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Financing Arrangements - Schedule of Debt (Parenthetical) (Details)
€ in Thousands
1 Months Ended 3 Months Ended 9 Months Ended
Nov. 30, 2020
USD ($)
Rate
Jun. 30, 2020
USD ($)
Apr. 30, 2020
USD ($)
Nov. 30, 2020
USD ($)
Rate
Nov. 30, 2019
USD ($)
Nov. 30, 2020
USD ($)
Rate
Nov. 30, 2019
USD ($)
Nov. 30, 2020
EUR (€)
Rate
Feb. 29, 2020
USD ($)
Jul. 20, 2015
Jul. 06, 2015
USD ($)
Oct. 23, 2000
EUR (€)
Line of credit facility, remaining borrowing capacity $ 107,033,000     $ 107,033,000   $ 107,033,000            
Percentage of maximum revolver amount           20.00%            
Debt instrument compliance description           Company is in a Compliance Period (the period commencing on that day in which Excess Availability is less than 20% of the Maximum Revolver Amount and ending on a day in which Excess Availability is equal to or greater than 20% for any consecutive 30-day period thereafter)            
Line of credit facility, commitment fee amount       130,000 $ 125,000 $ 371,000 $ 378,000          
Line of credit facility, additional financing fees   $ 260,000                    
Amortization of debt issuance costs       106,000 198,000 432,000 593,000          
Debt issuance costs, net 766,000     766,000   $ 766,000     $ 1,015,000      
Industrial revenue bond                     $ 9,995,000  
Mortgage bears interest rate           0.70%            
Debt issuance costs, gross $ 332,000     $ 332,000   $ 332,000            
Derivative, Fixed Interest Rate                   3.48%    
Mortgages [Member]                        
Debt instrument, basis spread on variable rate | Rate           1.54%            
Debt instrument, interest rate at period end | Rate 1.69%     1.69%   1.69%   1.69%        
Amortization of debt issuance costs       $ 8,000 $ 8,000 $ 23,000 $ 23,000          
Debt issuance costs, net $ 163,000     $ 163,000   $ 163,000            
Debt instrument, term           10 years            
June 2020 Amendment to Credit Facility [Member]                        
Amortization of debt issuance costs           $ 53,000            
London Interbank Offered Rate (LIBOR) [Member]                        
Debt instrument, interest rate at period end 3.00%     3.00%   3.00%   3.00%        
London Interbank Offered Rate (LIBOR) [Member] | Minimum [Member]                        
Debt instrument, basis spread on variable rate           2.00%            
London Interbank Offered Rate (LIBOR) [Member] | Maximum [Member]                        
Debt instrument, basis spread on variable rate           2.50%            
Base Rate [Member]                        
Debt instrument, interest rate at period end 4.50%     4.50%   4.50%   4.50%        
Base Rate [Member] | Minimum [Member]                        
Debt instrument, basis spread on variable rate           1.00%            
Base Rate [Member] | Maximum [Member]                        
Debt instrument, basis spread on variable rate           1.50%            
Debt instrument interest rate during period           2.00%            
Loans [Member]                        
Line of credit facility, maximum borrowing capacity $ 15,000,000     $ 15,000,000   $ 15,000,000            
Revolving Credit Facility [Member]                        
Line of credit facility, current borrowing capacity 127,500,000     127,500,000   127,500,000            
Line of credit facility, repaid 20,000,000                      
Line of credit facility, maturity date   Apr. 26, 2022                    
Revolving Credit Facility [Member] | COVID-19 [Member]                        
Line of credit facility, borrowed     $ 20,000,000                  
Letter of Credit [Member]                        
Line of credit facility, maximum borrowing capacity 30,000,000     30,000,000   30,000,000            
Line of Credit [Member]                        
Debt issuance costs, net $ 603,000     $ 603,000   $ 603,000            
Foreign Line of Credit [Member] | Audiovox Germany [Member]                        
Line of credit facility, maximum borrowing capacity | €                       € 8,000
Debt instrument, basis spread on variable rate | Rate           2.30%            
Debt instrument, interest rate at period end | Rate 2.30%     2.30%   2.30%   2.30%        
Line of credit facility, maturity date           Jul. 31, 2023            
Line of credit facility, outstanding balance | €               € 0        
Foreign Line of Credit [Member] | Magnat [Member]                        
Debt instrument, basis spread on variable rate | Rate           2.10%            
Line of credit facility, maturity date           Nov. 30, 2020