0001564590-13-001305.txt : 20131113 0001564590-13-001305.hdr.sgml : 20131113 20131113113725 ACCESSION NUMBER: 0001564590-13-001305 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 10 CONFORMED PERIOD OF REPORT: 20130930 FILED AS OF DATE: 20131113 DATE AS OF CHANGE: 20131113 FILER: COMPANY DATA: COMPANY CONFORMED NAME: ZYNEX INC CENTRAL INDEX KEY: 0000846475 STANDARD INDUSTRIAL CLASSIFICATION: ELECTROMEDICAL & ELECTROTHERAPEUTIC APPARATUS [3845] IRS NUMBER: 870403828 STATE OF INCORPORATION: NV FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 033-26787-D FILM NUMBER: 131213339 BUSINESS ADDRESS: STREET 1: 9990 PARK MEADOWS DRIVE CITY: LONE TREE STATE: CO ZIP: 80124 BUSINESS PHONE: (303) 703-4906 MAIL ADDRESS: STREET 1: 9990 PARK MEADOWS DRIVE CITY: LONE TREE STATE: CO ZIP: 80124 FORMER COMPANY: FORMER CONFORMED NAME: ZYNEX MEDICAL HOLDINGS INC DATE OF NAME CHANGE: 20050812 FORMER COMPANY: FORMER CONFORMED NAME: ZYNEX MEDICAL HOLDINGS INC DATE OF NAME CHANGE: 20040120 FORMER COMPANY: FORMER CONFORMED NAME: FOX RIVER HOLDINGS INC DATE OF NAME CHANGE: 20031126 10-Q 1 zyxi-10q_20131001.htm 10-Q

      

      

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, D.C. 20549

      

FORM 10-Q

      

(Mark One)

 

x

QUARTERLY REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the quarterly period ended: September 30, 2013

OR

 

¨

TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

For the transition period from             to              

Commission file number 33-26787-D

      

Zynex, Inc.

(Exact name of registrant as specified in its charter)

      

   

 

NEVADA

   

90-0214497

(State or other jurisdiction of

incorporation or organization)

   

(IRS Employer

Identification No.)

   

   

   

9990 PARK MEADOWS DRIVE

LONE TREE, COLORADO

   

80124

(Address of principal executive offices)

   

(Zip Code)

(303) 703-4906

(Registrant’s telephone number, including area code)

(Former name, former address and former fiscal year, if changed since last report)

      

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  ¨

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 (§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  ¨

Indicate by check mark whether the registrant is a large accelerated filer, an accelerated filer, a non-accelerated filer, or a smaller reporting company. See the definitions of “large accelerated filer,” “accelerated filer” and “smaller reporting company” in Rule 12b-2 of the Exchange Act. (Check One):

   

 

Large accelerated filer

   

¨

      

Accelerated filer

   

¨

   

   

   

   

Non-accelerated filer

   

¨  (Do not check if a smaller reporting company)

      

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  ¨    No  x

Indicate the number of shares outstanding of each of the issuer’s classes of common stock, as of the latest practicable date.

   

 

Class

      

Shares Outstanding as of November 11, 2013

Common Stock, par value $0.001

      

31,148,234

   

   

      

\

   

   


ZYNEX, INC. AND SUBSIDIARIES

INDEX TO FORM 10-Q

   

PART I—FINANCIAL INFORMATION

   

 

       

Page

Item 1.

Financial Statements  

 

 3

   

   

   

   

Condensed Consolidated Balance Sheets as of September 30, 2013 (unaudited) and December 31, 2012  

 

 3

   

   

   

   

Unaudited Condensed Consolidated Statements of Operations for the three and nine months ended September 30, 2013 and 2012  

4

   

   

   

   

Unaudited Condensed Consolidated Statement of Stockholders’ Equity for the nine months ended September 30, 2013  

 

 5

   

   

   

   

Unaudited Condensed Consolidated Statements of Cash Flows for the nine months ended September 30, 2013 and 2012  

 

 6

   

   

   

   

Unaudited Notes to Condensed Consolidated Financial Statements  

 

 7

   

   

   

Item 2.

Management’s Discussion and Analysis of Financial Condition and Results of Operations  

 

 17

   

   

   

Item 4.

Controls and Procedures  

 

 23

   

   

   

PART II—OTHER INFORMATION

   

   

   

Item 1.

Legal Proceedings  

 

 24

   

   

   

Item 1A.

Risk Factors  

 

 24

   

   

   

Item 6.

Exhibits  

 

 25

   

   

   

Signatures  

 

 26

   

   

 

 2 


ITEM 1. FINANCIAL STATEMENTS

ZYNEX, INC.

CONDENSED CONSOLIDATED BALANCE SHEETS

(AMOUNTS IN THOUSANDS, EXCEPT NUMBER OF SHARES)  

   

 

   

September 30,
2013

   

   

December 31,
2012

   

   

(UNAUDITED)

   

   

   

   

ASSETS

   

   

   

   

   

   

   

Current Assets:

   

   

   

   

   

   

   

Cash

$

468

   

   

$

823

   

Accounts receivable, net

   

8,824

   

   

   

12,224

   

Inventory

   

6,131

   

   

   

6,160

   

Prepaid expenses

   

178

   

   

   

243

   

Deferred tax assets

   

1,855

   

   

   

1,855

   

Other current assets

   

1,712

   

   

   

57

   

   

   

   

   

   

   

   

   

Total current assets

   

19,168

   

   

   

21,362

   

   

   

   

   

   

   

   

   

Property and equipment, net

   

3,282

   

   

   

3,851

   

Deposits

   

573

   

   

   

171

   

Deferred financing fees, net

   

60

   

   

   

98

   

Intangible assets, net

   

64

   

   

   

203

   

Goodwill

   

212

   

   

   

251

   

   

   

   

   

   

   

   

   

Total assets

$

23,359

   

   

$

25,936

   

   

   

   

   

   

   

   

   

LIABILITIES AND STOCKHOLDERS’ EQUITY

   

   

   

   

   

   

   

Current Liabilities:

   

   

   

   

   

   

   

Line of credit

$

6,291

   

   

$

5,906

   

Current portion of notes payable and capital lease obligations

   

108

   

   

   

144

   

Accounts payable

   

2,289

   

   

   

2,057

   

Income taxes payable

   

1,046

   

   

   

1,430

   

Accrued payroll and payroll taxes

   

734

   

   

   

899

   

Deferred rent

   

750

   

   

   

371

   

Current portion of contingent consideration

   

9

   

   

   

21

   

Other accrued liabilities

   

383

   

   

   

1,265

   

   

   

   

   

   

   

   

   

Total current liabilities

   

11,610

   

   

   

12,093

   

   

   

   

   

   

   

   

   

Notes payable and capital lease obligations, less current portion

   

121

   

   

   

114

   

Deferred rent

   

1,439

   

   

   

785

   

Deferred tax liabilities

   

786

   

   

   

786

   

Warranty liability

   

14

   

   

   

20

   

Contingent consideration, less current portion

   

22

   

   

   

83

   

   

   

   

   

   

   

   

   

Total liabilities

   

13,992

   

   

   

13,881

   

   

   

   

   

   

   

   

   

Stockholders’ Equity:

   

   

   

   

   

   

   

Preferred stock, $.001 par value, 10,000,000 shares authorized, no shares issued or outstanding

   

—  

   

   

   

—  

   

Common stock, $.001 par value, 100,000,000 shares authorized, 31,148,234 shares issued and outstanding at September 30, 2013, and December 31, 2012

   

31

   

   

   

31

   

Paid-in capital

   

5,551

   

   

   

5,453

   

Retained earnings

   

3,808

   

   

   

6,566

   

   

   

   

   

   

   

   

   

Total Zynex, Inc. stockholders’ equity

   

9,390

   

   

   

12,050

   

Noncontrolling interest

   

(23

)

   

   

5

   

Total Stockholders’ equity

   

9,367

   

   

   

12,055

   

   

   

   

   

   

   

   

   

Total liabilities and stockholders’ equity

$

23,359

   

   

$

25,936

   

See accompanying notes to unaudited condensed consolidated financial statements.

   

 

 3 


ZYNEX, INC.

CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS

(UNAUDITED, AMOUNTS IN THOUSANDS, EXCEPT SHARE AND PER SHARE DATA)

   

 

   

Three months ended
September 30,

   

   

Nine months ended
September 30,

   

   

2013

   

      

2012

   

   

2013

   

      

2012

   

Net revenue:

   

   

   

      

   

   

   

   

   

   

   

      

   

   

   

Rental

$

1,284

      

      

$

2,281

      

   

$

4,606

      

      

$

6,780

      

Sales

   

3,907

      

      

   

7,821

      

   

   

13,725

      

      

   

22,292

      

   

   

5,191

      

      

   

10,102

      

   

   

18,331

      

      

   

29,072

      

Cost of revenue:

   

   

   

      

   

   

   

   

   

   

   

      

   

   

   

Rental

   

257

      

      

   

279

      

   

   

956

      

      

   

810

      

Sales

   

1,289

      

      

   

1,937

      

   

   

4,664

      

      

   

5,005

      

   

   

1,546

      

      

   

2,216

      

   

   

5,620

      

      

   

5,815

      

Gross profit

   

3,645

      

      

   

7,886

      

   

   

12,711

      

      

   

23,257

      

Selling, general and administrative expense

   

4,713

      

      

   

7,174

      

   

   

16,699

      

      

   

21,127

      

(Loss) income from operations

   

(1,068

)

      

   

712

      

   

   

(3,988

)

      

   

2,130

      

   

   

   

   

      

   

   

   

   

   

   

   

      

   

   

   

Other expense:

   

   

   

      

   

   

   

   

   

   

   

      

   

   

   

Interest expense

   

(136

)

      

   

(119

   

   

(480

)

      

   

(293

Other income (expense)

   

—  

      

      

   

(6

)

   

   

72

      

      

   

(13

   

   

(136

)

      

   

(125

   

   

(408

)

      

   

(306

(Loss) income before income tax

   

(1,204

      

   

587

      

   

   

(4,396

)

      

   

1,824

      

Income tax benefit (expense)

   

455

      

      

   

(229

)  

   

   

1,610

      

      

   

(673

)  

Net (loss) income

   

(749

)  

      

   

358

      

   

   

(2,786

)

      

   

1,151

      

Plus: Net loss – noncontrolling interest

   

11

      

      

   

—  

      

   

   

28

      

      

   

—  

   

    Net (loss) income – attributable to Zynex, Inc.

$

(738

)  

      

$

358

      

   

$

(2,758

)

      

$

1,151

      

   

   

   

   

      

   

   

   

   

   

   

   

      

   

   

   

Net (loss) income per share:

   

   

   

      

   

   

   

   

   

   

   

      

   

   

   

Basic

$

(0.02

)

      

$

0.01

      

   

$

(0.09

)

      

$

0.04

      

Diluted

$

(0.02

)

      

$

0.01

      

   

$

(0.09

)

      

$

0.04

      

   

   

   

   

      

   

   

   

   

   

   

   

      

   

   

   

Weighted average number of common shares outstanding:

   

   

   

      

   

   

   

   

   

   

   

      

   

   

   

Basic

   

31,148,234

      

      

   

31,130,908

      

   

   

31,148,234

      

      

   

31,034,972

      

Diluted

   

31,148,234

      

      

   

31,316,836

      

   

   

31,148,234

      

      

   

31,202,842

      

   

   

   

   

   

   

   

   

See accompanying notes to unaudited condensed consolidated financial statements.

 

 4 


ZYNEX, INC.

CONDENSED CONSOLIDATED STATEMENT OF STOCKHOLDERS’ EQUITY

(UNAUDITED, AMOUNTS IN THOUSANDS, EXCEPT SHARE DATA)

   

 

   

Number of
Shares

   

      

Common
Stock

   

      

Paid in
Capital

   

      

Retained
Earnings

   

   

Noncontrolling
Interest

   

   

Total

   

January 1, 2013

   

31,148,234

      

      

$

31

      

      

$

5,453

      

      

$

6,566

      

   

$

5

      

   

$

12,055

      

Employee stock-based compensation

   

—  

      

      

   

—  

      

      

   

98

      

      

   

—  

      

   

   

—  

      

   

   

98

      

Net loss

   

—  

      

      

   

—  

      

      

   

—  

      

      

   

(2,758

)

   

   

(28

   

   

(2,786

)

September 30, 2013

   

31,148,234

      

      

$

31

      

      

$

5,551

      

      

$

3,808

      

   

$

(23

)  

   

$

9,367

      

   

   

See accompanying notes to unaudited condensed consolidated financial statements.

   

   

 

 5 


ZYNEX, INC.

CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS

(UNAUDITED, AMOUNTS IN THOUSANDS) 

 

   

Nine months ended
September 30,

   

   

2013

   

   

2012

   

Cash flows from operating activities:

   

   

   

   

   

   

   

Net (loss) income

$

(2,786

)

   

$

1,151

   

Adjustments to reconcile net (loss) income to net cash used in operating activities:

   

   

   

   

   

   

   

Depreciation expense

   

608

   

   

   

647

   

Warranty expense  

   

(6

)

   

   

—  

   

Change in the value of contingent consideration

   

(70

)

   

   

14

   

Provision for losses on uncollectible accounts receivable

   

442

   

   

   

325

   

Amortization of intangible assets

   

39

   

   

   

33

   

Impairment of intangible assets

   

100

   

   

   

—  

   

Impairment of goodwill

   

39

   

   

   

—  

   

Amortization of financing fees

   

38

   

   

   

37

   

Issuance of common stock for services

   

—  

   

   

   

20

   

Provision for obsolete inventory

   

293

   

   

   

228

   

Deferred rent

   

1,033

   

   

   

(222

)

Employee stock-based compensation expense

   

98

   

   

   

150

   

Deferred tax expense

   

—  

   

   

   

(50

)

Gain on asset disposal

   

(6

)

   

   

—  

   

Changes in operating assets and liabilities, net of business acquisition (in 2012):

   

   

   

   

   

   

   

Accounts receivable

   

2,959

   

   

   

(1,593

)

Inventory

   

(265

)

   

   

(2,291

)

Prepaid expenses

   

65

   

   

   

83

   

Deposit and other current assets

   

(2,057

)

   

   

41

   

Accounts payable

   

232

   

   

   

264

   

Accrued liabilities

   

(1,048

)

   

   

222

   

Income taxes payable

   

(384

)

   

   

(259

)

   

   

   

   

   

   

   

   

Net cash used in operating activities

   

(676

)

   

   

(1,200

)

   

   

   

   

   

   

   

   

Cash flows from investing activities:

   

   

   

   

   

   

   

Purchases of equipment

   

(501

)

   

   

(388)

   

Change in inventory used for rental

   

550

   

   

   

(794)

   

Payments on contingent consideration

   

(3

)

   

   

—  

   

Cash paid for domain name

   

—  

   

   

   

(18)

   

Cash paid for acquisition

   

—  

   

   

   

(245

)

   

   

   

   

   

   

   

   

Net cash provided by (used in) investing activities

   

46

   

   

   

(1,445

)

   

   

   

   

   

   

   

   

Cash flows from financing activities:

   

   

   

   

   

   

   

Net borrowings from line of credit

   

385

   

   

   

2,788

   

Issuance of common stock

   

—  

   

   

   

10

   

Deferred financing fees

   

—  

   

   

   

(2

)

Payments on notes payable and capital lease obligations

   

(110

)

   

   

(97

)

   

   

   

   

   

   

   

   

Net cash provided by financing activities

   

275

   

   

   

2,699

   

   

   

   

   

   

   

   

   

Net (decrease) increase in cash

   

(355

)

   

   

54

   

Cash at beginning of period

   

823

   

   

   

789

   

Cash at end of period

$

468

   

   

$

843

   

   

   

   

   

   

   

   

   

Supplemental cash flow information:

   

   

   

   

   

   

   

Interest paid

$

449

   

   

$

259

   

Income taxes paid, net of tax refunds (including interest and penalties)

$

384

   

   

$

1,016

   

   

   

   

   

   

   

   

   

Supplemental disclosure of non-cash investing and financing activities:

   

   

   

   

   

   

   

Common stock issuances for business acquisition

$

—  

   

   

$

158

   

Increase in contingent consideration for business acquisition

$

—  

   

   

$

135

   

Equipment acquired through capital lease

$

137

   

   

$

—  

   

   

See accompanying notes to unaudited condensed consolidated financial statements.

   

   

 

 6 


ZYNEX, INC.

NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

(AMOUNTS IN THOUSANDS, EXCEPT NUMBER OF SHARES AND PER SHARE DATA)

NINE MONTHS ENDED SEPTEMBER 30, 2013 AND 2012

   

(1) UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS AND MANAGEMENTS’ PLANS

Zynex, Inc. (a Nevada corporation) and its subsidiaries, Zynex Medical, Inc. (ZMI) (a Colorado corporation, wholly-owned), Zynex NeuroDiagnostics, Inc. (ZND) (a Colorado corporation, wholly-owned), Zynex Monitoring Solutions Inc. (ZMS) (a Colorado corporation, wholly-owned), Zynex Billing and Consulting, LLC (ZBC) (a Colorado limited liability company, 80% majority-owned) and Zynex Europe, ApS (ZEU) (a Denmark corporation, wholly-owned), are collectively referred to as the “Company”.

The unaudited condensed consolidated financial statements included herein have been prepared by the Company pursuant to the rules and regulations of the Securities and Exchange Commission (“SEC”) and accounting principles generally accepted in the United States of America (“U.S. GAAP”). Certain information and footnote disclosures normally included in financial statements prepared in accordance with U.S. GAAP have been condensed or omitted pursuant to such rules and regulations, although the Company believes that the disclosures included herein are adequate to make the information presented not misleading. A description of the Company’s accounting policies and other financial information is included in the audited consolidated financial statements as filed with the SEC in the Company’s Annual Report on Form 10-K for the year ended December 31, 2012. Amounts as of December 31, 2012 are derived from those audited consolidated financial statements. These interim condensed consolidated financial statements should be read in conjunction with the annual audited financial statements, accounting policies and notes thereto, included in the Company’s Annual Report on Form 10-K for the year ended December 31, 2012, which has previously been filed with the SEC.

In the opinion of management, the accompanying unaudited condensed consolidated financial statements contain all adjustments necessary to present fairly the financial position of the Company as of September 30, 2013 and the results of operations and cash flows for the periods presented. All such adjustments are of a normal recurring nature. The results of operations for the three and nine months ended September 30, 2013 are not necessarily indicative of the results that may be achieved for a full fiscal year and cannot be used to indicate financial performance for the entire year.

For the nine months ended September 30, 2013 and 2012, the Company reported negative cash flows from operations of $676 and $1,200, respectively. In addition, the Company’s line of credit increased from $5,906 at December 31, 2012 to $6,291 at September 30, 2013, primarily driven by the Company’s net loss and working capital requirements. Maximum borrowings under the line of credit are $7,000, subject to adjustments to its accounts receivable borrowing base.  As of September 30, 2013, the Company did not have any additional availability under its line of credit. As of September 30, 2013, the Company was not in compliance with one of the financial covenants under the line of credit.  As a result, all amounts due under the credit agreement are callable by the lender. The Company is currently in discussions with the lender and expects to receive a waiver; however, no assurance can be given.  If a waiver is not obtained, in addition to demanding immediate payment of amounts outstanding under the line of credit, the lender can restrict or prevent us from borrowing while in default, which could have a material adverse impact on our cash flow and liquidity.

Management developed the Company’s operating plans for 2013 to emphasize cash flow, and under which the Company is making operational billing changes to increase cash collections as well as implementing various cost modifications to reduce expenses. However, during the first nine months of 2013, the Company encountered industry challenges related to health care reform, including the Affordable Care Act and reimbursement changes from government and third party payors, which has caused uncertainty to exist at the medical practitioner level causing a delay and decline in demand for the Company’s ZMI electrotherapy products.  In an effort to minimize the impact of health care reform and changes in reimbursement, the Company has made reductions in its fixed expenses by cutting its annual employee costs by approximately $4,200 through headcount reductions. These headcount reductions were executed during the second and third quarters of 2013.  The Company also renegotiated its existing building lease, under which, among other things, base rent has been lowered and the Company is now operating in an approximate twelve month free rent period, which began May 1, 2013, which is expected to result in cash savings of approximately $1,500.  The Company is monitoring the demand for its ZMI electrotherapy products and will make additional expense adjustments as necessary in future periods. Additionally, the Company recently added new products that are less impacted by insurance reimbursement to the Company’s ZMI sales channel and is pursuing other opportunities, including the manufacturing and distribution of topical and transdermal pain creams.  In ZND, the Company is distributing electroencephalography (EEG) sleep diagnostic products, mobile sleep diagnostic products and a sleep apnea treatment device in the US, which are all capital goods that are not subject to insurance reimbursement. The Company is also investing in its ZBC division where increased service based revenue is expected going forward through the addition of medical practitioner billing contracts. The Company believes these actions will serve to diversify its product mix and further reduce dependency on insurance reimbursement. Management believes that as a result of the restructuring activities completed during the second and third quarters of 2013, the Company’s cash flows from operating activities and limited borrowing availability under the line of credit will be sufficient to fund cash requirements through the next twelve months.

