, 2013
Earnings Per Share [Abstract]  
Schedule of weighted average common share reconciliation

 
   
Quarter Ended
March 31,
 
   
2013
    2012
 
           
Net earnings (loss)
  $ (34 )   $ 934  
                 
Weighted average common shares outstanding
    29,065       33,533  
Incremental common shares issuable under stock options and awards
          408  
Weighted average common shares outstanding assuming dilution
    29,065       33,941  
                 
Earnings per share
               
Basic
  $ 0.00     $ 0.03  
Diluted
  $ 0.00     $ 0.03  
XML 49 R26.htm IDEA: XBRL DOCUMENT v2.4.0.6
FINANCIAL INSTRUMENTS AND FAIR VALUE- Assets liabilities measured at fair value on recurring basis (Detail 2) (USD $)
In Thousands, unless otherwise specified
Mar. 31, 2013
Dec. 31, 2012
Fair Value Measurements, Recurring and Nonrecurring, Valuation Techniques [Line Items]    
Total assets $ 18,804 $ 11,796
Fair Value, Measurements, Recurring | Money market funds
   
Fair Value Measurements, Recurring and Nonrecurring, Valuation Techniques [Line Items]    
Total assets 477 477
Fair Value, Measurements, Recurring | Marketable securities
   
Fair Value Measurements, Recurring and Nonrecurring, Valuation Techniques [Line Items]    
Total assets 18,327 11,319
Fair Value, Measurements, Recurring | Quoted Prices in Active Markets (Level 1)
   
Fair Value Measurements, Recurring and Nonrecurring, Valuation Techniques [Line Items]    
Total assets 18,804 11,796
Fair Value, Measurements, Recurring | Quoted Prices in Active Markets (Level 1) | Money market funds
   
Fair Value Measurements, Recurring and Nonrecurring, Valuation Techniques [Line Items]    
Total assets 477 477
Fair Value, Measurements, Recurring | Quoted Prices in Active Markets (Level 1) | Marketable securities
   
Fair Value Measurements, Recurring and Nonrecurring, Valuation Techniques [Line Items]    
Total assets 18,327 11,319
Fair Value, Measurements, Recurring | Significant Other Observable Inputs (Level 2)
   
Fair Value Measurements, Recurring and Nonrecurring, Valuation Techniques [Line Items]    
Total assets      
Fair Value, Measurements, Recurring | Significant Other Observable Inputs (Level 2) | Money market funds
   
Fair Value Measurements, Recurring and Nonrecurring, Valuation Techniques [Line Items]    
Total assets      
Fair Value, Measurements, Recurring | Significant Other Observable Inputs (Level 2) | Marketable securities
   
Fair Value Measurements, Recurring and Nonrecurring, Valuation Techniques [Line Items]    
Total assets      
Fair Value, Measurements, Recurring | Significant Unobservable Inputs (Level 3)
   
Fair Value Measurements, Recurring and Nonrecurring, Valuation Techniques [Line Items]    
Total assets      
Fair Value, Measurements, Recurring | Significant Unobservable Inputs (Level 3) | Money market funds
   
Fair Value Measurements, Recurring and Nonrecurring, Valuation Techniques [Line Items]    
Total assets      
Fair Value, Measurements, Recurring | Significant Unobservable Inputs (Level 3) | Marketable securities
   
Fair Value Measurements, Recurring and Nonrecurring, Valuation Techniques [Line Items]    
Total assets      
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CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (UNAUDITED) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Mar. 31, 2013
Mar. 31, 2012
CASH FLOWS FROM OPERATING ACTIVITIES    
Net earnings (loss) $ (34) $ 934
Adjustments to reconcile net earnings (loss) to net cash provided (used) by operating activities:    
Depreciation and amortization 2,004 1,983
Deferred income taxes (348) (383)
Provision for allowances 272 21
Share-based compensation 280 196
Change in fair value of interest rate swaps   (28)
Decommissioning retirement liability 16 16
Gain on sale of marketable securities   (1)
Gain on sale of equipment (4)  
Changes in assets and liabilities:    
Trade accounts receivable (1,344) (246)
Inventories (452) (1,134)
Prepaid expenses and other current assets (53) 26
Accounts payable 273 583
Accrued salaries, wages and payroll taxes (1,103) (1,047)
Refundable income taxes net of income taxes payable 288 914
Other current liabilities (8) 319
Other (64) 230
Net cash provided (used) by operating activities (277) 2,383
CASH FLOWS FROM INVESTING ACTIVITIES    
Purchases and construction of property and equipment (527) (329)
Cash paid for acquisition of Core Oncology customer base   (4,086)
Proceeds from sale of property and equipment 8  
Purchases of marketable securities (9,008) (1,708)
Maturities of marketable securities 1,965 1,634
Proceeds from sales of marketable securities   189
Net cash used by investing activities (7,562) (4,300)
CASH FLOWS FROM FINANCING ACTIVITIES    
Repayment of borrowings   (834)
Employee stock purchase plan 17 17
Net cash provided (used) by financing activities 17 (817)
NET DECREASE IN CASH AND CASH EQUIVALENTS (7,822) (2,734)
CASH AND CASH EQUIVALENTS AT BEGINNING OF PERIOD 23,589 29,553
CASH AND CASH EQUIVALENTS AT END OF PERIOD 15,767 26,819
SUPPLEMENTARY CASH FLOW DISCLOSURE:    
Interest paid 108 182
Income taxes paid (received), net 2 (15)
NON-CASH INVESTING AND FINANCING ACTIVITIES:    
Assets acquired from the Core transaction   5,241
Liability for property and equipment acquired $ 27 $ 39
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INCOME TAXES
3 Months Ended
Mar. 31, 2013
Income Tax Disclosure [Abstract]  
INCOME TAXES
NOTE E – INCOME TAXES
 