 

 7 


ZYNEX, INC.

NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

(AMOUNTS IN THOUSANDS, EXCEPT NUMBER OF SHARES AND PER SHARE DATA)

NINE MONTHS ENDED SEPTEMBER 30, 2013 AND 2012

   

(2) SIGNIFICANT ACCOUNTING POLICIES

PRINCIPLES OF CONSOLIDATION

The accompanying unaudited condensed consolidated financial statements include the accounts of Zynex, Inc. and its subsidiaries. All intercompany balances and transactions have been eliminated in consolidation.

NONCONTROLLING INTEREST

Noncontrolling interest in the equity of a subsidiary is accounted for and reported as stockholders equity. Noncontrolling interest represents the 20% ownership in the Company’s majority-owned subsidiary, ZBC. In 2012, the noncontrolling interest member contributed $10 of property and equipment to ZBC.

USE OF ESTIMATES

Preparation of financial statements in conformity with U.S. GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenue and expenses during the reporting period. Actual results could differ from those estimates. The most significant management estimates used in the preparation of the accompanying condensed consolidated financial statements are associated with the allowance for contractual adjustments and uncollectible accounts receivable, the reserve for obsolete and damaged inventory, stock-based compensation, valuation of goodwill and other long-lived assets, and income taxes.

REVENUE RECOGNITION, ALLOWANCE FOR CONTRACTUAL ADJUSTMENTS AND COLLECTIBILITY

The Company recognizes revenue when each of the following four conditions are met: 1) a contract or sales arrangement exists, 2) products have been shipped and title has transferred, or rental services have been rendered, 3) the price of the products or services is fixed or determinable, and 4) collectability is reasonably assured. Accordingly, the Company recognizes revenue, both rental and sales, when products have been delivered to the patient and the patient’s insurance (if the patient has insurance) has been verified. For medical products that are sold from inventories consigned at clinic locations, the Company recognizes revenue when it receives notice that the product has been prescribed and delivered to the patient and the patient’s insurance coverage has been verified or preauthorization has been obtained from the insurance company, when required. Revenue from the rental of products is normally on a month-to-month basis and is recognized ratably over the products’ rental period. Revenue from sales to distributors is recognized when the Company ships its products, which fulfills its order and transfers title. Revenue is reported net, after adjustments for estimated insurance company or governmental agency (collectively “Third-party Payors”) reimbursement deductions. The deductions are known throughout the health care industry as “contractual adjustments” whereby the Third-party Payors unilaterally reduce the amount they reimburse for the Company’s products.

A significant portion of the Company’s revenues are derived, and the related receivables are due, from Third-party Payors. The nature of these receivables within this industry has typically resulted in long collection cycles. The process of determining what products will be reimbursed by Third-party Payors and the amounts that they will reimburse is complex and depends on conditions and procedures that vary among providers and may change from time to time. The Company maintains an allowance for contractual adjustments and records additions to the allowance to account for the risk of nonpayment. Contractual adjustments result from reimbursements from Third-party Payors that are less than amounts claimed or where the amount claimed by the Company exceeds the Third-party Payors’ usual, customary and reasonable reimbursement rate. The Company determines the amount of the allowance, and adjusts it at the end of each reporting period, based on a number of factors, including historical rates of collection, the aging of the receivables, trends in the historical rates of collection and current relationships and experience with the Third-party Payors. If the rates of collection of past-due receivables recorded for previous fiscal periods changes, or if there is a trend in the rates of collection on those receivables, the Company may be required to change the rate at which it provides for additions to the allowance. A change in the rates of the Company’s collections can result from a number of factors, including experience and training of billing personnel, changes in the reimbursement policies or practices of Third-party Payors, or changes in industry rates of reimbursement. Accordingly, changes to the allowance for contractual adjustments, which are recorded in the income statement as a reduction of revenue, have historically fluctuated and may continue to fluctuate significantly from quarter to quarter.

 

 8 


ZYNEX, INC.

NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

(AMOUNTS IN THOUSANDS, EXCEPT NUMBER OF SHARES AND PER SHARE DATA)

NINE MONTHS ENDED SEPTEMBER 30, 2013 AND 2012

   

   

(2) SIGNIFICANT ACCOUNTING POLICIES (continued)

Due to the nature of the industry, the reimbursement environment in which the Company operates and changes in health care reform, estimates are required to record net revenues and accounts receivable at their net realizable values. Inherent in these estimates is the risk that they will have to be revised or updated as additional information becomes available. Specifically, the complexity of third-party billing arrangements and the uncertainty of reimbursement amounts for certain products or services from payors or an unanticipated requirement to refund payments previously received may result in adjustments to amounts originally recorded. Due to continuing changes in the health care industry and third-party reimbursement, as well as changes in our billing practices to increase cash collections, it is possible that management’s estimates could change in the near term, which could have an impact on our results of operations and cash flows. Any differences between estimated settlements and final determinations are reflected as an increase or a reduction to revenue in the period when such final determinations are known.

The Company frequently receives refund requests from insurance providers relating to specific patients and dates of service. Billing and reimbursement disputes are very common in the Company’s industry. These requests are sometimes related to a limited number of patients or products; at other times, they include a significant number of refund claims in a single request. The Company reviews and evaluates these requests and determines if any refund request is appropriate. The Company also reviews these refund claims when it is rebilling or pursuing reimbursement from that insurance provider. The Company frequently has significant offsets against such refund requests, and sometimes amounts are due to the Company in excess of the amounts of refunds requested by the insurance providers. Therefore, at the time of receipt of such refund requests, the Company is generally unable to determine if a refund request is valid and should be accrued.

As of September 30, 2013, the Company believes it has an adequate allowance for contractual adjustments relating to all known insurance disputes and refund requests. However, no assurances can be given with respect to such estimates of reimbursements and offsets or the ultimate outcome of any refund requests.

In addition to the allowance for contractual adjustments, the Company records an allowance for uncollectible accounts receivable. Uncollectible accounts receivable are primarily a result of: non-payment from patients who have been direct billed for co-payments or deductibles, lack of appropriate insurance coverage and disallowances of charges by Third-party Payors. If there is a change to a material insurance provider contract or policy, application by a provider, a decline in the economic condition of providers or a significant turnover of Company billing personnel resulting in diminished collection effectiveness, the estimate of the allowance for uncollectible accounts receivable may not be adequate and may result in an increase in the future. At September 30, 2013 and December 31, 2012, the allowance for uncollectible accounts receivable is $1,837.

FAIR VALUE OF FINANCIAL INSTRUMENTS

The Company’s financial instruments at September 30, 2013 include cash, accounts receivable and accounts payable, for which current carrying amounts approximate fair value due to their short-term nature. Financial instruments at September 30, 2013 also include the line of credit and notes payable, the carrying value of which approximates fair value because the interest rates on the outstanding borrowings are at rates that approximate market rates for borrowings with similar terms and average maturities.

INVENTORY

Inventories, which primarily represent finished goods, are valued at the lower of cost (average) or market. Finished goods include products held at the Company’s headquarters and at different locations by health care providers or other parties for rental or sale to patients. Total (gross) inventories at September 30, 2013 included $6,037 of finished goods, $354 of parts, and $1,215 of supplies.

The Company monitors inventory for turnover and obsolescence, and records losses for excess and obsolete inventory as appropriate. At September 30, 2013, the Company had an allowance for obsolete and damaged inventory of approximately $1,475. The allowance for obsolete and damaged inventory was approximately $1,181 at December 31, 2012. The Company had $1,505 of open purchase commitments at September 30, 2013.

 

 9 


ZYNEX, INC.

NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

(AMOUNTS IN THOUSANDS, EXCEPT NUMBER OF SHARES AND PER SHARE DATA)

NINE MONTHS ENDED SEPTEMBER 30, 2013 AND 2012

   

   

(2) SIGNIFICANT ACCOUNTING POLICIES (continued)

PROPERTY AND EQUIPMENT

Property and equipment are stated at cost. Products on rental contracts are placed in property and equipment and depreciated over their estimated useful life. The Company removes the cost and the related accumulated depreciation from the accounts of assets sold or retired, and the resulting gains or losses are included in the results of operations. Depreciation is computed using the straight-line method over the useful life of the asset. As rental inventory contributes directly to the revenue generating process, the Company classifies the depreciation of rental inventory in cost of revenue.

Repairs and maintenance costs are charged to expense as incurred.

GOODWILL AND INTANGIBLE ASSETS

Goodwill represents the excess of the purchase price over the fair value of the net assets of the business acquired. Authoritative guidance requires that goodwill be assessed for impairment at the reporting unit level (operating segment or one level below an operating segment) on an annual basis and between annual tests when circumstances indicate that the recoverability of the carrying amount of goodwill may be in doubt. Application of the goodwill impairment assessment requires judgment, including the identification of reporting units, assigning assets and liabilities to reporting units, assigning goodwill to reporting units, and determining the fair value. Significant judgments are required to estimate the fair value of a reporting unit including estimating future cash flows, determining appropriate discount rates and other assumptions. When conducting its goodwill impairment assessment, the Company initially performs a qualitative evaluation to determine if it is more likely than not that the fair value of its reporting unit is less than its carrying amount as a basis for determining whether it is necessary to perform a two-step goodwill impairment test.

The Company determined, based on its qualitative evaluation, that it was necessary to perform the two-step goodwill impairment test during the second quarter of 2013, primarily because of the significant decline in sales in its ZMI electrotherapy products. In March 2012, the Company acquired substantially all of the assets and business of NeuroDyne Medical Corp. (NeuroDyne).  The Company modified its business forecast for NeuroDyne during the second quarter of 2013, resulting in reduced estimated sales and cash flow, as compared to the original business forecast at the time of the acquisition. Management, therefore performed the two-step goodwill impairment test during the second quarter of 2013, and determined that goodwill related to NeuroDyne was impaired and recorded a $39 goodwill impairment charge during the three months ended June 30, 2013.  

Intangible assets with estimable lives are amortized in a pattern consistent with the asset’s identifiable cash flows or using a straight- line method over their remaining estimated benefit periods if the pattern of cash flows is not estimable. The Company reviews the carrying value of intangible and other long-lived assets for impairment whenever events or changes in circumstances indicate that the carrying amount of an asset may not be recoverable. Recoverability of long-lived assets is measured by comparison of their carrying amounts to the undiscounted cash flows that the asset or asset group is expected to generate. If the carrying amount of the assets exceeds the undiscounted cash flows the impairment to be recognized is measured by the amount by which the carrying amount of the asset exceeds its fair value. The Company’s intangible assets primarily relate to the asset acquisition of NeuroDyne.  The Company modified its business forecast for NeuroDyne during the second quarter of 2013, resulting in reduced estimated sales and cash flow, as compared to the original business forecast at the time of the acquisition.  Therefore, the Company recorded an impairment charge of $100 during the three months ended June 30, 2013 related to certain NeuroDyne intangible assets.  The Company utilized a discounted cash flow (DCF) model to determine fair value for both goodwill and intangible assets as of June 30, 2013.

STOCK-BASED COMPENSATION

The Company accounts for stock-based compensation through recognition of the cost of employee services received in exchange for an award of equity instruments, which is measured based on the grant date fair value of the award that is ultimately expected to vest during the period. The stock-based compensation expenses are recognized over the period during which an employee is required to provide service in exchange for the award (the requisite service period, which in the Company’s case is the same as the vesting period).

 

 10 


ZYNEX, INC.

NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

(AMOUNTS IN THOUSANDS, EXCEPT NUMBER OF SHARES AND PER SHARE DATA)

NINE MONTHS ENDED SEPTEMBER 30, 2013 AND 2012

   

(3) PROPERTY AND EQUIPMENT

Property and equipment as of September 30, 2013 and December 31, 2012 consist of the following:

   

 

   

September 30,
2013

   

   

December 31,
2012

   

   

Useful
lives

   

   

   

(UNAUDITED)

   

   

   

   

   

   

   

   

   

Office furniture and equipment

$

2,365

   

   

$

1,836

   

   

   

3-7 years

   

Rental inventory

   

2,398

   

   

   

3,147

   

   

   

5 years

   

Vehicles

   

76

   

   

   

76

   

   

   

5 years

   

Leasehold improvements

   

375

   

   

   

375

   

   

   

2-6 years

   

Assembly equipment

   

171

   

   

   

168

   

   

   

7 years

   

   

   

5,385

   

   

   

5,602

   

   

   

   

   

Less accumulated depreciation

   

(2,103

)

   

   

(1,751

)

   

   

   

   

   

$

3,282

   

   

$

3,851

   

   

   

   

   

   

(4) LEASES

The Company has commitments under various operating and capital leases that are payable in monthly installments. On June 18, 2013, the Company renegotiated its existing building lease and entered into a new lease agreement for its existing building in Lone Tree, Colorado, effective May 1, 2013. The lease, which expires in November 2023, provides for two five-year renewal options at the then market rental rate. Under the lease, no rental payments are due for the first six months. For the remaining months of the lease, base monthly rent begins at $129 and escalates at $3 per month (or $0.50 per square foot) every twelve months, resulting in a monthly rent of $157 by January 2023. The Company anticipates that for accounting purposes, it will have an annual rental expense of $1,420 throughout the term of the lease. The lease includes a $101 refund from the landlord for amounts previously overpaid for operating expenses, which amounts shall be deducted from the Company’s rent in November 2013. The lease also includes a tenant allowance of $1,130, of which $565 is to be used for leasehold improvements and $565 may be used to apply to rent in December 2013 and beyond. Such allowances are included in the Company’s deferred rent liability and deposit accounts. The lease contains customary events of default, termination, maintenance, indemnification and other lease terms.

   

(5) INTANGIBLE ASSETS

Intangible assets as of September 30, 2013 and December 31, 2012, consist of the following:

   

 

   

September 30, 2013

   

   

December 31, 2012

   

   

Amortization Life
Years

   

   

   

(UNAUDITED)

   

   

   

   

   

   

   

   

   

Trade names

$

33

   

   

$

72

   

   

   

5

   

Non-compete agreement

   

26

   

   

   

26

   

   

   

5

   

Technology

   

74

   

   

   

135

   

   

   

5

   

Domain Name

   

18

   

   

   

18

   

   

   

1

   

Total intangible assets, gross

   

151

   

   

   

251

   

   

   

   

   

Less: accumulated amortization

   

(87

)

   

   

(48

)

   

   

   

   

Total intangible assets, net

$

64

   

   

$

203

   

   

   

   

   

   

(6) EARNINGS (LOSS) PER SHARE

Basic earnings (loss) per share is computed by dividing net income (loss) by the weighted-average number of common shares outstanding during the period. Diluted earnings per share is computed by dividing net income (loss) by the weighted-average number of common shares outstanding and the number of dilutive potential common share equivalents during the period, calculated using the treasury-stock method.

 

 11 


ZYNEX, INC.

NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

(AMOUNTS IN THOUSANDS, EXCEPT NUMBER OF SHARES AND PER SHARE DATA)

NINE MONTHS ENDED SEPTEMBER 30, 2013 AND 2012

   

(6) EARNINGS (LOSS) PER SHARE (continued)

The calculation of basic and diluted earnings (loss) per share for the three and nine months ended September 30, 2013 and 2012 is as follows:

   

 

   

Three months ended

September 30,

   

Nine months ended

September 30,

   

2013

   

   

2012

   

   

2013

   

   

2012

Basic:

   

   

   

   

   

   

   

      

   

   

Net (loss) income applicable to common stockholders

$

(738

)

   

$

358

   

   

$

(2,758

)

   

$

1,151

Weighted average shares outstanding – basic

   

31,148,234

   

   

   

31,130,908

   

   

   

31,148,234

   

   

   

31,034,972

Net (loss) income per share – basic

$

(0.02

)

   

$

0.01

   

   

$

(0.09

)

   

$

0.04

      

   

   

   

   

   

   

   

   

   

   

   

   

   

   

Diluted:

   

   

   

   

   

   

   

   

   

   

   

   

   

   

Net (loss) income applicable to common stockholders

$

(738

)

   

$

358

   

   

$

(2,758

)

   

$

1,151

      

   

   

   

   

   

   

   

   

   

   

   

   

   

   

Weighted average shares outstanding – basic

   

31,148,234

   

   

   

31,130,908

   

   

   

31,148,234

   

   

   

31,034,972

Dilutive securities

   

—  

   

   

   

185,928

   

   

   

—  

   

   

   

167,870

Weighted average shares outstanding – diluted

   

31,148,234

   

   

   

31,316,836

   

   

   

31,148,234

   

   

   

31,202,842

Net (loss) income per share – diluted

$

(0.02

)

   

$

0.01

   

   

$

(0.09

)

   

$

0.04

Potential common share equivalents as of September 30, 2012 of 1,061,375, related to certain outstanding stock options, were not included in the computation of diluted earnings per share during the three and nine months ended September 30, 2012 because the effect would have been anti-dilutive, as the option exercise prices exceeded the average market price of the Company’s common stock. The effect of these shares, if any, on the diluted earnings per share calculation may vary significantly depending on fluctuations in the stock price.

The effects of potential common stock equivalents, related to certain outstanding options for the three and nine months ended September 30, 2013 have not been included in the computation of diluted net loss per share because the impact of the potential shares would decrease the loss per share.

   

(7) STOCK-BASED COMPENSATION PLANS

The Company has reserved 3,000,000 shares of common stock for issuance under its 2005 Stock Option Plan (the “Option Plan”). Vesting provisions are determined by the Board of Directors. All stock options under the Option Plan expire no later than ten years from the date of grant.

In the three months ended September 30, 2013 and 2012, the Company recorded compensation expense related to stock options of $29 and $60, respectively. In the nine months ended September 30, 2013 and 2012, the Company recorded compensation expense related to stock options of $98 and $150, respectively. Stock-based compensation recorded in the accompanying condensed consolidated statement of operations for the three months ended September 30, 2013 and 2012 included $2 and $7, respectively, in cost of goods sold and $27 and $53, respectively, in selling, general and administrative expenses. Stock-based compensation recorded in the accompanying condensed consolidated statement of operations for the nine months ended September 30, 2013 and 2012 included $9 and $20, respectively, in cost of goods sold and $89 and $130, respectively, in selling, general and administrative expenses.

In the nine months ended September 30, 2013, the Company granted options to purchase up to 356,000 shares of common stock to employees at exercise prices that ranged from $0.32 to $0.48. In the nine months ended September 30, 2012, the Company granted options to purchase up to 322,500 shares of common stock to employees at exercise prices that ranged from $0.70 to $0.81 per share.

   

 

 12 


ZYNEX, INC.

NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

(AMOUNTS IN THOUSANDS, EXCEPT NUMBER OF SHARES AND PER SHARE DATA)

NINE MONTHS ENDED SEPTEMBER 30, 2013 AND 2012

   

(7) STOCK-BASED COMPENSATION PLANS (continued)

The Company used the Black Scholes option pricing model to determine the fair value of stock option grants, using the following assumptions during the nine months ended September 30, 2013 and 2012:

   

 

      

2013

   

2012

Weighted average expected term

6.25 years

   

6.17 years

Weighted average volatility

111%

   

134%

Weighted average risk-free interest rate

1.3%

   

1.0%

Dividend yield

0%

   

0%

   

A summary of stock option activity under the Option Plan for the nine months ended September 30, 2013 is presented below:

   

 

   

Shares
Under
Option

   

      

Weighted
Average
Exercise
Price

   

      

Weighted
Average
Remaining
Contractual
Life

   

      

Aggregate
Intrinsic
Value

   

Outstanding at January 1, 2013

   

1,501,500

      

      

$

0.95

      

      

   

   

   

      

   

   

   

Granted

   

356,000

      

      

$

0.37

      

      

   

   

   

      

   

   

   

Exercised

   

—  

      

      

$

—  

      

      

   

   

   

      

   

   

   

Forfeited

   

(374,500

)

      

$

0.88

      

      

   

   

   

      

   

   

   

Outstanding at September 30, 2013

   

1,483,000

      

      

$

0.83

      

      

   

7.0 years

      

      

$

75

      

Exercisable at September 30, 2013

   

843,997

      

      

$

1.04

      

      

   

5.7 years

      

      

$

75

      

A summary of status of the Company’s non-vested share awards as of and for the nine months ended September 30, 2013 is presented below:

   

 

   

Nonvested Shares
Under Option

   

      

Weighted Average
Grant Date Fair Value

   

Non-vested at January 1, 2013

   

690,877

      

      

$

0.69

      

Granted

   

356,000

      

      

$

0.31

      

Vested

   

(251,999

)

      

$

0.77

      

Forfeited

   

(155,875

)

      

$

0.81

      

Non-vested at September 30, 2013

   

639,003

      

      

$

0.49

      

As of September 30, 2013, the Company had approximately $163 of unrecognized compensation expense related to stock options that will be recognized over a weighted-average period of approximately 3 years.

   

 

 13 


ZYNEX, INC.

NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

(AMOUNTS IN THOUSANDS, EXCEPT NUMBER OF SHARES AND PER SHARE DATA)

NINE MONTHS ENDED SEPTEMBER 30, 2013 AND 2012

   

(8) FAIR VALUE MEASUREMENTS

The Company measures certain assets and liabilities pursuant to accounting guidance which establishes a three-tier fair value hierarchy and prioritizes the inputs used in measuring fair value. Theses tiers include:

 

·

Level 1: Quoted prices (unadjusted) in active markets that are accessible at the measurement date for identical assets or liabilities.

 

·

Level 2: Observable prices that are based on inputs not quoted on active markets, but corroborated by market data.

 

·

Level 3: Unobservable inputs are used when little or no market data is available.

The following table presents information about the Company’s financial assets and liabilities that are measured at fair value on a recurring basis as of September 30, 2013, and indicates the fair value hierarchy of the valuation techniques the Company utilized to determine such fair value:

   

 

   

September 30, 2013

   

      

Significant
Unobservable
Inputs
(Level 3)

   

Liabilities:

   

   

   

      

   

   

   

Contingent consideration

$

31

      

      

$

31

      

The fair value of the contingent consideration was determined using a discounted cash flow model at the acquisition date and is revalued at each reporting date or more frequently if circumstances dictate based on changes in the discount periods and rates, changes in the timing and amount of the revenue estimates and changes in probability assumptions with respect to the likelihood of achieving the obligations. Contingent payments of $3 were made during the period.

   

Changes in the fair value of these obligations are recorded as income or expense within the line item "Other income (expense)" in the Company's consolidated statements of operations. Accretion expense related to the increase in the net present value of the contingent liabilities is also included in the line item "Other income (expense)" in the Company's consolidated statements of operations. The fair value measurement is based on significant inputs not observable in the market, which are referred to as Level 3 inputs.

   

Changes in the fair value of the Level 3 liabilities for the nine months ended September 30, 2013:

 

Balance at January 1, 2013

$

104

   

Payments

   

(3

)

Accretion expense

   

4

   

Change in fair value of contingent consideration

   

(74

)

Balance at September 30, 2013

$

31

   

   

The Company modified its financial forecasts for NeuroDyne, at June 30, 2013, as a result of reduced sales and cash flow since the acquisition in March 2012.  

   

 

 14 


ZYNEX, INC.

NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

(AMOUNTS IN THOUSANDS, EXCEPT NUMBER OF SHARES AND PER SHARE DATA)

NINE MONTHS ENDED SEPTEMBER 30, 2013 AND 2012

   

(9) INCOME TAXES

The provision for income taxes is recorded at the end of each interim period based on the Company’s best estimate of its effective income tax rate expected to be applicable for the full fiscal year. The Company’s effective income tax rate for the three and nine months ended September 30, 2013 was approximately 38% and 37%, respectively. The Company paid income taxes of $20 and $384 (net of $175 state tax refunds) during the three and nine months ended September 30, 2013, respectively, which was included in income taxes payable at December 31, 2012.

   

(10) LINE OF CREDIT

The Company has an asset-backed revolving credit facility of up to $7,000, subject to reserves and reductions to the extent of changes in the Company’s asset borrowing base, under a Loan and Security Agreement, as amended, (the “Doral Agreement”) with Doral Healthcare Finance, a division of Doral Money, Inc. Borrowings under the Doral Agreement bear interest at a variable rate equal to the greater of (i) the British Bankers’ Association LIBOR rate as published in The Wall Street Journal for dollar deposits in the amount of $1,000 with a maturity of one month or (ii) 3% per annum, plus, in each case, a margin of 3.75%. The Doral Agreement requires monthly interest payments in arrears on the first date of each month. The Doral Agreement will mature on December 19, 2014. The Company may terminate the Doral Agreement at any time prior to the maturity date upon thirty days’ prior written notice and upon payment in full of all outstanding obligations under the Doral Agreement. If the Company terminates the Doral Agreement, the Company must pay a specified early termination fee. As of September 30, 2013, $6,291 was outstanding under the Doral Agreement and zero was available for borrowing based on the Company’s current borrowing base.

The Doral Agreement requires a lockbox arrangement whereby all receipts are swept daily to reduce borrowings outstanding. This arrangement causes the Doral Agreement to be classified as a current liability.

As of September 30, 2013, the effective interest rate under the Doral Agreement was 8% (7% interest rate and 1% fees).

The Doral Agreement contains certain customary restrictive and financial covenants for asset-backed credit facilities.  As of September 30, 2013, the Company was not in compliance with one of the financial covenants under the Doral Agreement.  As a result, all amounts due under the credit agreement are callable by the lender. The Company is currently in discussions with the lender and expects to receive a waiver; however, no assurance can be given.  If a waiver is not obtained, in addition to demanding immediate payment of amounts outstanding under the Credit Agreement, the lender can restrict or prevent the Company from borrowing while in default, which could have a material adverse impact on the Company’s cash flow and liquidity.

   

(11) CONCENTRATIONS

The Company sourced approximately 34% and 23% of its electrotherapy products from one contract manufacturer during the three and nine months ended September 30, 2013. Management believes that its relationships with suppliers are strong; however, if necessary these relationships can be replaced. If the relationships were to be replaced, there may be a short-term disruption to operations, a period of time in which products may not be available and additional expenses may be incurred.

The Company had receivables from a private health insurance carrier at September 30, 2013 that made up approximately 7% of the net accounts receivable balance. The Company had receivable from a different private health insurance carrier that made up approximately 22% of net accounts receivable at December 31, 2012.

   

(12) LITIGATION

From time to time, the Company may become party to litigation and other claims in the ordinary course of business. To the extent that such claims and litigation arise, management would provide for them if losses are determined to be both probable and estimable.

The Company is currently not a party to any material pending legal proceedings.

   

 

 15 


ZYNEX, INC.

NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

(AMOUNTS IN THOUSANDS, EXCEPT NUMBER OF SHARES AND PER SHARE DATA)

NINE MONTHS ENDED SEPTEMBER 30, 2013 AND 2012

   

(13) SEGMENT REPORTING

At September 30, 2013, the Company has determined that it has three reporting segments comprised of the following subsidiaries, ZMI and ZBC, ZND and ZEU, and ZMS. This determination was made based on the nature of the products and services offered to customers or the nature of the function in the organization. The accounting policies for each of these segments are the same as those described in Note 2, and inter-segment transactions are eliminated.

Net revenue was primarily generated from sales in the United States.

   

 

   

ZMI &
ZBC

   

      

ZND &
ZEU

   

      

ZMS

   

      

TOTAL

   

THREE MONTHS ENDED SEPTEMBER 30, 2013

   

   

   

      

   

   

   

      

   

   

   

      

   

   

   

Sales

$

5,138

      

      

$

53

      

      

$

0

      

      

$

5,191

      

Gross profit

   

3,612

      

      

   

33

      

      

   

0

      

      

   

3,645

      

Total assets

   

22,361

      

      

   

986

      

      

   

12

      

      

   

23,359

      

THREE MONTHS ENDED SEPTEMBER 30, 2012

   

   

   

      

   

   

   

      

   

   

   

      

   

   

   

Sales

$

10,003

      

      

   

99

      

      

$

0

      

      

$

10,102

      

Gross profit

   

7,834

      

      

   

52

      

      

   

0

      

      

   

7,886

      

Total assets

   

25,494

      

      

   

692

      

      

   

7

      

      

   

26,193

      

NINE MONTHS ENDED SEPTEMBER 30, 2013

   

   

   

      

   

   

   

      

   

   

   

      

   

   

   

Sales

$

18,102

      

      

$

229

      

      

$

0

      

      

$

18,331

      

Gross profit

   

12,570

      

      

   

141

      

      

   

0

      

      

   

12,711

      

Total assets

   

22,361

      

      

   

986

      

      

   

12

      

      

   

23,359

      

NINE MONTHS ENDED SEPTEMBER 30, 2012

   

   

   

      

   

   

   

      

   

   

   

      

   

   

   

Sales

$

28,845

      

      

   

227

      

      

$

0

      

      

$

29,072

      

Gross profit

   

23,119

      

      

   

138

      

      

   

0

      

      

   

23,257

      

Total assets

   

25,494

      

      

   

692

      

      

   

7

      

      

   

26,193

      

   

   

   

   

 

 16 


   

ITEM 2.  MANAGEMENT’S DISCUSSION AND ANALYSIS OF FINANCIAL CONDITION AND RESULTS OF OPERATIONS

Cautionary Notice Regarding Forward-Looking Statements

This quarterly report contains statements that are forward-looking, such as statements relating to plans for future expansion and other business development activities, business trends, the impact of reimbursement trends, other capital spending and financing sources. Such forward-looking information involves important risks and uncertainties that could significantly affect anticipated results in the future and, accordingly, such results may differ from those expressed in any forward-looking statements made by or on behalf of the Company. These risks include the need for additional capital in order to grow our business, our ability to engage additional sales representatives, the need to obtain U.S. Food and Drug Administration (“FDA”) clearance and Certificate European (“CE”) marking of new products, the acceptance of new products as well as existing products by doctors and hospitals, our dependence on the reimbursement from insurance companies for products sold or rented to our customers, acceptance of our products by health insurance providers for reimbursement, larger competitors with greater financial resources, the need to keep pace with technological changes, our dependence on third-party manufacturers to produce our goods on time and to our specifications, implementation of our sales strategy including a strong direct sales force, and other risks described in our Annual Report on Form 10-K for the year ended December 31, 2012.

These interim financial statements should be read in conjunction with the annual audited financial statements, accounting policies and financial notes thereto, included in the Company’s 2012 Annual Report on Form 10-K, which has previously been filed with the Securities and Exchange Commission.

The Company currently has five subsidiaries; Zynex Medical, Inc. (ZMI), Zynex NeuroDiagnostics, Inc. (ZND), Zynex Monitoring Solutions Inc. (ZMS), Zynex Billing and Consulting, LLC (ZBC) and Zynex Europe, Aps (ZEU).

RESULTS OF OPERATIONS (Amounts in thousands):

Revenue

Our products may be rented on a monthly basis or purchased. Renters and purchasers are primarily patients and healthcare insurance providers on behalf of patients. Our products may also be purchased by dealers. If a patient is covered by health insurance, the Third-party Payor typically determines whether the patient will rent or purchase a unit depending on the anticipated time period for its use. If contractually arranged, a rental continues until an amount equal to the purchase price is paid when we transfer ownership of the product to the patient and cease rental charges.  We also sell consumable supplies, consisting primarily of surface electrodes and batteries that are used in conjunction with our electrotherapy products on a monthly basis.  

Revenue is reported net, after adjustments for estimated insurance company reimbursement deductions. The deductions are known throughout the health care industry as “contractual adjustments” whereby the healthcare insurers unilaterally reduce the amount they reimburse for our products as compared to the rental rates and sales prices charged by us. The deductions from gross revenue also take into account the estimated denials of claims for our products placed with patients which may affect collectability. See Note 2 to the Unaudited Condensed Consolidated Financial Statements in this quarterly report for a more complete explanation of our revenue recognition policies.

During the first nine months of 2013, we encountered industry challenges related to health care reform, including the Affordable Care Act and reimbursement changes from government and Third-party payors, which has caused uncertainty to exist at the medical practitioner level causing a delay and decline in demand for our ZMI electrotherapy products.  The Affordable Care Act dramatically alters the United States health care system and is intended to decrease the number of uninsured Americans and reduce the overall cost of healthcare. The Affordable Care Act attempts to achieve these goals by, among other things, requiring most Americans to obtain health insurance, expanding Medicaid eligibility, reducing Medicare payments to providers, expanding the Medicare program's use of value-based purchasing programs and instituting certain private health insurance reforms. Although a majority of the measures contained in the Affordable Care Act do not take effect until 2014, certain measures have already become effective or will be implemented in 2013, and additional government policies designed to reduce the overall cost of the Medicare program through reduced reimbursement and reduced coverage for certain items and services have already become effective. These factors have resulted in reimbursement changes for durable medical equipment, which has caused uncertainty to exist at the medical practitioner level causing a delay and decline in demand for our ZMI electrotherapy products.  We also have experienced reimbursement challenges from government and Third-party payors related to certain medical indications for our ZMI electrotherapy products, all of which have negatively impacted our revenue and financial results for the first nine months of 2013.  It is difficult to predict the full impact of the Affordable Care Act because of its complexity, lack of implementing regulations and interpretive guidance, gradual and potentially delayed implementation, future potential legal challenges, and possible repeal and/or amendment, as well as the inability to foresee how individuals and businesses will respond to the choices afforded them by the Affordable Care Act. Further complicating

 

 17 


   

predictions regarding the impact of the Affordable Care Act is uncertainty surrounding individual State’s decisions to expand Medicaid, as contemplated by the Affordable Care Act, but made optional by the Supreme Court. As a result, it is difficult to predict the full impact that health care reform, including the Affordable Care Act, will have on our revenue and results of operations.  However, we anticipate continued depressed revenues and a net loss for the year.

In an effort to minimize the impact of health care reform and the resulting slowdown in our orders, we have made reductions during the second and third quarters of this year to our fixed expenses by cutting our annual employee costs by approximately $4.2 million dollars through headcount reductions. During the second quarter of 2013, we also renegotiated our existing building lease and entered into a new agreement, in which, among other things, base rent has been lowered and we are now operating in an approximate twelve month free rent period, which results in cash savings of approximately $1.5 million over the twelve month period beginning May 1, 2013.  We are monitoring the demand for our ZMI electrotherapy products and will make additional expense adjustments as necessary in future periods.  Additionally, we recently added new products that are less impacted by insurance reimbursement to our ZMI sales channel and are pursuing other opportunities, including the distribution of topical and transdermal pain creams. In ZND, we are distributing electroencephalography (EEG) sleep diagnostic products, mobile sleep diagnostic products and a sleep apnea treatment device in the US to clinics and hospitals. Therefore, all of these type of ZND capital good sales are business to business and are not subject to insurance reimbursement. We are also investing in our ZBC division where we expect increased service based revenue going forward. We believe these actions will serve to diversify our product mix and further reduce our dependency on insurance reimbursement.

Total Net Revenue (Rental and Sales).

   

 

   

   

Three months ended

   

   

Nine months ended

   

Total net revenue by type (in thousands):

   

September 30,
2013

   

   

September 30,
2012

   

   

September 30,
2013

   

   

September 30,
2012

   

   

   

   

   

   

   

   

   

   

   

   

   

   

   

   

   

   

Net Rental Revenue

   

$

1,284

   

   

$

2,281

   

   

$

4,606

   

   

$

6,780

   

Sales of electrotherapy and other privately-labeled distributed products

   

   

1,957

   

   

   

3,783

   

   

   

5,303

   

   

   

10,463

   

Sales of recurring consumable supplies

   

   

1,950

   

   

   

4,038

   

   

   

8,422

   

   

   

11,829

   

Total Net Sales Revenue

   

   

3,907

   

   

   

7,821

   

   

   

13,725

   

   

   

22,292

   

Total Net Revenue

   

$

5,191

   

   

$

10,102

   

   

$

18,331

   

   

$

29,072

   

   

Total net revenue decreased $4,911, or 49%, to $5,191 for the three months ended September 30, 2013, from $10,102 for the three months ended September 30, 2012. Total net revenue decreased $10,741, or 37%, to $18,331 for the nine months ended September 30, 2013, from $29,072 for the nine months ended September 30, 2012.

The decrease was primarily due to a 64% and 51% decrease in prescriptions (orders) for our electrotherapy products for the three and nine months ended September 30, 2013, respectively, as compared to the same periods in 2012. The overall decrease in total net revenue for the three and nine months ended September 30, 2013 was impacted by industry conditions driven by health care reform, and the related decrease in reimbursement rates as discussed above.   

Orders for our products lead to (1) rental income, which we anticipate receiving on a recurring basis over the time patients use our products, (2) direct sales of our products, and (3) corresponding recurring sales of electrodes and other supplies for our products, all of which are subject to our ability to collect payment due to contractual adjustments by insurers.  Our products are subject to reimbursement policies of Third-party Payors, which we may not be able to determine with any certainty.  These Third-party Payor policies typically dictate whether our products will be purchased or rented.  Therefore, our revenue mix of net rental and net sales revenue may fluctuate from time to time and may not be an indicator of the overall demand for our products.  We are unable to determine if the reimbursement policy trend towards purchasing rather than renting our products will continue or change in the future, as it is based on many market and Third-party Payor factors.  Shifts in our revenue mix may also have a material impact on our overall gross margin, as product sales result in a lower gross profit because their cost of sales is higher than that from rentals (cost of sales associated with rentals is primarily depreciation).

Net Rental Revenue

Net Rental Revenue decreased $997, or 44%, to $1,284 for the three months ended September 30, 2013, from $2,281 for the three months ended September 30, 2012.  Net Rental Revenue decreased $2,174, or 32%, to $4,606 for the nine months ended September 30, 2013, from $6,780 for the nine months ended September 30, 2012.  

 

 18 


   

The decrease was primarily due to a 64% and 51% decrease in prescriptions (orders) for our electrotherapy products for the three months and nine months ended September 30, 2013 as compared to the same periods in 2012, driven by industry conditions related to health care reform, and the related decrease in reimbursement rates as discussed above.

Net Sales Revenue

Net Sales Revenue decreased $3,914, or 50%, to $3,907 for the three months ended September 30, 2013, from $7,821 for the three months ended September 30, 2012.  Net Sales Revenue decreased $8,567, or 38%, to $13,725 for the nine months ended September 30, 2013, from $22,292 for the nine months ended September 30, 2012.  

Net Sales Revenue for the three and nine months ended September 30, 2013 represented 75% and 75% of total net revenue compared to 77% for each of the three and nine months ended September 30, 2012.  Net Sales Revenue is comprised of two primary components: sales of electrotherapy devices and private-labeled distributed products, representing 38% and 29% of total net revenue for the three and nine months ended September 30, 2013, respectively, and sales of recurring device consumables (batteries and electrodes), representing 38% and 46% of total net revenue for the three and nine months ended September 30, 2013, respectively.  This compares to the sale of electrotherapy devices and private-labeled distributed products representing 37% and 36% of total net revenue for the three and nine months ended September 30, 2012, respectively, and sale of device consumables representing 40% and 41% of total net revenue for the three and nine months ended September 30, 2012, respectively.  The decrease was primarily due to a 64% and 51% decrease in prescriptions (orders) for our electrotherapy products for the three and nine months ended September 30, 2013 as compared to the same periods in 2012, driven by industry conditions related to health care reform, and the related decrease in reimbursement rates as discussed above.    

Gross Profit

Total gross profit for the three months ended September 30, 2013 was $3,645 (or 70% of total net revenue) compared to $7,886 (or 78% of total net revenue) in the three months ended September 30, 2012. Total gross profit for the nine months ended September 30, 2013 was $12,711 (or 69% of total net revenue) compared to $23,257 (or 80% of total net revenue) in the nine months ended September 30, 2012.

Total gross profit for the three and nine months ended September 30, 2013 decreased 54% and 45%, respectively, from the three and nine months ended September 30, 2012.  The decrease in the gross profit percentage for the three and nine months ended September 30, 2013 was primarily due to lower sales volume reported in the three and nine months ended September 30, 2013, as we had less net revenue to cover manufacturing costs and incremental expenses incurred because of an increase to our allowance for obsolete inventory, due to excess quantities now in the field.   

Selling, General and Administrative (“SG&A”)

Total SG&A expenses decreased $2,461, or 34%, to $4,713 for the three months ended September 30, 2013 from $7,174 for the three months ended September 30, 2012.   Total SG&A expenses decreased $4,428, or 21%, to $16,699 for the nine months ended September 30, 2013 from $21,127 for the nine months ended September 30, 2012.    In an effort to minimize our decline in revenue driven by the impact of health care reform and the decrease in reimbursement rates, we made reductions in our fixed expenses by cutting our annual employee costs by approximately $4,200 through headcount reductions. These headcount reductions were executed during the second and third quarters of 2013.  We also renegotiated our existing building lease, under which, among other things, base rent has been lowered and we are now operating in an approximate twelve month free rent period, which began May 1, 2013, and is expected to result in cash savings of approximately $1,500.  We are monitoring the demand for our ZMI electrotherapy products and will make additional expense adjustments in future periods, as necessary.