Our effective income tax rates include federal and state income taxes. For the quarter ended March 31, 2012 our effective tax rate was 36%. For the quarter ended March 31, 2013, we recorded a tax benefit at a rate of 63%. The effective tax rate for the quarter ended March 31, 2013 was impacted by the American Taxpayer Relief Act of 2012, which was signed into law on January 2, 2013 and retroactively reinstated the research tax credit. Although the reinstatement of this tax credit is retroactive to January 1, 2012, the enactment of this legislation in 2013 precluded us from recording the benefit in 2012. As a result, our income tax provision was reduced by approximately $32,000 in the first quarter of 2013 to recognize the 2012 benefit of this tax credit that would have otherwise been recorded in 2012.
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INVENTORIES - Summary of inventories (Details) (USD $)
In Thousands, unless otherwise specified
Mar. 31, 2013
Dec. 31, 2012
Inventory Disclosure [Abstract]    
Raw materials $ 6,901 $ 6,806
Work in process 4,188 4,024
Finished goods 4,567 4,344
Spare parts and supplies 926 956
Inventories, gross 16,582 16,130
Allowance for obsolete inventory (994) (748)
Inventories, net $ 15,588 $ 15,382
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EARNINGS PER SHARE (Detail Textuals) (Stock Options and Awards)
3 Months Ended
Mar. 31, 2013
Mar. 31, 2012
Stock Options and Awards
   
Antidilutive Securities Excluded from Computation of Earnings Per Share [Line Items]    
Antidilutive stock options and awards not included in the computation of diluted earnings per share 3,135,000 1,077,000
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SEGMENT REPORTING (Tables)
3 Months Ended
Mar. 31, 2013
Segment Reporting [Abstract]  
Schedule of certain information of these segments
   
Quarter Ended
March 31,
 
   
2013
   
2012
 
Revenues
           
    Surgical products
  $ 14,483     $ 15,494  
    Brachytherapy seed
    5,719       6,320  
    Intersegment eliminations
    (329 )     (231 )
    $ 19,873     $ 21,583  
Earnings (loss) from operations
               
   Surgical products
  $ (335 )   $ 199  
   Brachytherapy seed
    399       1,380  
   Intersegment eliminations
    (47 )     (3 )
    $ 17     $ 1,576  
Capital expenditures
               
   Surgical products
  $ 412     $ 272  
   Brachytherapy seed
    115       57  
    $ 527     $ 329  
Depreciation and amortization
               
   Surgical products
  $ 1,236     $ 1,229  
   Brachytherapy seed
    768       754  
    $ 2,004     $ 1,983
Schedule of supplemental information related to significant assets
 
   
March 31,
2013
   
December 31,
2012
 
Identifiable assets
           
Surgical products
  $ 69,965     $ 70,361  
Brachytherapy seed
    61,577       62,474  
Corporate investment in subsidiaries
    111,439       111,439  
Intersegment eliminations
    (137,854 )     (138,549 )
    $ 105,127     $ 105,725  
Intangible assets
               
Surgical products
  $ 5,958     $ 6,644  
Brachytherapy seed
    4,167       4,376  
    $ 10,125     $ 11,020  
Schedule of information regarding revenue by geographic regions
   
Quarter Ended
March 31,
 
   
2013
   
2012
 
Product sales
           
  United States
  $ 16,012     $ 18,948  
  Europe
    2,203       1,509  
  Other foreign countries
    997       522  
      19,212       20,979  
                 
License and fee income
               
  United States
    268       247  
  Canada
    393       357  
      661       604  
    $ 19,873     $ 21,583