A summary of expenses by department for the three and nine months ended September 30, 2013 and 2012 is provided below:

   

 

   

   

Three months ended

   

   

Nine months ended

   

SG&A expense by department

   

September 30, 2013

   

   

% of Net Revenue

   

   

September 30, 2012

   

   

% of Net Revenue

   

   

September 30, 2013

   

   

% of Net Revenue

   

   

September 30, 2012

   

   

% of Net Revenue

   

Sales & Marketing

   

$

1,765

   

   

   

34

%

   

$

3,497

   

   

   

35

%

   

$

5,945

   

   

   

32

%

   

$

10,400

   

   

   

36

%

Reimbursement & Billing

   

   

1,516

   

   

   

29

%

   

   

2,425

   

   

   

24

%

   

   

5,784

   

   

   

32

%

   

   

6,569

   

   

   

23

%

General & Administrative

   

   

1,178

   

   

   

23

%

   

   

1,099

   

   

   

11

%

   

   

4,042

   

   

   

22

%

   

   

3,343

   

   

   

11

%

Engineering & Operations

   

   

254

   

   

   

5

%

   

   

153

   

   

   

1

%

   

   

928

   

   

   

5

%

   

   

815

   

   

   

3

%

Total SG&A expenses

   

$

4,713

   

   

   

91

%

   

$

7,174

   

   

   

71

%

   

$

16,699

   

   

   

91

%

   

$

21,127

   

   

   

73

%

   

 

 19 


   

Our sales and marketing expenses decreased by $1,732 and $4,455 for the three and nine months ended September 30, 2013, respectively, over the same periods in 2012, primarily due to less commissions incurred during 2013 (total orders decreased 64% and 51% for the three and nine months ended September 30, 2013, respectively, over the same periods in 2012), changes made to our sales force, which included a reduction in direct sales employees and changes to compensation packages and a reduction in sales and marketing support staff. Our reimbursement and billing expenses decreased by $909 and $785 for the three and nine months ended September 30, 2013, respectively, as compared to the three and nine months ended September 30, 2012, primarily due to a reduction in headcount.  Our reimbursement and billing department relies on personnel, processes and systems to negotiate and collect from Third-party Payors. Therefore, we continue to evaluate and monitor the infrastructure in this department, as it is our primary function for cash collections, which may result in increased expenses in future periods.  Improvements in our reimbursement and billing function may lead to higher revenues, as better negotiations and collection efforts with Third-party Payors could result in an increase to our aggregate accounts receivable collection percentage. Our general and administrative expenses increased by $79 and $699 for the three and nine months ended September 30, 2013, respectively, over the same periods in 2012, which was primarily the result of additional administrative personnel to support the sales and marketing efforts in our ZND division, additional personnel for the management, operations and sales in our ZBC division and incremental expenses incurred due to the write down of certain NeuroDyne intangible assets.  Engineering and operations increased by $101 and $113 for the three and nine months ended September 30, 2013 over the same periods in 2012, primarily due to increased engineering expenses incurred in our ZMS division.  

Other Income (Expense)

Other expense is comprised of interest expense and other expense.

Interest expense for the three and nine months ended September 30, 2013 was $136 and $480, respectively, compared to $119 and $293 for the same periods in 2012. The increase in interest expense is a result of our increased use of our revolving line of credit during the first nine months of 2013, which resulted in a revolving line of credit balance of $6,291 as of September 30, 2013, versus a balance of $6,077 as of September 30, 2012.  

Other income (expense) for the three and nine months ended September 30, 2013 was zero and $72, respectively, as compared to other expense of ($6) and ($13) for the three and nine months ended September 30, 2012.  Other income for the nine months ended September 30, 2013 results from the change in the fair value of contingent consideration of approximately $70.

Income Tax Benefit (Expense)

Income tax benefit for the three and nine months ended September 30, 2013 was $455 and $1,610, respectively, compared to income tax expense of ($229) and ($673) for the same periods in 2012.  Income tax benefit for the three and nine months ended September 30, 2013 was the result of the Company generating a loss before income tax of ($1,204) and ($4,396), respectively.  Income tax expense for the three and nine months ended September 30, 2012 was the result of the Company generating an income before income tax of $587 and $1,824, respectively.   The provision for income taxes is recorded at the end of each interim period based on the Company's best estimate of its effective income tax rate expected to be applicable for the full fiscal year.  The Company’s effective income tax rate for the three and nine months ended September 30, 2013 was 38% and 37%, respectively.

LIQUIDITY AND CAPITAL RESOURCES:

Line of Credit

We have an asset-backed revolving credit facility of up to $7,000, subject to reserves and reductions to the extent of changes in our asset borrowing base, under a Loan and Security Agreement (the “Doral Agreement”) with Doral Healthcare Finance, a division of Doral Money, Inc. Borrowings under the Doral Agreement bear interest at a variable rate equal to the greater of (i) the British Bankers’ Association LIBOR rate as published in The Wall Street Journal for dollar deposits in the amount of $1,000 with a maturity of one month or (ii) 3% per annum, plus, in each case, a margin of 3.75%. The Doral Agreement will mature on December 19, 2014. As of September 30, 2013, the effective interest rate under the Doral Agreement was 8% (7% interest rate and 1% fees). We may terminate the Doral Agreement at any time prior to the maturity date upon thirty days’ prior written notice and upon payment in full of all outstanding obligations under the Doral Agreement. If we terminate the Doral Agreement, we must pay a specified early termination fee.

The availability of the line of credit depends upon our ongoing compliance with covenants, representations and warranties in the Doral Agreement and borrowing base limitations. Although the maximum amount of the line of credit is $7,000, the amount available for borrowing under the line of credit is subject to a ceiling based upon eligible receivables and other limitations, which may limit our ability to borrow the maximum amount. As of September 30, 2013, $6,291 was outstanding under the Doral Agreement and zero was available for borrowing based on our current borrowing base.

 

 20 


   

The Doral Agreement contains certain customary restrictive and financial covenants for asset-backed credit facilities.  As of September 30, 2013, we were not in compliance with one of the financial covenants under the Doral Agreement.  As a result, all amounts due under the credit agreement are callable by the lender. We are currently in discussions with the lender and expect to receive a waiver; however, no assurance can be given.  If a waiver is not obtained, in addition to demanding immediate payment of amounts outstanding under the Credit Agreement, the lender can restrict or prevent us from borrowing while in default, which could have a material adverse impact on our cash flow and liquidity.

Limited Liquidity

Cash at September 30, 2013 was $468, compared to cash at December 31, 2012 of $823.

Cash used in operating activities was $676 for the nine months ended September 30, 2013 compared to $1,200 of cash used in operating activities for the nine months ended September 30, 2012. The primary uses of cash in operations for the nine months ended September 30, 2013 was the result of the net loss from operations reported for the period, an increase in deposits and other current assets and a decrease in accrued liabilities and income taxes, which were partially offset by a decrease in accounts receivable and adjustments for non-cash items.  The primary uses of cash from operations for the nine months ended September 30, 2012 was the result of decreases in collections on accounts receivable, including the impact of the industry Version 5010 electronic claims processing conversion, and increases in inventory required to support our increase in orders, partially offset by increased net income and adjustments for non-cash items.  

Cash provided by investing activities for the nine months ended September 30, 2013 was $46 compared to cash used in investing activities of $1,445 for the nine months ended September 30, 2012. Cash provided by investing activities for the nine months ended September 30, 2013 primarily represents purchases of equipment, partially offset by an increase in cash flows relating to the change in inventory held for rental, which reflects the change in our revenue mix towards selling rather than renting our products.  Cash used in investing activities for the nine months ended September 30, 2012 primarily represents the purchase and in-house production of rental products, purchases of capital equipment and the purchase of the assets of NeuroDyne Medical Corp.  (See Note 5 of our Consolidated Financial Statements in our Annual Report on Form 10-K for the year-ended December 31, 2012 for additional information).  

Cash provided by financing activities was $275 for the nine months ended September 30, 2013 compared with cash provided by financing activities of $2,699 for the nine months ended September 30, 2012.  The primary financing sources of cash for the nine months ended September 30, 2013 were net borrowings under the line of credit, partially offset by payments on notes payable and capital lease obligations.  The primary financing sources of cash for the nine months ended September 30, 2012 were net borrowings under the line of credit and issuance of common stock, partially offset by payments on notes payable and capital lease obligations and deferred financing fees.

Our limited liquidity is primarily a result of (a) the high level of outstanding accounts receivable because of deferred payment practices of Third-party Payors, (b) the required high levels of inventory kept with sales representatives held at the offices of health care providers that are standard in the electrotherapy industry, (c) the potential need for expenditures to continue to enhance the Company’s internal billing processes, (d) the delayed cost recovery inherent in rental transactions, and (e) expenditures required for on-going product development.  In addition, during the first nine months of 2013, we encountered industry challenges, specifically related to health care reform that affected demand in our core electrotherapy business, ZMI. These factors have resulted in reimbursement changes for durable medical equipment, which has caused uncertainty to exist at the medical practitioner level causing a delay and decline in demand for our ZMI electrotherapy products.  We also have experienced reimbursement challenges from government and Third-party payors related to certain medical indications for our ZMI electrotherapy products, all of which have negatively impacted our revenue and financial results for the first nine months of 2013.  Limited liquidity may restrict our ability to carry out our current business plans and curtail our future revenue growth.

For the nine months ended September 30, 2013 and 2012, we reported negative cash flows from operations of $676 and $1,200, respectively. In addition, our line of credit increased from $5,906 at December 31, 2012 to $6,291 at September 30, 2013, primarily driven by our net loss and working capital requirements. Maximum borrowings under the line of credit are $7,000, subject to adjustments to our accounts receivable borrowing base. As of September 30, 2013, we did not have any additional availability under our line of credit. As of September 30, 2013, we were not in compliance with one of the financial covenants under the line of credit.  As a result, all amounts due under the credit agreement are callable by the lender. We are currently in discussions with the lender and expect to receive a waiver; however, no assurance can be given.  If a waiver is not obtained, in addition to demanding immediate payment of amounts outstanding under the line of credit, the lender can restrict or prevent us from borrowing while in default, which could have a material adverse impact on our cash flow and liquidity.  We developed our operating plans for 2013 to emphasize cash flow, and under which we are making operational billing changes to increase cash collections as well as implementing various cost modifications to reduce our expenses. However, during the first nine months of 2013, we encountered industry challenges related to health care reform, including the Affordable Care Act and reimbursement changes from government and Third-party payors,

 

 21 


   

which has caused uncertainty to exist at the medical practitioner level causing a delay and decline in demand for our ZMI electrotherapy products.  In an effort to minimize the impact of health care reform and changes in reimbursement, we have made reductions in our fixed expenses by cutting our annual employee costs by approximately $4,200 through headcount reductions. These headcount reductions were executed during the second and third quarters of 2013.  We also renegotiated our existing building lease, under which, among other things, base rent has been lowered and we are now operating in an approximate twelve month free rent period, which began May 1, 2013, and is expected to result in cash savings of approximately $1,500.  We are monitoring the demand for our ZMI electrotherapy products and will make additional expense adjustments as necessary in future periods. Additionally, we recently added new products that are less impacted by insurance reimbursement to our ZMI sales channel and are pursuing other opportunities, including the manufacturing and distribution of topical and transdermal pain creams.  In ZND, we are distributing electroencephalography (EEG) sleep diagnostic products, mobile sleep diagnostic products and a sleep apnea treatment device in the US, which are all capital goods that are not subject to insurance reimbursement. We are also investing in our ZBC division where increased service based revenue is expected going forward. We believe these actions will serve to diversify our product mix and further reduce dependency on insurance reimbursement. We believe that as a result of the restructuring activities completed during the second and third quarters of 2013, the Company’s cash flows from operating activities and limited borrowing availability under the line of credit will be sufficient to fund cash requirements through the next twelve months. Our long-term business plan contemplates organic growth in revenues, through the addition of new products to our sales channel that could mitigate the decline in our ZMI electrotherapy products, and possible acquisitions. Therefore, in order to support growth in revenue, we require, among other things, funds for the purchase of equipment (primarily for rental inventory), funds for the purchase of inventory and the payment of commissions to sales representatives, and funds for the expansion of our sales channel. On March 9, 2012, in an effort to diversify our product line and penetrate markets that our ZND subsidiary serves, we acquired substantially all of NeuroDyne Medical Corp’s assets (See Note 5 of our Consolidated Financial Statements in our Annual Report on Form 10-K for the year-ended December 31, 2012 for additional information). Matters relating to the acquisition (including integration, operation and sales) have and will continue to require commitments of time and resources, which may detract and impede growth in other areas of our business. The NeuroDyne asset purchase agreement provides for a seven year contingent consideration, based on a declining percentage of net revenue generated by NeuroDyne products. The potential amount of all future payments that we could be required to make under the contingent consideration arrangement is between $0 and $52 based on a percentage of net revenue over the next six years.

Our long-term business plan contemplates organic growth in revenues, through the addition of new products to our sales channel that could mitigate the decline in our ZMI electrotherapy products, and possible acquisitions. Therefore, in order to support growth in revenue, we require, among other things, funds for the purchase of equipment (primarily for rental inventory), funds for the purchase of inventory and the payment of commissions to sales representatives, and funds for the expansion of our sales channel. On March 9, 2012, in an effort to diversify our product line and penetrate markets that our ZND subsidiary serves, we acquired substantially all of NeuroDyne Medical Corp’s assets (See Note 5 of our Consolidated Financial Statements in our Annual Report on Form 10-K for the year-ended December 31, 2012 for additional information). Matters relating to the acquisition (including integration, operation and sales) have and will continue to require commitments of time and resources, which may detract and impede growth in other areas of our business. The NeuroDyne asset purchase agreement provides for a seven year contingent consideration, based on a declining percentage of net revenue generated by NeuroDyne products. The potential amount of all future payments that we could be required to make under the contingent consideration arrangement is between $0 and $52 based on a percentage of net revenue over the next  six years.

There is no assurance that our operations and available borrowings, if any, will provide enough cash for operating requirements or for increases in our inventory of products, as needed, for growth.  We may need to seek external financing through the issuance of debt or sale of equity, and we are not certain whether any such financing would be available to us on acceptable terms, or at all.  Any additional debt would require the approval of Doral Healthcare Finance.

Our dependence on operating cash flow means that risks involved in our business can significantly affect our liquidity.  Contingencies such as unanticipated shortfalls in revenues or increases in expenses could affect our projected revenue, cash flows from operations and liquidity which may force us to curtail our operating plan or impede our growth.

We frequently receive, and expect to continue to receive, refund requests from insurance providers relating to specific patients and dates of service. Billing and reimbursement disputes are very common in our industry. These requests are sometimes related to a few patients and other times include a significant number of refund claims in a single request. We review and evaluate these requests and determine if any refund is appropriate. We also review claims where we are rebilling or pursuing additional reimbursement from that insurance provider. We frequently have significant offsets against such refund requests which may result in amounts that are due to us in excess of the amounts of refunds requested by the insurance providers. Therefore, at the time of receipt of such refund requests we are generally unable to determine if a refund request is valid and should be accrued as a liability.

As of September 30, 2013, we believe we have an adequate allowance for contractual adjustments relating to known insurance disputes and refund requests. However, no assurances can be given with respect to such estimates of reimbursements and offsets or the ultimate outcome of any refund requests.

 

 22 


   

CRITICAL ACCOUNTING POLICIES AND ESTIMATES:

There are several accounting policies that involve management’s judgments and estimates and are critical to understanding our historical and future performance, as these policies and estimates affect the reported amounts of revenue and other significant areas in our reported financial statements.

Please refer to the “Management’s Discussion and Analysis of Financial Condition and Results of Operation” located within our Annual Report on Form 10-K for the year ended December 31, 2012 filed with the Securities and Exchange Commission on March 28, 2013, and Note 2 to the Unaudited Condensed Consolidated Financial Statements in this Quarterly Report for further discussion of our “Critical Accounting Policies.”

ITEM 4. CONTROLS AND PROCEDURES

Disclosure Controls and Procedures

The Company, under the supervision and with the participation of the Company’s management, including the Company’s Chief Executive Officer and Chief Financial Officer, performed an evaluation of the effectiveness of the Company’s disclosure controls and procedures as of September 30, 2013. Based on that evaluation, the Chief Executive Officer and Chief Financial Officer concluded that the Company’s disclosure controls and procedures were effective as of September 30, 2013.

Changes in Internal Control Over Financial Reporting

There was no change in the Company’s internal control over financial reporting during the quarter ended September 30, 2013 that has materially affected, or is reasonably likely to materially affect, the Company’s internal control over financial reporting.

   

   

 

 23 


   

PART II. OTHER INFORMATION

ITEM 1. LEGAL PROCEEDINGS

We are not a party to any material pending legal proceedings.

ITEM 1A. RISK FACTORS

Readers are encouraged to carefully consider the risk factors discussed in Part I, Item 1A. “Risk Factors” in our Annual Report on Form 10-K for the year ended December 31, 2012 (“2012 Annual Report”), which could materially affect our business, financial condition, cash flows or operating results. The risks described therein are not the only risks facing our Company. 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, cash flows or operating results.  The risk factors set forth below supplements (and updates) the risk factors previously disclosed in the 2012 Annual Report:

THE PATIENT PROTECTION AND ACCOUNTABILITY ACT OF 2010 WILL HAVE AN IMPACT ON OUR BUSINESS WHICH MAY BE IN PART BENEFICIAL AND IN PART DETRIMENTAL.

In March 2010, broad federal health care reform legislation was enacted in the United States. This legislation did not become effective immediately in total, and may be modified prior to the effective date of some provisions. This legislation could have an impact on our business in a variety of ways including increased number of Medicaid recipients, increased number of individuals with commercial insurance, additional audits conducted by public health insurance plans such as Medicaid and Medicare, changes to the rules that govern employer group health insurance and other factors that influence the acquisition and use of health insurance from private and public payors. This legislation may result in a change in reimbursement for certain durable medical equipment. We believe the new healthcare legislation and these changes to reimbursement have caused uncertainty with prescribers, which we believe contributed to our drop in orders and revenue during the first nine months of 2013. We are currently unable to determine whether such trend will continue in future periods or whether the health care reform legislation will have other adverse consequences to our business and results of operations. To the extent prescribers write fewer prescriptions for our products or there is an adverse change to insurance reimbursement for our products, due to the new law or otherwise, our revenue and profitability will be materially adversely affected.

Effective this year, there is a 2.3% excise tax on the first sale of medical devices, with certain exceptions. We believe that a majority of our ZMI products are not subject to this tax but currently we can make no assurance.   We believe the majority of the products in our ZND division are subject to this tax.  For our products that are or become subject to this excise tax, we are uncertain of our ability to pass this tax on to third parties. Thus far this excise tax has not had a material impact on our financial results.  

Other reform measures changed the timeline to submit Medicare claims to one year from the date of service. We must expend resources to evaluate and potentially adjust our claims processing procedure to comply with Medicare’s faster filing requirements or risk denials of otherwise appropriate claims and the resulting diminished revenue.

Other reform measures were passed that allow Centers for Medicare and Medicaid (“CMS”) to place a moratorium on new enrollment of Medicare suppliers and to suspend payment to suppliers based upon a credible allegation of fraud from any source. It is unclear if CMS will use this new authority liberally, potentially impacting our cash-flow and revenue. Additional penalties were added for the knowing and improper retention of overpayments collected from government programs such as Medicare and Medicaid. Failure to identify and return overpayments within a specified time-frame can also implicate the federal False Claims Act with potential for fines and penalties all which could have a material adverse effect on our results of operations and cash flows.

HOSPITALS AND CLINICIANS MAY NOT BUY, PRESCRIBE OR USE OUR PRODUCTS IN SUFFICIENT NUMBERS, WHICH COULD RESULT IN DECREASED REVENUES AND PROFITS.

Hospitals and clinicians may not accept any of our products as effective, reliable, and cost-effective. Factors that could prevent such institutional customer acceptance include:

   

·

If customers conclude that the costs of these products exceed the cost savings associated with the use of these products;

   

·

If customers are financially unable to purchase these products;

   

·

If adverse patient events occur with the use of these products, generating adverse publicity;

   

·

If we lack adequate resources to provide sufficient education and training to our customers;

   

·

If frequent product malfunctions occur, leading clinicians to believe that the products are unreliable; and

 

 24 


   

   

·

If physicians or other health care providers believe that our products will not be reimbursed by insurers or decide to prescribe competing products.

Because our sales are dependent on prescriptions from physicians, if any of these or other factors results in fewer prescriptions for our products being written, we will have reduced revenues and may not be able to fully fund operations. We experienced a steep decline in orders for our ZMI products during the nine months of 2013 and can make no assurances that demand for our products will not further decline in future periods.

ITEM 6. EXHIBITS

   

 

Exhibit

Number

      

Description

3.1

      

Amended and Restated Articles of Incorporation (incorporated by reference to Exhibit 10.1 of the Company’s Current Report on Form 8-K filed on October 7, 2008).

3.2

      

Amended and Restated Bylaws (incorporated by reference to Exhibit 10.2 of the Company’s Current Report on Form 8-K filed on October 7, 2008).

31.1*

      

Certification of Chief Executive Officer Pursuant to Rule 13a-14(a)/15d-14(a) as Adopted Pursuant to Section 302 of Sarbanes-Oxley Act of 2002.

31.2*

      

Certification of Chief Financial Officer Pursuant to Rule 13a-14(a)/15d-14(a) as Adopted Pursuant to Section 302 of Sarbanes-Oxley Act of 2002.

32.1*

      

Certification of Chief Executive Officer and Chief Financial Officer Pursuant to 18 U.S.C. Section 1350, as Adopted Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.

101*

      

The following financial statements, formatted in XBRL: (i) Condensed Consolidated Balance Sheets as of September 30, 2013 and December 31, 2012, (ii) Condensed Consolidated Statements of Operations for the three and nine months ended September 30, 2013 and 2012 (iii) Condensed Consolidated Statements of Stockholders’ Equity as of September 30, 2013 (iv) Condensed Consolidated Statements of Cash Flows for the nine months ended September 30, 2013 and 2012 and (v) Notes to Condensed Consolidated Financial Statements.

 

*

Filed herewith.

   

   

   

 

 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.

   

 

   

   

   

ZYNEX, INC.

Dated:

November 13, 2013

   

/s/ Thomas Sandgaard

   

   

   

Thomas Sandgaard

   

   

   

President, Chief Executive Officer and Treasurer

   

   

   

   

   

   

   

   

Dated:

November 13, 2013

   

/s/ Anthony A. Scalese

   

   

   

Anthony A. Scalese

   

   

   

Chief Financial Officer

   

 

 26 


EX-31 2 zyxi-ex31_20130930288.htm EXHIBIT 31.1

   

Exhibit 31.1

   

CERTIFICATION

   

I, Thomas Sandgaard, certify that:

   

1.  I have reviewed this quarterly report on Form 10-Q of Zynex, Inc.;

   

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(s) 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(s) 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.

      

Dated:  November 13, 2013

   

 

/s/  THOMAS SANDGAARD

Thomas Sandgaard

President and Chief Executive Officer

Principal Executive Officer

   

   


EX-31 3 zyxi-ex31_20130930289.htm EXHIBIT 31.2

   

 Exhibit 31.2

   

CERTIFICATION

   

I, Anthony A. Scalese, certify that:

   

1.  I have reviewed this quarterly report on Form 10-Q of Zynex, Inc.;

   

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(s) 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(s) 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.

      

Dated:  November 13, 2013

   

 

/s/  ANTHONY A. SCALESE

Anthony A. Scalese

Chief Financial Officer

Principal Financial Officer

   

       

 

      


EX-32 4 zyxi-ex32_20130930290.htm EXHIBIT 32.1

   

Exhibit 32.1

   

CERTIFICATION PURSUANT TO 18 U.S.C. SECTION 1350,

AS ADOPTED PURSUANT TO SECTION 906 OF THE

SARBANES-OXLEY ACT OF 2002

   

Each of the undersigned hereby certifies, for the purposes of Section 1350 of Chapter 63 of Title 18 of the United States Code, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, in his capacity as an officer of Zynex, Inc. (“Zynex”), that to his knowledge:

   

 

1.  

Zynex’s Quarterly Report on Form 10-Q for the quarter ended September 30, 2013 (the “10-Q 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 10-Q Report fairly presents, in all material respects, the financial condition and results of operations of Zynex for the period covered by the 10-Q Report.

   

Dated:    November 13, 2013

   

 

/s/ Thomas Sandgaard

Thomas Sandgaard

President and Chief Executive Officer

         

         

/s/ Anthony A. Scalese

Anthony A. Scalese

Chief Financial Officer

   

       

 

      


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Certain information and footnote disclosures normally included in financial statements prepared in accordance with U.S. GAAP have been condensed or omitted pursuant to such rules and regulations, although the Company believes that the disclosures included herein are adequate to make the information presented not misleading. A description of the Company&#8217;s accounting policies and other financial information is included in the audited consolidated financial statements as filed with the SEC in the Company&#8217;s Annual Report on Form 10-K for the year ended December</font><font style="font-family:&apos;Times New Roman&apos;; font-size:10pt">&#160;</font><font style="font-family:&apos;Times New Roman&apos;; font-size:10pt">31, 2012. 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Concentrations
9 Months Ended
Sep. 30, 2013
Concentrations

(11) CONCENTRATIONS

The Company sourced approximately 34% and 23% of its electrotherapy products from one contract manufacturer during the three and nine months ended September 30, 2013. Management believes that its relationships with suppliers are strong; however, if necessary these relationships can be replaced. If the relationships were to be replaced, there may be a short-term disruption to operations, a period of time in which products may not be available and additional expenses may be incurred.

The Company had receivables from a private health insurance carrier at September 30, 2013 that made up approximately 7% of the net accounts receivable balance. The Company had receivable from a different private health insurance carrier that made up approximately 22% of net accounts receivable at December 31, 2012.

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M`'AL+W=O@$`9&]C4')O<',O8V]R92YX;6Q0 M2P$"+0`4``8`"````"$`GMVTD_P"```/"P``$``````````````````9?0$` F9&]C4')O<',O87!P+GAM;%!+!08`````-@`V`*P.``!+@0$````` ` end XML 13 R4.htm IDEA: XBRL DOCUMENT v2.4.0.8
Condensed Consolidated Statements of Operations (Unaudited) (USD $)
In Thousands, except Share data, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Sep. 30, 2013
Sep. 30, 2012
Net revenue:        
Rental $ 1,284 $ 2,281 $ 4,606 $ 6,780
Sales 3,907 7,821 13,725 22,292
Total net revenue 5,191 10,102 18,331 29,072
Cost of revenue:        
Rental 257 279 956 810
Sales 1,289 1,937 4,664 5,005
Total cost of revenue 1,546 2,216 5,620 5,815
Gross profit 3,645 7,886 12,711 23,257
Selling, general and administrative expense 4,713 7,174 16,699 21,127
(Loss) income from operations (1,068) 712 (3,988) 2,130
Other expense:        
Interest expense (136) (119) (480) (293)
Other income (expense)   (6) 72 (13)
Total other income (expense) (136) (125) (408) (306)
(Loss) income before income tax (1,204) 587 (4,396) 1,824
Income tax benefit (expense) 455 (229) 1,610 (673)
Net (loss) income (749) 358 (2,786) 1,151
Plus: Net loss – noncontrolling interest 11   28  
Net (loss) income – attributable to Zynex, Inc.: $ (738) $ 358 $ (2,758) $ 1,151
Net (loss) income per share:        
Basic $ (0.02) $ 0.01 $ (0.09) $ 0.04
Diluted $ (0.02) $ 0.01 $ (0.09) $ 0.04
Weighted average number of common shares outstanding:        
Basic 31,148,234 31,130,908 31,148,234 31,034,972
Diluted 31,148,234 31,316,836 31,148,234 31,202,842

XML 14 R10.htm IDEA: XBRL DOCUMENT v2.4.0.8
Leases
9 Months Ended
Sep. 30, 2013
Leases

(4) LEASES

The Company has commitments under various operating and capital leases that are payable in monthly installments. On June 18, 2013, the Company renegotiated its existing building lease and entered into a new lease agreement for its existing building in Lone Tree, Colorado, effective May 1, 2013. The lease, which expires in November 2023, provides for two five-year renewal options at the then market rental rate. Under the lease, no rental payments are due for the first six months. For the remaining months of the lease, base monthly rent begins at $129 and escalates at $3 per month (or $0.50 per square foot) every twelve months, resulting in a monthly rent of $157 by January 2023. The Company anticipates that for accounting purposes, it will have an annual rental expense of $1,420 throughout the term of the lease. The lease includes a $101 refund from the landlord for amounts previously overpaid for operating expenses, which amounts shall be deducted from the Company’s rent in November 2013. The lease also includes a tenant allowance of $1,130, of which $565 is to be used for leasehold improvements and $565 may be used to apply to rent in December 2013 and beyond. Such allowances are included in the Company’s deferred rent liability and deposit accounts. The lease contains customary events of default, termination, maintenance, indemnification and other lease terms. 

XML 15 Show.js IDEA: XBRL DOCUMENT /** * Rivet Software Inc. * * @copyright Copyright (c) 2006-2011 Rivet Software, Inc. All rights reserved. * Version 2.4.0.3 * */ var Show = {}; Show.LastAR = null, Show.hideAR = function(){ Show.LastAR.style.display = 'none'; }; Show.showAR = function ( link, id, win ){ if( Show.LastAR ){ Show.hideAR(); } var ref = link; do { ref = ref.nextSibling; } while (ref && ref.nodeName != 'TABLE'); if (!ref || ref.nodeName != 'TABLE') { var tmp = win ? win.document.getElementById(id) : document.getElementById(id); if( tmp ){ ref = tmp.cloneNode(true); ref.id = ''; link.parentNode.appendChild(ref); } } if( ref ){ ref.style.display = 'block'; Show.LastAR = ref; } }; Show.toggleNext = function( link ){ var ref = link; do{ ref = ref.nextSibling; }while( ref.nodeName != 'DIV' ); if( ref.style && ref.style.display && ref.style.display == 'none' ){ ref.style.display = 'block'; if( link.textContent ){ link.textContent = link.textContent.replace( '+', '-' ); }else{ link.innerText = link.innerText.replace( '+', '-' ); } }else{ ref.style.display = 'none'; if( link.textContent ){ link.textContent = link.textContent.replace( '-', '+' ); }else{ link.innerText = link.innerText.replace( '-', '+' ); } } }; XML 16 R24.htm IDEA: XBRL DOCUMENT v2.4.0.8
Stock-Based Compensation Plans (Tables)
9 Months Ended
Sep. 30, 2013
Fair Value of Stock Options Grants

The Company used the Black Scholes option pricing model to determine the fair value of stock option grants, using the following assumptions during the nine months ended September 30, 2013 and 2012:

 

 

2013

 

2012

Weighted average expected term

6.25 years

 

6.17 years

Weighted average volatility

  111

%

 

  134

%

Weighted average risk-free interest rate

  1.3

%

 

  1.0

%

Dividend yield

  0

%

 

  0

%

 

Summary of Stock Option Activity Under the Option Plan

A summary of stock option activity under the Option Plan for the nine months ended September 30, 2013 is presented below:

 

 

Shares
Under
Option

 

  

Weighted
Average
Exercise
Price

 

  

Weighted
Average
Remaining
Contractual
Life

 

  

Aggregate
Intrinsic
Value

 

Outstanding at January 1, 2013             

 

  1,501,500

  

  

$

  0.95

  

  

 

 

 

  

 

 

 

Granted             

 

  356,000

  

  

$

  0.37

  

  

 

 

 

  

 

 

 

Exercised             

 

  

  

$

  

  

 

 

 

  

 

 

 

Forfeited             

 

(374,500

)

  

$

  0.88

  

  

 

 

 

  

 

 

 

Outstanding at September 30, 2013             

 

  1,483,000

  

  

$

  0.83

  

  

 

7.0 years

  

  

$

  75

  

Exercisable at September 30, 2013             

 

  843,997

  

  

$

  1.04

  

  

 

5.7 years

  

  

$

  75

  

 

Summary of Status of the Company's Non-Vested Share Awards

A summary of status of the Company’s non-vested share awards as of and for the nine months ended September 30, 2013 is presented below:

 

 

Nonvested Shares
Under Option

 

  

Weighted Average
Grant Date Fair Value

 

Non-vested at January 1, 2013             

 

  690,877

  

  

$

  0.69

  

Granted             

 

  356,000

  

  

$

  0.31

  

Vested             

 

(251,999

)

  

$

  0.77

  

Forfeited             

 

(155,875

)

  

$

  0.81

  

Non-vested at September 30, 2013             

 

  639,003

  

  

$

  0.49

  

 

XML 17 R18.htm IDEA: XBRL DOCUMENT v2.4.0.8
Litigation
9 Months Ended
Sep. 30, 2013
Litigation

(12) LITIGATION

From time to time, the Company may become party to litigation and other claims in the ordinary course of business. To the extent that such claims and litigation arise, management would provide for them if losses are determined to be both probable and estimable.

The Company is currently not a party to any material pending legal proceedings.

XML 18 R38.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements (Details) (Fair Value, Measurements, Recurring, USD $)
In Thousands, unless otherwise specified
Sep. 30, 2013
Liabilities:  
Contingent consideration $ 31
Fair Value, Inputs, Level 3
 
Liabilities:  
Contingent consideration $ 31
XML 19 R27.htm IDEA: XBRL DOCUMENT v2.4.0.8
Unaudited Condensed Consolidated Financial Statements and Managements' Plans (Details Textual) (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Dec. 31, 2012
Unaudited Condensed Consolidated Financial Statements (Textual) [Abstract]      
Percentage of limited liability 80.00%    
Negative cash flows from operations $ (676) $ (1,200)  
Maximum borrowings under line of credit 7,000    
Line of credit 6,291   5,906
Fixed expenses reduced by cutting annual employee costs through headcount reduction 4,200    
Cash savings due to renegotiated existing building lease $ 1,500    
XML 20 R26.htm IDEA: XBRL DOCUMENT v2.4.0.8
Segment Reporting (Tables)
9 Months Ended
Sep. 30, 2013
Summarized Information about Reported Segment

Net revenue was primarily generated from sales in the United States.

 

 

ZMI &
ZBC

 

  

ZND &
ZEU

 

  

ZMS

 

  

TOTAL

 

THREE MONTHS ENDED SEPTEMBER 30, 2013

 

 

 

  

 

 

 

  

 

 

 

  

 

 

 

Sales             

$

  5,138

  

  

$

  53

  

  

$

  0

  

  

$

  5,191

  

Gross profit             

 

  3,612

  

  

 

  33

  

  

 

  0

  

  

 

  3,645

  

Total assets             

 

  22,361

  

  

 

  986

  

  

 

  12

  

  

 

  23,359

  

THREE MONTHS ENDED SEPTEMBER 30, 2012

 

 

 

  

 

 

 

  

 

 

 

  

 

 

 

Sales             

$

  10,003

  

  

 

  99

  

  

$

  0

  

  

$

  10,102

  

Gross profit             

 

  7,834

  

  

 

  52

  

  

 

  0

  

  

 

  7,886

  

Total assets             

 

  25,494

  

  

 

  692

  

  

 

  7

  

  

 

  26,193

  

NINE MONTHS ENDED SEPTEMBER 30, 2013

 

 

 

  

 

 

 

  

 

 

 

  

 

 

 

Sales             

$

  18,102

  

  

$

  229

  

  

$

  0

  

  

$

  18,331

  

Gross profit             

 

  12,570

  

  

 

  141

  

  

 

  0

  

  

 

  12,711

  

Total assets             

 

  22,361

  

  

 

  986

  

  

 

  12

  

  

 

  23,359

  

NINE MONTHS ENDED SEPTEMBER 30, 2012

 

 

 

  

 

 

 

  

 

 

 

  

 

 

 

Sales             

$

  28,845

  

  

 

  227

  

  

$

  0

  

  

$

  29,072

  

Gross profit             

 

  23,119

  

  

 

  138

  

  

 

  0

  

  

 

  23,257

  

Total assets             

 

  25,494

  

  

 

  692

  

  

 

  7

  

  

 

  26,193

  

 

XML 21 R34.htm IDEA: XBRL DOCUMENT v2.4.0.8
Stock-Based Compensation Plans (Details 2) (USD $)
In Thousands, except Share data, unless otherwise specified
9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Summary of stock option activity under the option Plan    
Shares under option outstanding beginning balance 1,501,500  
Shares under option, granted 356,000 322,500
Shares under option, exercised     
Shares under option, forfeited (374,500)  
Shares under option outstanding ending balance 1,483,000  
Shares under option, exercisable ending balance 843,997  
Weighted average exercise price outstanding beginning balance $ 0.95  
Weighted average exercise price, granted $ 0.37  
Weighted average exercise price, exercised     
Weighted average exercise price, forfeited $ 0.88  
Weighted average exercise price outstanding ending balance $ 0.83  
Weighted average exercise price, exercisable ending balance $ 1.04  
Outstanding, weighted average exercise remaining contractual life 7 years  
Exercisable, weighted average exercise remaining contractual life 5 years 8 months 12 days  
Outstanding aggregate intrinsic value $ 75  
Exercisable aggregate intrinsic value $ 75  
XML 22 R40.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements (Details Textual) (USD $)
In Thousands, unless otherwise specified
3 Months Ended
Sep. 30, 2013
Fair Value Measurements [Abstract]  
Contingent payments $ 3
XML 23 R31.htm IDEA: XBRL DOCUMENT v2.4.0.8
Intangible Assets (Details) (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2013
Dec. 31, 2012
Acquisition of intangible assets    
Total intangible assets, gross $ 151 $ 251
Less: accumulated amortization (87) (48)
Total intangible assets, net 64 203
Trade names
   
Acquisition of intangible assets    
Total intangible assets, gross 33 72
Amortization Life Years 5 years  
Non-compete agreement
   
Acquisition of intangible assets    
Total intangible assets, gross 26 26
Amortization Life Years 5 years  
Technology
   
Acquisition of intangible assets    
Total intangible assets, gross 74 135
Amortization Life Years 5 years  
Domain Name
   
Acquisition of intangible assets    
Total intangible assets, gross $ 18 $ 18
Amortization Life Years 1 year  
XML 24 R43.htm IDEA: XBRL DOCUMENT v2.4.0.8
Concentrations (Details)
3 Months Ended 9 Months Ended
Sep. 30, 2013
Sep. 30, 2013
Dec. 31, 2012
Line of Credit Facility [Abstract]      
Purchased electrotherapy products Percentage 34.00% 23.00%  
Accounts receivable received by the company from a private health insurance company 7.00% 7.00% 22.00%
XML 25 R25.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements (Tables)
9 Months Ended
Sep. 30, 2013
Fair Value of Assets and Liabilities on a Recurring Basis

The following table presents information about the Company’s financial assets and liabilities that are measured at fair value on a recurring basis as of September 30, 2013, and indicates the fair value hierarchy of the valuation techniques the Company utilized to determine such fair value:

 

 

September 30, 2013

 

  

Significant
Unobservable
Inputs
(Level 3)

 

Liabilities:

 

 

 

  

 

 

 

Contingent consideration             

$

  31

  

  

$

  31

  

 

Changes in the Fair Value of the Level 3 Liabilities

Changes in the fair value of the Level 3 liabilities for the nine months ended September 30, 2013:

Balance at January 1, 2013             

$

  104

 

Payments             

 

(3

)

Accretion expense             

 

  4

 

Change in fair value of contingent consideration             

 

(74

)

Balance at September 30, 2013             

$

  31

 

 

XML 26 R6.htm IDEA: XBRL DOCUMENT v2.4.0.8
Condensed Consolidated Statements of Cash Flows (Unaudited) (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Cash flows from operating activities:    
Net loss $ (2,786) $ 1,151
Adjustments to reconcile net (loss) income to net cash used in operating activities:    
Depreciation expense 608 647
Warranty expense (6)  
Change in the value of contingent consideration (70) 14
Provision for losses on uncollectible accounts receivable 442 325
Amortization of intangible assets 39 33
Impairment of intangible assets 100  
Impairment of goodwill 39  
Amortization of financing fees 38 37
Issuance of common stock for services   20
Provision for obsolete inventory 293 228
Deferred rent 1,033 (222)
Employee stock-based compensation expense 98 150
Deferred tax expense   (50)
Gain on asset disposal (6)  
Changes in operating assets and liabilities, net of business acquisition (in 2012):    
Accounts receivable 2,959 (1,593)
Inventory (265) (2,291)
Prepaid expenses 65 83
Deposit and other current assets (2,057) 41
Accounts payable 232 264
Accrued liabilities (1,048) 222
Income taxes payable (384) (259)
Net cash used in operating activities (676) (1,200)
Cash flows from investing activities:    
Purchases of equipment (501) (388)
Change in inventory used for rental 550 (794)
Payments on contingent consideration (3)  
Cash paid for domain name   (18)
Cash paid for acquisition   (245)
Net cash provided by (used in) investing activities 46 (1,445)
Cash flows from financing activities:    
Net borrowings from line of credit 385 2,788
Issuance of common stock   10
Deferred financing fees   (2)
Payments on notes payable and capital lease obligations (110) (97)
Net cash provided by financing activities 275 2,699
Net (decrease) increase in cash (355) 54
Cash at beginning of period 823 789
Cash at end of period 468 843
Supplemental cash flow information:    
Interest paid 449 259
Income taxes paid, net of tax refunds (including interest and penalties) 384 1,016
Supplemental disclosure of non-cash investing and financing activities:    
Common stock issuances for business acquisition   158
Increase in contingent consideration for business acquisition   135
Equipment acquired through capital lease $ 137  
XML 27 R8.htm IDEA: XBRL DOCUMENT v2.4.0.8
Significant Accounting Policies
9 Months Ended
Sep. 30, 2013
Significant Accounting Policies

(2) SIGNIFICANT ACCOUNTING POLICIES

PRINCIPLES OF CONSOLIDATION

The accompanying unaudited condensed consolidated financial statements include the accounts of Zynex, Inc. and its subsidiaries. All intercompany balances and transactions have been eliminated in consolidation.

NONCONTROLLING INTEREST

Noncontrolling interest in the equity of a subsidiary is accounted for and reported as stockholders equity. Noncontrolling interest represents the 20% ownership in the Company’s majority-owned subsidiary, ZBC. In 2012, the noncontrolling interest member contributed $10 of property and equipment to ZBC.  

USE OF ESTIMATES

Preparation of financial statements in conformity with U.S. GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenue and expenses during the reporting period. Actual results could differ from those estimates. The most significant management estimates used in the preparation of the accompanying condensed consolidated financial statements are associated with the allowance for contractual adjustments and uncollectible accounts receivable, the reserve for obsolete and damaged inventory, stock-based compensation, valuation of goodwill and other long-lived assets, and income taxes.

REVENUE RECOGNITION, ALLOWANCE FOR CONTRACTUAL ADJUSTMENTS AND COLLECTIBILITY

The Company recognizes revenue when each of the following four conditions are met: 1) a contract or sales arrangement exists, 2) products have been shipped and title has transferred, or rental services have been rendered, 3) the price of the products or services is fixed or determinable, and 4) collectability is reasonably assured. Accordingly, the Company recognizes revenue, both rental and sales, when products have been delivered to the patient and the patient’s insurance (if the patient has insurance) has been verified. For medical products that are sold from inventories consigned at clinic locations, the Company recognizes revenue when it receives notice that the product has been prescribed and delivered to the patient and the patient’s insurance coverage has been verified or preauthorization has been obtained from the insurance company, when required. Revenue from the rental of products is normally on a month-to-month basis and is recognized ratably over the products’ rental period. Revenue from sales to distributors is recognized when the Company ships its products, which fulfills its order and transfers title. Revenue is reported net, after adjustments for estimated insurance company or governmental agency (collectively “Third-party Payors”) reimbursement deductions. The deductions are known throughout the health care industry as “contractual adjustments” whereby the Third-party Payors unilaterally reduce the amount they reimburse for the Company’s products.

A significant portion of the Company’s revenues are derived, and the related receivables are due, from Third-party Payors. The nature of these receivables within this industry has typically resulted in long collection cycles. The process of determining what products will be reimbursed by Third-party Payors and the amounts that they will reimburse is complex and depends on conditions and procedures that vary among providers and may change from time to time. The Company maintains an allowance for contractual adjustments and records additions to the allowance to account for the risk of nonpayment. Contractual adjustments result from reimbursements from Third-party Payors that are less than amounts claimed or where the amount claimed by the Company exceeds the Third-party Payors’ usual, customary and reasonable reimbursement rate. The Company determines the amount of the allowance, and adjusts it at the end of each reporting period, based on a number of factors, including historical rates of collection, the aging of the receivables, trends in the historical rates of collection and current relationships and experience with the Third-party Payors. If the rates of collection of past-due receivables recorded for previous fiscal periods changes, or if there is a trend in the rates of collection on those receivables, the Company may be required to change the rate at which it provides for additions to the allowance. A change in the rates of the Company’s collections can result from a number of factors, including experience and training of billing personnel, changes in the reimbursement policies or practices of Third-party Payors, or changes in industry rates of reimbursement. Accordingly, changes to the allowance for contractual adjustments, which are recorded in the income statement as a reduction of revenue, have historically fluctuated and may continue to fluctuate significantly from quarter to quarter.

 

(2) SIGNIFICANT ACCOUNTING POLICIES (continued)

Due to the nature of the industry, the reimbursement environment in which the Company operates and changes in health care reform, estimates are required to record net revenues and accounts receivable at their net realizable values. Inherent in these estimates is the risk that they will have to be revised or updated as additional information becomes available. Specifically, the complexity of third-party billing arrangements and the uncertainty of reimbursement amounts for certain products or services from payors or an unanticipated requirement to refund payments previously received may result in adjustments to amounts originally recorded. Due to continuing changes in the health care industry and third-party reimbursement, as well as changes in our billing practices to increase cash collections, it is possible that management’s estimates could change in the near term, which could have an impact on our results of operations and cash flows. Any differences between estimated settlements and final determinations are reflected as an increase or a reduction to revenue in the period when such final determinations are known.

The Company frequently receives refund requests from insurance providers relating to specific patients and dates of service. Billing and reimbursement disputes are very common in the Company’s industry. These requests are sometimes related to a limited number of patients or products; at other times, they include a significant number of refund claims in a single request. The Company reviews and evaluates these requests and determines if any refund request is appropriate. The Company also reviews these refund claims when it is rebilling or pursuing reimbursement from that insurance provider. The Company frequently has significant offsets against such refund requests, and sometimes amounts are due to the Company in excess of the amounts of refunds requested by the insurance providers. Therefore, at the time of receipt of such refund requests, the Company is generally unable to determine if a refund request is valid and should be accrued.

As of September 30, 2013, the Company believes it has an adequate allowance for contractual adjustments relating to all known insurance disputes and refund requests. However, no assurances can be given with respect to such estimates of reimbursements and offsets or the ultimate outcome of any refund requests.

In addition to the allowance for contractual adjustments, the Company records an allowance for uncollectible accounts receivable. Uncollectible accounts receivable are primarily a result of: non-payment from patients who have been direct billed for co-payments or deductibles, lack of appropriate insurance coverage and disallowances of charges by Third-party Payors. If there is a change to a material insurance provider contract or policy, application by a provider, a decline in the economic condition of providers or a significant turnover of Company billing personnel resulting in diminished collection effectiveness, the estimate of the allowance for uncollectible accounts receivable may not be adequate and may result in an increase in the future. At September 30, 2013 and December 31, 2012, the allowance for uncollectible accounts receivable is $1,837.

FAIR VALUE OF FINANCIAL INSTRUMENTS

The Company’s financial instruments at September 30, 2013 include cash, accounts receivable and accounts payable, for which current carrying amounts approximate fair value due to their short-term nature. Financial instruments at September 30, 2013 also include the line of credit and notes payable, the carrying value of which approximates fair value because the interest rates on the outstanding borrowings are at rates that approximate market rates for borrowings with similar terms and average maturities.

INVENTORY

Inventories, which primarily represent finished goods, are valued at the lower of cost (average) or market. Finished goods include products held at the Company’s headquarters and at different locations by health care providers or other parties for rental or sale to patients. Total (gross) inventories at September 30, 2013 included $6,037 of finished goods, $354 of parts, and $1,215 of supplies.

The Company monitors inventory for turnover and obsolescence, and records losses for excess and obsolete inventory as appropriate. At September 30, 2013, the Company had an allowance for obsolete and damaged inventory of approximately $1,475. The allowance for obsolete and damaged inventory was approximately $1,181 at December 31, 2012. The Company had $1,505 of open purchase commitments at September 30, 2013.

 

(2) SIGNIFICANT ACCOUNTING POLICIES (continued)

PROPERTY AND EQUIPMENT

Property and equipment are stated at cost. Products on rental contracts are placed in property and equipment and depreciated over their estimated useful life. The Company removes the cost and the related accumulated depreciation from the accounts of assets sold or retired, and the resulting gains or losses are included in the results of operations. Depreciation is computed using the straight-line method over the useful life of the asset. As rental inventory contributes directly to the revenue generating process, the Company classifies the depreciation of rental inventory in cost of revenue.

Repairs and maintenance costs are charged to expense as incurred.

GOODWILL AND INTANGIBLE ASSETS

Goodwill represents the excess of the purchase price over the fair value of the net assets of the business acquired. Authoritative guidance requires that goodwill be assessed for impairment at the reporting unit level (operating segment or one level below an operating segment) on an annual basis and between annual tests when circumstances indicate that the recoverability of the carrying amount of goodwill may be in doubt. Application of the goodwill impairment assessment requires judgment, including the identification of reporting units, assigning assets and liabilities to reporting units, assigning goodwill to reporting units, and determining the fair value. Significant judgments are required to estimate the fair value of a reporting unit including estimating future cash flows, determining appropriate discount rates and other assumptions. When conducting its goodwill impairment assessment, the Company initially performs a qualitative evaluation to determine if it is more likely than not that the fair value of its reporting unit is less than its carrying amount as a basis for determining whether it is necessary to perform a two-step goodwill impairment test.

The Company determined, based on its qualitative evaluation, that it was necessary to perform the two-step goodwill impairment test during the second quarter of 2013, primarily because of the significant decline in sales in its ZMI electrotherapy products. In March 2012, the Company acquired substantially all of the assets and business of NeuroDyne Medical Corp. (NeuroDyne).  The Company modified its business forecast for NeuroDyne during the second quarter of 2013, resulting in reduced estimated sales and cash flow, as compared to the original business forecast at the time of the acquisition. Management, therefore performed the two-step goodwill impairment test during the second quarter of 2013, and determined that goodwill related to NeuroDyne was impaired and recorded a $39 goodwill impairment charge during the three months ended June 30, 2013. 

Intangible assets with estimable lives are amortized in a pattern consistent with the asset’s identifiable cash flows or using a straight- line method over their remaining estimated benefit periods if the pattern of cash flows is not estimable. The Company reviews the carrying value of intangible and other long-lived assets for impairment whenever events or changes in circumstances indicate that the carrying amount of an asset may not be recoverable. Recoverability of long-lived assets is measured by comparison of their carrying amounts to the undiscounted cash flows that the asset or asset group is expected to generate. If the carrying amount of the assets exceeds the undiscounted cash flows the impairment to be recognized is measured by the amount by which the carrying amount of the asset exceeds its fair value. The Company’s intangible assets primarily relate to the asset acquisition of NeuroDyne.  The Company modified its business forecast for NeuroDyne during the second quarter of 2013, resulting in reduced estimated sales and cash flow, as compared to the original business forecast at the time of the acquisition.  Therefore, the Company recorded an impairment charge of $100 during the three months ended June 30, 2013 related to certain NeuroDyne intangible assets.  The Company utilized a discounted cash flow (DCF) model to determine fair value for both goodwill and intangible assets as of June 30, 2013.

STOCK-BASED COMPENSATION

The Company accounts for stock-based compensation through recognition of the cost of employee services received in exchange for an award of equity instruments, which is measured based on the grant date fair value of the award that is ultimately expected to vest during the period. The stock-based compensation expenses are recognized over the period during which an employee is required to provide service in exchange for the award (the requisite service period, which in the Company’s case is the same as the vesting period).

XML 28 R11.htm IDEA: XBRL DOCUMENT v2.4.0.8
Intangible Assets
9 Months Ended
Sep. 30, 2013
Intangible Assets

 

(5) INTANGIBLE ASSETS

Intangible assets as of September 30, 2013 and December 31, 2012, consist of the following:

 

 

September 30, 2013

 

 

December 31, 2012

 

 

Amortization Life
Years

 

 

 

(UNAUDITED)

 

 

 

 

 

 

 

 

 

Trade names             

$

  33

 

 

$

  72

 

 

 

  5

 

Non-compete agreement             

 

  26

 

 

 

  26

 

 

 

  5

 

Technology             

 

  74

 

 

 

  135

 

 

 

  5

 

Domain Name             

 

  18

 

 

 

  18

 

 

 

  1

 

Total intangible assets, gross             

 

  151

 

 

 

  251

 

 

 

 

 

Less: accumulated amortization             

 

(87

)

 

 

(48

)

 

 

 

 

Total intangible assets, net             

$

  64

 

 

$

  203

 

 

 

 

 

 

XML 29 R9.htm IDEA: XBRL DOCUMENT v2.4.0.8
Property and Equipment
9 Months Ended
Sep. 30, 2013
Property and Equipment

(3) PROPERTY AND EQUIPMENT

Property and equipment as of September 30, 2013 and December 31, 2012 consist of the following:

 

 

September 30,
2013

 

 

December 31,
2012

 

 

Useful
lives

 

 

 

(UNAUDITED)

 

 

 

 

 

 

 

 

 

Office furniture and equipment             

$

  2,365

 

 

$

  1,836

 

 

 

37 years

 

Rental inventory             

 

  2,398

 

 

 

  3,147

 

 

 

5 years

 

Vehicles             

 

  76

 

 

 

  76

 

 

 

5 years

 

Leasehold improvements             

 

  375

 

 

 

  375

 

 

 

26 years

 

Assembly equipment             

 

  171

 

 

 

  168

 

 

 

7 years

 

 

 

  5,385

 

 

 

  5,602

 

 

 

 

 

Less accumulated depreciation             

 

(2,103

)

 

 

(1,751

)

 

 

 

 

 

$

  3,282

 

 

$

  3,851

 

 

 

 

 

 

XML 30 R41.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2013
Sep. 30, 2013
Sep. 30, 2012
Income taxes [Abstract]      
Statutory rate 38.00% 37.00%  
Income taxes paid $ 20 $ 384 $ 1,016
State tax refunds $ 175 $ 175  
XML 31 R28.htm IDEA: XBRL DOCUMENT v2.4.0.8
Significant Accounting Policies (Details) (USD $)
In Thousands, unless otherwise specified
9 Months Ended 12 Months Ended 3 Months Ended
Sep. 30, 2013
Dec. 31, 2012
Jun. 30, 2013
Neuro Dyne
Significant Accounting Policies [Abstract]      
Equity and Noncontrolling interest 20.00%    
Noncontrolling interest member contributed   $ 10  
Allowance for uncollectible accounts receivable 1,837 1,837  
Inventory finished goods 6,037    
Inventory parts 354    
Inventory supplies 1,215    
Reserve for obsolete and damaged inventory 1,475 1,181  
Open purchase commitments 1,505    
Impairment of goodwill 39   39
Impairment of intangible assets $ 100   $ 100
XML 32 R32.htm IDEA: XBRL DOCUMENT v2.4.0.8
Earnings Per Share (Details) (USD $)
In Thousands, except Share data, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Sep. 30, 2013
Sep. 30, 2012
Basic:        
Net (loss) income applicable to common stockholders $ (738) $ 358 $ (2,758) $ 1,151
Weighted average shares outstanding – basic 31,148,234 31,130,908 31,148,234 31,034,972
Net (loss) income per share – basic $ (0.02) $ 0.01 $ (0.09) $ 0.04
Diluted:        
Net (loss) income applicable to common stockholders $ (738) $ 358 $ (2,758) $ 1,151
Weighted average shares outstanding – basic 31,148,234 31,130,908 31,148,234 31,034,972
Dilutive securities   185,928   167,870
Weighted average shares outstanding – diluted 31,148,234 31,316,836 31,148,234 31,202,842
Net (loss) income per share – diluted $ (0.02) $ 0.01 $ (0.09) $ 0.04
XML 33 R37.htm IDEA: XBRL DOCUMENT v2.4.0.8
Stock-Based Compensation Plans (Details 1)
9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Fair value of stock option grants    
Weighted average expected term 6 years 3 months 6 years 2 months 1 day
Weighted average volatility 111.00% 134.00%
Weighted average risk-free interest rate 1.30% 1.00%
Dividend yield 0.00% 0.00%
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Disclosure - Significant Accounting Policies (Details) Sheet http://www.zynexmed.com/20130930/taxonomy/role/DisclosureSignificantAccountingPoliciesDetails Significant Accounting Policies (Details) false false R29.htm 100280 - Disclosure - Property and Equipment (Details) Sheet http://www.zynexmed.com/20130930/taxonomy/role/DisclosurePropertyAndEquipmentDetails Property and Equipment (Details) false false R30.htm 100290 - Disclosure - Leases (Details) Sheet http://www.zynexmed.com/20130930/taxonomy/role/DisclosureLeasesDetails Leases (Details) false false R31.htm 100300 - Disclosure - Intangible Assets (Details) Sheet http://www.zynexmed.com/20130930/taxonomy/role/DisclosureIntangibleAssetsDetails Intangible Assets (Details) false false R32.htm 100310 - Disclosure - Earnings Per Share (Details) Sheet http://www.zynexmed.com/20130930/taxonomy/role/DisclosureEarningsPerShareDetails Earnings Per Share (Details) false false R33.htm 100320 - Disclosure - Earnings Per Share (Details Textual) Sheet http://www.zynexmed.com/20130930/taxonomy/role/DisclosureEarningsPerShareDetailsTextual Earnings Per Share (Details Textual) false false R34.htm 100330 - Disclosure - Stock-Based Compensation Plans (Details 2) Sheet http://www.zynexmed.com/20130930/taxonomy/role/DisclosureStockBasedCompensationPlansDetails2 Stock-Based Compensation Plans (Details 2) false false R35.htm 100340 - Disclosure - Stock-Based Compensation Plans (Details 3) Sheet http://www.zynexmed.com/20130930/taxonomy/role/DisclosureStockBasedCompensationPlansDetails3 Stock-Based Compensation Plans (Details 3) false false R36.htm 100350 - Disclosure - Stock-Based Compensation Plans (Details Textual) Sheet http://www.zynexmed.com/20130930/taxonomy/role/DisclosureStockBasedCompensationPlansDetailsTextual Stock-Based Compensation Plans (Details Textual) false false R37.htm 100360 - Disclosure - Stock-Based Compensation Plans (Details 1) Sheet http://www.zynexmed.com/20130930/taxonomy/role/DisclosureStockBasedCompensationPlansDetails1 Stock-Based Compensation Plans (Details 1) false false R38.htm 100370 - Disclosure - Fair Value Measurements (Details) Sheet http://www.zynexmed.com/20130930/taxonomy/role/DisclosureFairValueMeasurementsDetails Fair Value Measurements (Details) false false R39.htm 100380 - Disclosure - Fair Value Measurements (Details 1) Sheet http://www.zynexmed.com/20130930/taxonomy/role/DisclosureFairValueMeasurementsDetails1 Fair Value Measurements (Details 1) false false R40.htm 100390 - Disclosure - Fair Value Measurements (Details Textual) Sheet http://www.zynexmed.com/20130930/taxonomy/role/DisclosureFairValueMeasurementsDetailsTextual Fair Value Measurements (Details Textual) false false R41.htm 100400 - Disclosure - Income Taxes (Details) Sheet http://www.zynexmed.com/20130930/taxonomy/role/DisclosureIncomeTaxesDetails Income Taxes (Details) false false R42.htm 100410 - Disclosure - Line of Credit (Details) Sheet http://www.zynexmed.com/20130930/taxonomy/role/DisclosureLineOfCreditDetails Line of Credit (Details) false false R43.htm 100420 - Disclosure - Concentrations (Details) Sheet http://www.zynexmed.com/20130930/taxonomy/role/DisclosureConcentrationsDetails Concentrations (Details) false false R44.htm 100430 - Disclosure - Segment Reporting (Details) Sheet http://www.zynexmed.com/20130930/taxonomy/role/DisclosureSegmentReportingDetails Segment Reporting (Details) false false R45.htm 100440 - Disclosure - Segment Reporting (Details Textual) Sheet http://www.zynexmed.com/20130930/taxonomy/role/DisclosureSegmentReportingDetailsTextual Segment Reporting (Details Textual) false false All Reports Book All Reports Element us-gaap_ShareBasedCompensationArrangementByShareBasedPaymentAwardFairValueAssumptionsRiskFreeInterestRate had a mix of decimals attribute values: 2 3. 'Monetary' elements on report '100290 - Disclosure - Leases (Details)' had a mix of different decimal attribute values. Process Flow-Through: 100010 - Statement - Condensed Consolidated Balance Sheets Process Flow-Through: Removing column 'Sep. 30, 2012' Process Flow-Through: Removing column 'Dec. 31, 2011' Process Flow-Through: 100020 - Statement - Condensed Consolidated Balance Sheets (Parenthetical) Process Flow-Through: 100030 - Statement - Condensed Consolidated Statements of Operations (Unaudited) Process Flow-Through: 100050 - Statement - Condensed Consolidated Statements of Cash Flows (Unaudited) zyxi-20130930.xml zyxi-20130930.xsd zyxi-20130930_cal.xml zyxi-20130930_def.xml zyxi-20130930_lab.xml zyxi-20130930_pre.xml true true XML 37 R45.htm IDEA: XBRL DOCUMENT v2.4.0.8
Segment Reporting (Details Textual)
9 Months Ended
Sep. 30, 2013
Segment
Segment Reporting (Textual) [Abstract]  
Number of reporting segments 3

XML 38 R3.htm IDEA: XBRL DOCUMENT v2.4.0.8
Condensed Consolidated Balance Sheets (Parenthetical) (USD $)
Sep. 30, 2013
Dec. 31, 2012
Preferred stock, par value $ 0.001 $ 0.001
Preferred stock, shares authorized 10,000,000 10,000,000
Preferred stock, shares issued      
Preferred stock, shares outstanding      
Common stock, par value $ 0.001 $ 0.001
Common stock, shares authorized 100,000,000 100,000,000
Common stock, shares issued 31,148,234 31,148,234
Common stock, shares outstanding 31,148,234 31,148,234
XML 39 R14.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements
9 Months Ended
Sep. 30, 2013
Fair Value Measurements

(8) FAIR VALUE MEASUREMENTS

The Company measures certain assets and liabilities pursuant to accounting guidance which establishes a three-tier fair value hierarchy and prioritizes the inputs used in measuring fair value. Theses tiers include:

  • Level 1: Quoted prices (unadjusted) in active markets that are accessible at the measurement date for identical assets or liabilities.
  • Level 2: Observable prices that are based on inputs not quoted on active markets, but corroborated by market data.
  • Level 3: Unobservable inputs are used when little or no market data is available.

The following table presents information about the Company’s financial assets and liabilities that are measured at fair value on a recurring basis as of September 30, 2013, and indicates the fair value hierarchy of the valuation techniques the Company utilized to determine such fair value:

 

 

September 30, 2013

 

  

Significant
Unobservable
Inputs
(Level 3)

 

Liabilities:

 

 

 

  

 

 

 

Contingent consideration             

$

  31

  

  

$

  31

  

The fair value of the contingent consideration was determined using a discounted cash flow model at the acquisition date and is revalued at each reporting date or more frequently if circumstances dictate based on changes in the discount periods and rates, changes in the timing and amount of the revenue estimates and changes in probability assumptions with respect to the likelihood of achieving the obligations. Contingent payments of $3 were made during the period. 

 

Changes in the fair value of these obligations are recorded as income or expense within the line item "Other income (expense)" in the Company's consolidated statements of operations. Accretion expense related to the increase in the net present value of the contingent liabilities is also included in the line item "Other income (expense)" in the Company's consolidated statements of operations. The fair value measurement is based on significant inputs not observable in the market, which are referred to as Level 3 inputs.

 

Changes in the fair value of the Level 3 liabilities for the nine months ended September 30, 2013:

Balance at January 1, 2013             

$

  104

 

Payments             

 

(3

)

Accretion expense             

 

  4

 

Change in fair value of contingent consideration             

 

(74

)

Balance at September 30, 2013             

$

  31

 

 

The Company modified its financial forecasts for NeuroDyne, at June 30, 2013, as a result of reduced sales and cash flow since the acquisition in March 2012.

XML 40 R5.htm IDEA: XBRL DOCUMENT v2.4.0.8
Condensed Consolidated Statement of Stockholders' Equity (Unaudited) (USD $)
In Thousands, except Share data
Total
Common Stock
Paid in Capital
Retained Earnings
Noncontrolling Interest
Balance at Dec. 31, 2012 $ 12,055 $ 31 $ 5,453 $ 6,566 $ 5
Balance, shares at Dec. 31, 2012 31,148,234        
Employee stock-based compensation 98   98    
Net loss (2,786)     (2,758) (28)
Balance at Sep. 30, 2013 $ 9,367 $ 31 $ 5,551 $ 3,808 $ (23)
Balance, shares at Sep. 30, 2013 31,148,234        
XML 41 R2.htm IDEA: XBRL DOCUMENT v2.4.0.8
Condensed Consolidated Balance Sheets (USD $)
In Thousands, unless otherwise specified
Sep. 30, 2013
Dec. 31, 2012
Current Assets:    
Cash $ 468 $ 823
Accounts receivable, net 8,824 12,224
Inventory 6,131 6,160
Prepaid expenses 178 243
Deferred tax assets 1,855 1,855
Other current assets 1,712 57
Total current assets 19,168 21,362
Property and equipment, net 3,282 3,851
Deposits 573 171
Deferred financing fees, net 60 98
Intangible assets, net 64 203
Goodwill 212 251
Total assets 23,359 25,936
Current Liabilities:    
Line of credit 6,291 5,906
Current portion of notes payable and capital lease obligations 108 144
Accounts payable 2,289 2,057
Income taxes payable 1,046 1,430
Accrued payroll and payroll taxes 734 899
Deferred rent 750 371
Current portion of contingent consideration 9 21
Other accrued liabilities 383 1,265
Total current liabilities 11,610 12,093
Notes payable and capital lease obligations, less current portion 121 114
Deferred rent 1,439 785
Deferred tax liabilities 786 786
Warranty liability 14 20
Contingent consideration, less current portion 22 83
Total liabilities 13,992 13,881
Stockholders’ Equity:    
Preferred stock, $.001 par value, 10,000,000 shares authorized, no shares issued or outstanding      
Common stock, $.001 par value, 100,000,000 shares authorized, 31,148,234 shares issued and outstanding at September 30, 2013, and December 31, 2012 31 31
Paid-in capital 5,551 5,453
Retained earnings 3,808 6,566
Total Zynex, Inc. stockholders’ equity 9,390 12,050
Noncontrolling interest (23) 5
Total Stockholders’ equity 9,367 12,055
Total liabilities and stockholders’ equity $ 23,359 $ 25,936
XML 42 R29.htm IDEA: XBRL DOCUMENT v2.4.0.8
Property and Equipment (Details) (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2013
Dec. 31, 2012
Property Plant And Equipment [Line Items]    
Property and Equipment, Gross $ 5,385 $ 5,602
Less accumulated depreciation (2,103) (1,751)
Property and Equipment, Net 3,282 3,851
Office furniture and equipment
   
Property Plant And Equipment [Line Items]    
Property and Equipment, Gross 2,365 1,836
Office furniture and equipment | Minimum
   
Property Plant And Equipment [Line Items]    
Property and Equipment Useful Life 3 years  
Office furniture and equipment | Maximum
   
Property Plant And Equipment [Line Items]    
Property and Equipment Useful Life 7 years  
Rental inventory
   
Property Plant And Equipment [Line Items]    
Property and Equipment, Gross 2,398 3,147
Property and Equipment Useful Life 5 years  
Vehicles
   
Property Plant And Equipment [Line Items]    
Property and Equipment, Gross 76 76
Property and Equipment Useful Life 5 years  
Leasehold improvements
   
Property Plant And Equipment [Line Items]    
Property and Equipment, Gross 375 375
Leasehold improvements | Minimum
   
Property Plant And Equipment [Line Items]    
Property and Equipment Useful Life 2 years  
Leasehold improvements | Maximum
   
Property Plant And Equipment [Line Items]    
Property and Equipment Useful Life 6 years  
Assembly equipment
   
Property Plant And Equipment [Line Items]    
Property and Equipment, Gross $ 171 $ 168
Property and Equipment Useful Life 7 years  
XML 43 R23.htm IDEA: XBRL DOCUMENT v2.4.0.8
Earnings Per Share (Tables)
9 Months Ended
Sep. 30, 2013
Calculation of Basic and Diluted (Loss) Per Share

The calculation of basic and diluted earnings (loss) per share for the three and nine months ended September 30, 2013 and 2012 is as follows:

 

 

Three months ended

September 30,

 

Nine months ended

September 30,

 

2013

 

 

2012

 

 

2013

 

 

2012

Basic:

 

 

 

 

 

 

 

 

 

 

Net (loss) income applicable to common stockholders             

$

(738

)

 

$

  358

 

 

$

(2,758

)

 

$

  1,151

Weighted average shares outstanding basic             

 

  31,148,234

 

 

 

  31,130,908

 

 

 

  31,148,234

 

 

 

  31,034,972

Net (loss) income per share basic             

$

(0.02

)

 

$

  0.01

 

 

$

(0.09

)

 

$

  0.04

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Diluted:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net (loss) income applicable to common stockholders             

$

(738

)

 

$

  358

 

 

$

(2,758

)

 

$

  1,151

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Weighted average shares outstanding basic             

 

  31,148,234

 

 

 

  31,130,908

 

 

 

  31,148,234

 

 

 

  31,034,972

Dilutive securities             

 

 

 

 

  185,928

 

 

 

 

 

 

  167,870

Weighted average shares outstanding diluted             

 

  31,148,234

 

 

 

  31,316,836

 

 

 

  31,148,234

 

 

 

  31,202,842

Net (loss) income per share diluted             

$

(0.02

)

 

$

  0.01

 

 

$

(0.09

)

 

$

  0.04

 

XML 44 R44.htm IDEA: XBRL DOCUMENT v2.4.0.8
Segment Reporting (Details) (USD $)
In Thousands, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Sep. 30, 2013
Sep. 30, 2012
Dec. 31, 2012
Segment Reporting Information [Line Items]          
Sales $ 5,191 $ 10,102 $ 18,331 $ 29,072  
Gross profit 3,645 7,886 12,711 23,257  
Total assets 23,359 26,193 23,359 26,193 25,936
Reporting Segments | Zynex Medical
         
Segment Reporting Information [Line Items]          
Sales 5,138 10,003 18,102 28,845  
Gross profit 3,612 7,834 12,570 23,119  
Total assets 22,361 25,494 22,361 25,494  
Reporting Segments | Zynex NeuroDiagnostics
         
Segment Reporting Information [Line Items]          
Sales 53 99 229 227  
Gross profit 33 52 141 138  
Total assets 986 692 986 692  
Reporting Segments | Zynex Monitoring Solutions
         
Segment Reporting Information [Line Items]          
Sales 0 0 0 0  
Gross profit 0 0 0 0  
Total assets $ 12 $ 7 $ 12 $ 7  
XML 45 R39.htm IDEA: XBRL DOCUMENT v2.4.0.8
Fair Value Measurements (Details 1) (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2013
Changes in the fair value of the Level 3 liabilities  
Balance at January 1, 2013 $ 104
Payments (3)
Accretion expense 4
Change in fair value of contingent consideration (74)
Balance at September 30, 2013 $ 31
XML 46 R35.htm IDEA: XBRL DOCUMENT v2.4.0.8
Stock-Based Compensation Plans (Details 3) (USD $)
9 Months Ended
Sep. 30, 2013
Summary of status of the Company's non-vested share awards  
Nonvested shares under option at January 1, 2013 690,877
Nonvested share under option, granted 356,000
Nonvested share under option, vested (251,999)
Nonvested share under option, forfeited (155,875)
Nonvested shares under option at June 30, 2013 639,003
Weighted average grant date fair value at January 1, 2013 $ 0.69
Weighted average grant date fair value, granted $ 0.31
Weighted average grant date fair value, vested $ 0.77
Weighted average grant date fair value, forfeited $ 0.81
Weighted average grant date fair value at June 30, 2013 $ 0.49
XML 47 R36.htm IDEA: XBRL DOCUMENT v2.4.0.8
Stock-Based Compensation Plans (Details Textual) (USD $)
In Thousands, except Share data, unless otherwise specified
3 Months Ended 9 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Sep. 30, 2013
Sep. 30, 2012
Stock-based compensation plans [Abstract]        
Share-based Compensation Arrangement by Share-based Payment Award, Number of Shares Authorized 3,000,000   3,000,000  
Stock Options Under Option Plan Maximum Expiry Period     10 years  
Stock Based Compensation Plans (Additional Textual) [Abstract]        
Employee stock-based compensation expense $ 29 $ 60 $ 98 $ 150
Unrecognized compensation expense related to stock options 163   163  
Weighted-average period of unrecognized compensation expense related to stock option     3 years  
Granted options to purchase of common stock     356,000 322,500
Minimum Exercise price of options to purchase     $ 0.32 $ 0.70
Maximum Exercise price of options to purchase     $ 0.48 $ 0.81
Cost of Sales
       
Stock-based compensation plans [Abstract]        
Stock based compensation including cost of good sold 2 7 9 20
Selling, General and Administrative Expenses
       
Stock-based compensation plans [Abstract]        
Stock based compensation including cost of good sold $ 27 $ 53 $ 89 $ 130
XML 48 R13.htm IDEA: XBRL DOCUMENT v2.4.0.8
Stock-Based Compensation Plans
9 Months Ended
Sep. 30, 2013
Stock-Based Compensation Plans

 

(7) STOCK-BASED COMPENSATION PLANS

The Company has reserved 3,000,000 shares of common stock for issuance under its 2005 Stock Option Plan (the “Option Plan”). Vesting provisions are determined by the Board of Directors. All stock options under the Option Plan expire no later than ten years from the date of grant.

In the three months ended September 30, 2013 and 2012, the Company recorded compensation expense related to stock options of $29 and $60, respectively. In the nine months ended September 30, 2013 and 2012, the Company recorded compensation expense related to stock options of $98 and $150, respectively. Stock-based compensation recorded in the accompanying condensed consolidated statement of operations for the three months ended September 30, 2013 and 2012 included $2 and $7, respectively, in cost of goods sold and $27 and $53, respectively, in selling, general and administrative expenses. Stock-based compensation recorded in the accompanying condensed consolidated statement of operations for the nine months ended September 30, 2013 and 2012 included $9 and $20, respectively, in cost of goods sold and $89 and $130, respectively, in selling, general and administrative expenses.

In the nine months ended September 30, 2013, the Company granted options to purchase up to 356,000 shares of common stock to employees at exercise prices that ranged from $0.32 to $0.48. In the nine months ended September 30, 2012, the Company granted options to purchase up to 322,500 shares of common stock to employees at exercise prices that ranged from $0.70 to $0.81 per share.

 

(7) STOCK-BASED COMPENSATION PLANS (continued)

The Company used the Black Scholes option pricing model to determine the fair value of stock option grants, using the following assumptions during the nine months ended September 30, 2013 and 2012:

 

 

2013

 

2012

Weighted average expected term

6.25 years

 

6.17 years

Weighted average volatility

  111

%

 

  134

%

Weighted average risk-free interest rate

  1.3

%

 

  1.0

%

Dividend yield

  0

%

 

  0

%

 

A summary of stock option activity under the Option Plan for the nine months ended September 30, 2013 is presented below:

 

 

Shares
Under
Option

 

  

Weighted
Average
Exercise
Price

 

  

Weighted
Average
Remaining
Contractual
Life

 

  

Aggregate
Intrinsic
Value

 

Outstanding at January 1, 2013             

 

  1,501,500

  

  

$

  0.95

  

  

 

 

 

  

 

 

 

Granted             

 

  356,000

  

  

$

  0.37

  

  

 

 

 

  

 

 

 

Exercised             

 

  

  

$

  

  

 

 

 

  

 

 

 

Forfeited             

 

(374,500

)

  

$

  0.88

  

  

 

 

 

  

 

 

 

Outstanding at September 30, 2013             

 

  1,483,000

  

  

$

  0.83

  

  

 

7.0 years

  

  

$

  75

  

Exercisable at September 30, 2013             

 

  843,997

  

  

$

  1.04

  

  

 

5.7 years

  

  

$

  75

  

A summary of status of the Company’s non-vested share awards as of and for the nine months ended September 30, 2013 is presented below:

 

 

Nonvested Shares
Under Option

 

  

Weighted Average
Grant Date Fair Value

 

Non-vested at January 1, 2013             

 

  690,877

  

  

$

  0.69

  

Granted             

 

  356,000

  

  

$

  0.31

  

Vested             

 

(251,999

)

  

$

  0.77

  

Forfeited             

 

(155,875

)

  

$

  0.81

  

Non-vested at September 30, 2013             

 

  639,003

  

  

$

  0.49

  

As of September 30, 2013, the Company had approximately $163 of unrecognized compensation expense related to stock options that will be recognized over a weighted-average period of approximately 3 years.

XML 49 R30.htm IDEA: XBRL DOCUMENT v2.4.0.8
Leases (Details) (USD $)
9 Months Ended
Sep. 30, 2013
Leases [Abstract]  
Lease expiry year 2023-11
Lease renewal options Two five-year renewal options
Base monthly rent expense $ 129,000
Increase in base monthly rental expense per month 3
Increase in base monthly rental expenses per square foot 0.50
Monthly rent expense after January 2023 157,000
Lease rent escalation 2023-01
Annual rental expense 1,420,000
Refund from landlord 101,000
Tenant allowance 1,130,000
Allowance used for leasehold improvements 565,000
Amount used to apply to rent in month eight and beyond $ 565,000
XML 50 R42.htm IDEA: XBRL DOCUMENT v2.4.0.8
Line of Credit (Details) (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2013
Line of Credit Facility [Abstract]  
Maximum borrowings under line of credit $ 7,000
Line of Credit (Additional Textual) [Abstract]  
Dollar deposits in amount 1,000
Base rate for variable interest rate for borrowings 3.00%
Basis spread on variable interest rate 3.75%
Line of credit agreement maturity notice period 30 days
Date of Maturity Dec. 19, 2014
Dollar deposit maturity period 1 month
RLOC
 
Line of Credit Facility [Abstract]  
Maximum borrowings under line of credit 7,000
Interest rate description LIBOR rate as published in The Wall Street Journal for dollar deposits in the amount of $1,000 with a maturity of one month or (ii) 3% per annum, plus, in each case, a margin of 3.75%.
Outstanding amount on the Credit Agreement 6,291
Remaining amount available for borrowing $ 0
Effective interest rate under the Credit Agreement 8.00%
Interest rate 7.00%
Fees include in effective interest rate under the credit agreement 1.00%
XML 51 R16.htm IDEA: XBRL DOCUMENT v2.4.0.8
Line of Credit
9 Months Ended
Sep. 30, 2013
Line of Credit

 

(10) LINE OF CREDIT

The Company has an asset-backed revolving credit facility of up to $7,000, subject to reserves and reductions to the extent of changes in the Company’s asset borrowing base, under a Loan and Security Agreement, as amended, (the “Doral Agreement”) with Doral Healthcare Finance, a division of Doral Money, Inc. Borrowings under the Doral Agreement bear interest at a variable rate equal to the greater of (i) the British Bankers’ Association LIBOR rate as published in The Wall Street Journal for dollar deposits in the amount of $1,000 with a maturity of one month or (ii) 3% per annum, plus, in each case, a margin of 3.75%. The Doral Agreement requires monthly interest payments in arrears on the first date of each month. The Doral Agreement will mature on December 19, 2014. The Company may terminate the Doral Agreement at any time prior to the maturity date upon thirty days’ prior written notice and upon payment in full of all outstanding obligations under the Doral Agreement. If the Company terminates the Doral Agreement, the Company must pay a specified early termination fee. As of September 30, 2013, $6,291 was outstanding under the Doral Agreement and zero was available for borrowing based on the Company’s current borrowing base.

The Doral Agreement requires a lockbox arrangement whereby all receipts are swept daily to reduce borrowings outstanding. This arrangement causes the Doral Agreement to be classified as a current liability.

As of September 30, 2013, the effective interest rate under the Doral Agreement was 8% (7% interest rate and 1% fees).

The Doral Agreement contains certain customary restrictive and financial covenants for asset-backed credit facilities.  As of September 30, 2013, the Company was not in compliance with one of the financial covenants under the Doral Agreement.  As a result, all amounts due under the credit agreement are callable by the lender. The Company is currently in discussions with the lender and expects to receive a waiver; however, no assurance can be given.  If a waiver is not obtained, in addition to demanding immediate payment of amounts outstanding under the Credit Agreement, the lender can restrict or prevent the Company from borrowing while in default, which could have a material adverse impact on the Company’s cash flow and liquidity.

XML 52 R12.htm IDEA: XBRL DOCUMENT v2.4.0.8
Earnings (Loss) Per Share
9 Months Ended
Sep. 30, 2013
Earnings (Loss) Per Share

(6) EARNINGS (LOSS) PER SHARE

Basic earnings (loss) per share is computed by dividing net income (loss) by the weighted-average number of common shares outstanding during the period. Diluted earnings per share is computed by dividing net income (loss) by the weighted-average number of common shares outstanding and the number of dilutive potential common share equivalents during the period, calculated using the treasury-stock method.

(6) EARNINGS (LOSS) PER SHARE (continued)

The calculation of basic and diluted earnings (loss) per share for the three and nine months ended September 30, 2013 and 2012 is as follows:

 

 

Three months ended

September 30,

 

Nine months ended

September 30,

 

2013

 

 

2012

 

 

2013

 

 

2012

Basic:

 

 

 

 

 

 

 

 

 

 

Net (loss) income applicable to common stockholders             

$

(738

)

 

$

  358

 

 

$

(2,758

)

 

$

  1,151

Weighted average shares outstanding basic             

 

  31,148,234

 

 

 

  31,130,908

 

 

 

  31,148,234

 

 

 

  31,034,972

Net (loss) income per share basic             

$

(0.02

)

 

$

  0.01

 

 

$

(0.09

)

 

$

  0.04

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Diluted:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net (loss) income applicable to common stockholders             

$

(738

)

 

$

  358

 

 

$

(2,758

)

 

$

  1,151

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Weighted average shares outstanding basic             

 

  31,148,234

 

 

 

  31,130,908

 

 

 

  31,148,234

 

 

 

  31,034,972

Dilutive securities             

 

 

 

 

  185,928

 

 

 

 

 

 

  167,870

Weighted average shares outstanding diluted             

 

  31,148,234

 

 

 

  31,316,836

 

 

 

  31,148,234

 

 

 

  31,202,842

Net (loss) income per share diluted             

$

(0.02

)

 

$

  0.01

 

 

$

(0.09

)

 

$

  0.04

Potential common share equivalents as of September 30, 2012 of 1,061,375, related to certain outstanding stock options, were not included in the computation of diluted earnings per share during the three and nine months ended September 30, 2012 because the effect would have been anti-dilutive, as the option exercise prices exceeded the average market price of the Company’s common stock. The effect of these shares, if any, on the diluted earnings per share calculation may vary significantly depending on fluctuations in the stock price.

The effects of potential common stock equivalents, related to certain outstanding options for the three and nine months ended September 30, 2013 have not been included in the computation of diluted net loss per share because the impact of the potential shares would decrease the loss per share.

XML 53 R7.htm IDEA: XBRL DOCUMENT v2.4.0.8
Unaudited Condensed Consolidated Financial Statements and Managements' Plans
9 Months Ended
Sep. 30, 2013
Unaudited Condensed Consolidated Financial Statements and Managements' Plans

(1) UNAUDITED CONDENSED CONSOLIDATED FINANCIAL STATEMENTS AND MANAGEMENTS’ PLANS

Zynex, Inc. (a Nevada corporation) and its subsidiaries, Zynex Medical, Inc. (ZMI) (a Colorado corporation, wholly-owned), Zynex NeuroDiagnostics, Inc. (ZND) (a Colorado corporation, wholly-owned), Zynex Monitoring Solutions Inc. (ZMS) (a Colorado corporation, wholly-owned), Zynex Billing and Consulting, LLC (ZBC) (a Colorado limited liability company, 80% majority-owned) and Zynex Europe, ApS (ZEU) (a Denmark corporation, wholly-owned), are collectively referred to as the “Company”.  

The unaudited condensed consolidated financial statements included herein have been prepared by the Company pursuant to the rules and regulations of the Securities and Exchange Commission (“SEC”) and accounting principles generally accepted in the United States of America (“U.S. GAAP”). Certain information and footnote disclosures normally included in financial statements prepared in accordance with U.S. GAAP have been condensed or omitted pursuant to such rules and regulations, although the Company believes that the disclosures included herein are adequate to make the information presented not misleading. A description of the Company’s accounting policies and other financial information is included in the audited consolidated financial statements as filed with the SEC in the Company’s Annual Report on Form 10-K for the year ended December 31, 2012. Amounts as of December 31, 2012 are derived from those audited consolidated financial statements. These interim condensed consolidated financial statements should be read in conjunction with the annual audited financial statements, accounting policies and notes thereto, included in the Company’s Annual Report on Form 10-K for the year ended December 31, 2012, which has previously been filed with the SEC.

In the opinion of management, the accompanying unaudited condensed consolidated financial statements contain all adjustments necessary to present fairly the financial position of the Company as of September 30, 2013 and the results of operations and cash flows for the periods presented. All such adjustments are of a normal recurring nature. The results of operations for the three and nine months ended September 30, 2013 are not necessarily indicative of the results that may be achieved for a full fiscal year and cannot be used to indicate financial performance for the entire year.

For the nine months ended September 30, 2013 and 2012, the Company reported negative cash flows from operations of $676 and $1,200, respectively. In addition, the Company’s line of credit increased from $5,906 at December 31, 2012 to $6,291 at September 30, 2013, primarily driven by the Company’s net loss and working capital requirements. Maximum borrowings under the line of credit are $7,000, subject to adjustments to its accounts receivable borrowing base. As of September 30, 2013, the Company did not have any additional availability under its line of credit. As of September 30, 2013, the Company was not in compliance with one of the financial covenants under the line of credit.  As a result, all amounts due under the credit agreement are callable by the lender. The Company is currently in discussions with the lender and expects to receive a waiver; however, no assurance can be given.  If a waiver is not obtained, in addition to demanding immediate payment of amounts outstanding under the line of credit, the lender can restrict or prevent us from borrowing while in default, which could have a material adverse impact on our cash flow and liquidity.

Management developed the Company’s operating plans for 2013 to emphasize cash flow, and under which the Company is making operational billing changes to increase cash collections as well as implementing various cost modifications to reduce expenses. However, during the first nine months of 2013, the Company encountered industry challenges related to health care reform, including the Affordable Care Act and reimbursement changes from government and third party payors, which has caused uncertainty to exist at the medical practitioner level causing a delay and decline in demand for the Company’s ZMI electrotherapy products.  In an effort to minimize the impact of health care reform and changes in reimbursement, the Company has made reductions in its fixed expenses by cutting its annual employee costs by approximately $4,200 through headcount reductions. These headcount reductions were executed during the second and third quarters of 2013.  The Company also renegotiated its existing building lease, under which, among other things, base rent has been lowered and the Company is now operating in an approximate twelve month free rent period, which began May 1, 2013, which is expected to result in cash savings of approximately $1,500The Company is monitoring the demand for its ZMI electrotherapy products and will make additional expense adjustments as necessary in future periods. Additionally, the Company recently added new products that are less impacted by insurance reimbursement to the Company’s ZMI sales channel and is pursuing other opportunities, including the manufacturing and distribution of topical and transdermal pain creams. In ZND, the Company is distributing electroencephalography (EEG) sleep diagnostic products, mobile sleep diagnostic products and a sleep apnea treatment device in the US, which are all capital goods that are not subject to insurance reimbursement. The Company is also investing in its ZBC division where increased service based revenue is expected going forward through the addition of medical practitioner billing contracts. The Company believes these actions will serve to diversify its product mix and further reduce dependency on insurance reimbursement. Management believes that as a result of the restructuring activities completed during the second and third quarters of 2013, the Company’s cash flows from operating activities and limited borrowing availability under the line of credit will be sufficient to fund cash requirements through the next twelve months.

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Earnings Per Share (Details Textual)
3 Months Ended 9 Months Ended
Sep. 30, 2012
Sep. 30, 2012
Earnings Per Share [Abstract]    
Antidilutive securities excluded from computation of earnings per share 1,061,375 1,061,375
XML 56 R19.htm IDEA: XBRL DOCUMENT v2.4.0.8
Segment Reporting
9 Months Ended
Sep. 30, 2013
Segment Reporting

(13) SEGMENT REPORTING

At September 30, 2013, the Company has determined that it has three reporting segments comprised of the following subsidiaries, ZMI and ZBC, ZND and ZEU, and ZMS. This determination was made based on the nature of the products and services offered to customers or the nature of the function in the organization. The accounting policies for each of these segments are the same as those described in Note 2, and inter-segment transactions are eliminated.

Net revenue was primarily generated from sales in the United States.

 

 

ZMI &
ZBC

 

  

ZND &
ZEU

 

  

ZMS

 

  

TOTAL

 

THREE MONTHS ENDED SEPTEMBER 30, 2013

 

 

 

  

 

 

 

  

 

 

 

  

 

 

 

Sales             

$

  5,138

  

  

$

  53

  

  

$

  0

  

  

$

  5,191

  

Gross profit             

 

  3,612

  

  

 

  33

  

  

 

  0

  

  

 

  3,645

  

Total assets             

 

  22,361

  

  

 

  986

  

  

 

  12

  

  

 

  23,359

  

THREE MONTHS ENDED SEPTEMBER 30, 2012

 

 

 

  

 

 

 

  

 

 

 

  

 

 

 

Sales             

$

  10,003

  

  

 

  99

  

  

$

  0

  

  

$

  10,102

  

Gross profit             

 

  7,834

  

  

 

  52

  

  

 

  0

  

  

 

  7,886

  

Total assets             

 

  25,494

  

  

 

  692

  

  

 

  7

  

  

 

  26,193

  

NINE MONTHS ENDED SEPTEMBER 30, 2013

 

 

 

  

 

 

 

  

 

 

 

  

 

 

 

Sales             

$

  18,102

  

  

$

  229

  

  

$

  0

  

  

$

  18,331

  

Gross profit             

 

  12,570

  

  

 

  141

  

  

 

  0

  

  

 

  12,711

  

Total assets             

 

  22,361

  

  

 

  986

  

  

 

  12

  

  

 

  23,359

  

NINE MONTHS ENDED SEPTEMBER 30, 2012

 

 

 

  

 

 

 

  

 

 

 

  

 

 

 

Sales             

$

  28,845

  

  

 

  227

  

  

$

  0

  

  

$

  29,072

  

Gross profit             

 

  23,119

  

  

 

  138

  

  

 

  0

  

  

 

  23,257

  

Total assets             

 

  25,494

  

  

 

  692

  

  

 

  7

  

  

 

  26,193

  

 

XML 57 R15.htm IDEA: XBRL DOCUMENT v2.4.0.8
Income Taxes
9 Months Ended
Sep. 30, 2013
Income Taxes

(9) INCOME TAXES

The provision for income taxes is recorded at the end of each interim period based on the Company’s best estimate of its effective income tax rate expected to be applicable for the full fiscal year. The Company’s effective income tax rate for the three and nine months ended September 30, 2013 was approximately 38% and 37%, respectively. The Company paid income taxes of $20 and $384 (net of $175 state tax refunds) during the three and nine months ended September 30, 2013, respectively, which was included in income taxes payable at December 31, 2012.

XML 58 R22.htm IDEA: XBRL DOCUMENT v2.4.0.8
Intangible Assets (Tables)
9 Months Ended
Sep. 30, 2013
Acquisition of Intangible Assets

Intangible assets as of September 30, 2013 and December 31, 2012, consist of the following:

 

 

September 30, 2013

 

 

December 31, 2012

 

 

Amortization Life
Years

 

 

 

(UNAUDITED)

 

 

 

 

 

 

 

 

 

Trade names             

$

  33

 

 

$

  72

 

 

 

  5

 

Non-compete agreement             

 

  26

 

 

 

  26

 

 

 

  5

 

Technology             

 

  74

 

 

 

  135

 

 

 

  5

 

Domain Name             

 

  18

 

 

 

  18

 

 

 

  1

 

Total intangible assets, gross             

 

  151

 

 

 

  251

 

 

 

 

 

Less: accumulated amortization             

 

(87

)

 

 

(48

)

 

 

 

 

Total intangible assets, net             

$

  64

 

 

$

  203

 

 

 

 

 

 

XML 59 R20.htm IDEA: XBRL DOCUMENT v2.4.0.8
Significant Accounting Policies (Policies)
9 Months Ended
Sep. 30, 2013
Principles of Consolidation

PRINCIPLES OF CONSOLIDATION

The accompanying unaudited condensed consolidated financial statements include the accounts of Zynex, Inc. and its subsidiaries. All intercompany balances and transactions have been eliminated in consolidation.

Noncontrolling Interest

NONCONTROLLING INTEREST

Noncontrolling interest in the equity of a subsidiary is accounted for and reported as stockholders equity. Noncontrolling interest represents the 20% ownership in the Company’s majority-owned subsidiary, ZBC. In 2012, the noncontrolling interest member contributed $10 of property and equipment to ZBC.  

Use of Estimates

USE OF ESTIMATES

Preparation of financial statements in conformity with U.S. GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenue and expenses during the reporting period. Actual results could differ from those estimates. The most significant management estimates used in the preparation of the accompanying condensed consolidated financial statements are associated with the allowance for contractual adjustments and uncollectible accounts receivable, the reserve for obsolete and damaged inventory, stock-based compensation, valuation of goodwill and other long-lived assets, and income taxes.

Revenue Recognition, Allowance for Contractual Adjustments and Collectibility

REVENUE RECOGNITION, ALLOWANCE FOR CONTRACTUAL ADJUSTMENTS AND COLLECTIBILITY

The Company recognizes revenue when each of the following four conditions are met: 1) a contract or sales arrangement exists, 2) products have been shipped and title has transferred, or rental services have been rendered, 3) the price of the products or services is fixed or determinable, and 4) collectability is reasonably assured. Accordingly, the Company recognizes revenue, both rental and sales, when products have been delivered to the patient and the patient’s insurance (if the patient has insurance) has been verified. For medical products that are sold from inventories consigned at clinic locations, the Company recognizes revenue when it receives notice that the product has been prescribed and delivered to the patient and the patient’s insurance coverage has been verified or preauthorization has been obtained from the insurance company, when required. Revenue from the rental of products is normally on a month-to-month basis and is recognized ratably over the products’ rental period. Revenue from sales to distributors is recognized when the Company ships its products, which fulfills its order and transfers title. Revenue is reported net, after adjustments for estimated insurance company or governmental agency (collectively “Third-party Payors”) reimbursement deductions. The deductions are known throughout the health care industry as “contractual adjustments” whereby the Third-party Payors unilaterally reduce the amount they reimburse for the Company’s products.

A significant portion of the Company’s revenues are derived, and the related receivables are due, from Third-party Payors. The nature of these receivables within this industry has typically resulted in long collection cycles. The process of determining what products will be reimbursed by Third-party Payors and the amounts that they will reimburse is complex and depends on conditions and procedures that vary among providers and may change from time to time. The Company maintains an allowance for contractual adjustments and records additions to the allowance to account for the risk of nonpayment. Contractual adjustments result from reimbursements from Third-party Payors that are less than amounts claimed or where the amount claimed by the Company exceeds the Third-party Payors’ usual, customary and reasonable reimbursement rate. The Company determines the amount of the allowance, and adjusts it at the end of each reporting period, based on a number of factors, including historical rates of collection, the aging of the receivables, trends in the historical rates of collection and current relationships and experience with the Third-party Payors. If the rates of collection of past-due receivables recorded for previous fiscal periods changes, or if there is a trend in the rates of collection on those receivables, the Company may be required to change the rate at which it provides for additions to the allowance. A change in the rates of the Company’s collections can result from a number of factors, including experience and training of billing personnel, changes in the reimbursement policies or practices of Third-party Payors, or changes in industry rates of reimbursement. Accordingly, changes to the allowance for contractual adjustments, which are recorded in the income statement as a reduction of revenue, have historically fluctuated and may continue to fluctuate significantly from quarter to quarter.

 

(2) SIGNIFICANT ACCOUNTING POLICIES (continued)

Due to the nature of the industry, the reimbursement environment in which the Company operates and changes in health care reform, estimates are required to record net revenues and accounts receivable at their net realizable values. Inherent in these estimates is the risk that they will have to be revised or updated as additional information becomes available. Specifically, the complexity of third-party billing arrangements and the uncertainty of reimbursement amounts for certain products or services from payors or an unanticipated requirement to refund payments previously received may result in adjustments to amounts originally recorded. Due to continuing changes in the health care industry and third-party reimbursement, as well as changes in our billing practices to increase cash collections, it is possible that management’s estimates could change in the near term, which could have an impact on our results of operations and cash flows. Any differences between estimated settlements and final determinations are reflected as an increase or a reduction to revenue in the period when such final determinations are known.

The Company frequently receives refund requests from insurance providers relating to specific patients and dates of service. Billing and reimbursement disputes are very common in the Company’s industry. These requests are sometimes related to a limited number of patients or products; at other times, they include a significant number of refund claims in a single request. The Company reviews and evaluates these requests and determines if any refund request is appropriate. The Company also reviews these refund claims when it is rebilling or pursuing reimbursement from that insurance provider. The Company frequently has significant offsets against such refund requests, and sometimes amounts are due to the Company in excess of the amounts of refunds requested by the insurance providers. Therefore, at the time of receipt of such refund requests, the Company is generally unable to determine if a refund request is valid and should be accrued.

As of September 30, 2013, the Company believes it has an adequate allowance for contractual adjustments relating to all known insurance disputes and refund requests. However, no assurances can be given with respect to such estimates of reimbursements and offsets or the ultimate outcome of any refund requests.

In addition to the allowance for contractual adjustments, the Company records an allowance for uncollectible accounts receivable. Uncollectible accounts receivable are primarily a result of: non-payment from patients who have been direct billed for co-payments or deductibles, lack of appropriate insurance coverage and disallowances of charges by Third-party Payors. If there is a change to a material insurance provider contract or policy, application by a provider, a decline in the economic condition of providers or a significant turnover of Company billing personnel resulting in diminished collection effectiveness, the estimate of the allowance for uncollectible accounts receivable may not be adequate and may result in an increase in the future. At September 30, 2013 and December 31, 2012, the allowance for uncollectible accounts receivable is $1,837.

Fair Value of Financial Instruments

FAIR VALUE OF FINANCIAL INSTRUMENTS

The Company’s financial instruments at September 30, 2013 include cash, accounts receivable and accounts payable, for which current carrying amounts approximate fair value due to their short-term nature. Financial instruments at September 30, 2013 also include the line of credit and notes payable, the carrying value of which approximates fair value because the interest rates on the outstanding borrowings are at rates that approximate market rates for borrowings with similar terms and average maturities.

Inventory

INVENTORY

Inventories, which primarily represent finished goods, are valued at the lower of cost (average) or market. Finished goods include products held at the Company’s headquarters and at different locations by health care providers or other parties for rental or sale to patients. Total (gross) inventories at September 30, 2013 included $6,037 of finished goods, $354 of parts, and $1,215 of supplies.

The Company monitors inventory for turnover and obsolescence, and records losses for excess and obsolete inventory as appropriate. At September 30, 2013, the Company had an allowance for obsolete and damaged inventory of approximately $1,475. The allowance for obsolete and damaged inventory was approximately $1,181 at December 31, 2012. The Company had $1,505 of open purchase commitments at September 30, 2013.

Property and Equipment

 

(2) SIGNIFICANT ACCOUNTING POLICIES (continued)

PROPERTY AND EQUIPMENT

Property and equipment are stated at cost. Products on rental contracts are placed in property and equipment and depreciated over their estimated useful life. The Company removes the cost and the related accumulated depreciation from the accounts of assets sold or retired, and the resulting gains or losses are included in the results of operations. Depreciation is computed using the straight-line method over the useful life of the asset. As rental inventory contributes directly to the revenue generating process, the Company classifies the depreciation of rental inventory in cost of revenue.

Repairs and maintenance costs are charged to expense as incurred.

Goodwill and Intangible Assets

GOODWILL AND INTANGIBLE ASSETS

Goodwill represents the excess of the purchase price over the fair value of the net assets of the business acquired. Authoritative guidance requires that goodwill be assessed for impairment at the reporting unit level (operating segment or one level below an operating segment) on an annual basis and between annual tests when circumstances indicate that the recoverability of the carrying amount of goodwill may be in doubt. Application of the goodwill impairment assessment requires judgment, including the identification of reporting units, assigning assets and liabilities to reporting units, assigning goodwill to reporting units, and determining the fair value. Significant judgments are required to estimate the fair value of a reporting unit including estimating future cash flows, determining appropriate discount rates and other assumptions. When conducting its goodwill impairment assessment, the Company initially performs a qualitative evaluation to determine if it is more likely than not that the fair value of its reporting unit is less than its carrying amount as a basis for determining whether it is necessary to perform a two-step goodwill impairment test.

The Company determined, based on its qualitative evaluation, that it was necessary to perform the two-step goodwill impairment test during the second quarter of 2013, primarily because of the significant decline in sales in its ZMI electrotherapy products. In March 2012, the Company acquired substantially all of the assets and business of NeuroDyne Medical Corp. (NeuroDyne).  The Company modified its business forecast for NeuroDyne during the second quarter of 2013, resulting in reduced estimated sales and cash flow, as compared to the original business forecast at the time of the acquisition. Management, therefore performed the two-step goodwill impairment test during the second quarter of 2013, and determined that goodwill related to NeuroDyne was impaired and recorded a $39 goodwill impairment charge during the three months ended June 30, 2013. 

Intangible assets with estimable lives are amortized in a pattern consistent with the asset’s identifiable cash flows or using a straight- line method over their remaining estimated benefit periods if the pattern of cash flows is not estimable. The Company reviews the carrying value of intangible and other long-lived assets for impairment whenever events or changes in circumstances indicate that the carrying amount of an asset may not be recoverable. Recoverability of long-lived assets is measured by comparison of their carrying amounts to the undiscounted cash flows that the asset or asset group is expected to generate. If the carrying amount of the assets exceeds the undiscounted cash flows the impairment to be recognized is measured by the amount by which the carrying amount of the asset exceeds its fair value. The Company’s intangible assets primarily relate to the asset acquisition of NeuroDyne.  The Company modified its business forecast for NeuroDyne during the second quarter of 2013, resulting in reduced estimated sales and cash flow, as compared to the original business forecast at the time of the acquisition.  Therefore, the Company recorded an impairment charge of $100 during the three months ended June 30, 2013 related to certain NeuroDyne intangible assets.  The Company utilized a discounted cash flow (DCF) model to determine fair value for both goodwill and intangible assets as of June 30, 2013.

Share-based Compensation

STOCK-BASED COMPENSATION

The Company accounts for stock-based compensation through recognition of the cost of employee services received in exchange for an award of equity instruments, which is measured based on the grant date fair value of the award that is ultimately expected to vest during the period. The stock-based compensation expenses are recognized over the period during which an employee is required to provide service in exchange for the award (the requisite service period, which in the Company’s case is the same as the vesting period).

XML 60 R1.htm IDEA: XBRL DOCUMENT v2.4.0.8
Document and Entity Information
9 Months Ended
Sep. 30, 2013
Nov. 11, 2013
Document Document And Entity Information [Line Items]    
Entity Registrant Name ZYNEX INC  
Entity Central Index Key 0000846475  
Document Type 10-Q  
Document Period End Date Sep. 30, 2013  
Amendment Flag false  
Document Fiscal Year Focus 2013  
Document Fiscal Period Focus Q3  
Current Fiscal Year End Date --12-31  
Entity Filer Category Smaller Reporting Company  
Entity Common Stock, Shares Outstanding   31,148,234
XML 61 R21.htm IDEA: XBRL DOCUMENT v2.4.0.8
Property and Equipment (Tables)
9 Months Ended
Sep. 30, 2013
Property and Equipment

Property and equipment as of September 30, 2013 and December 31, 2012 consist of the following:

 

 

September 30,
2013

 

 

December 31,
2012

 

 

Useful
lives

 

 

 

(UNAUDITED)

 

 

 

 

 

 

 

 

 

Office furniture and equipment             

$

  2,365

 

 

$

  1,836

 

 

 

37 years

 

Rental inventory             

 

  2,398

 

 

 

  3,147

 

 

 

5 years

 

Vehicles             

 

  76

 

 

 

  76

 

 

 

5 years

 

Leasehold improvements             

 

  375

 

 

 

  375

 

 

 

26 years

 

Assembly equipment             

 

  171

 

 

 

  168

 

 

 

7 years

 

 

 

  5,385

 

 

 

  5,602

 

 

 

 

 

Less accumulated depreciation             

 

(2,103

)

 

 

(1,751

)

 

 

 

 

 

$

  3,282

 

 

$

  3,851