0001437749-13-002596.txt : 20130311 0001437749-13-002596.hdr.sgml : 20130311 20130311133841 ACCESSION NUMBER: 0001437749-13-002596 CONFORMED SUBMISSION TYPE: 10-K PUBLIC DOCUMENT COUNT: 14 CONFORMED PERIOD OF REPORT: 20121231 FILED AS OF DATE: 20130311 DATE AS OF CHANGE: 20130311 FILER: COMPANY DATA: COMPANY CONFORMED NAME: BALLANTYNE STRONG, INC. CENTRAL INDEX KEY: 0000946454 STANDARD INDUSTRIAL CLASSIFICATION: PHOTOGRAPHIC EQUIPMENT & SUPPLIES [3861] IRS NUMBER: 470587703 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 10-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-13906 FILM NUMBER: 13680136 BUSINESS ADDRESS: STREET 1: 4350 MCKINLEY ST CITY: OMAHA STATE: NE ZIP: 68112 BUSINESS PHONE: 4024534444 MAIL ADDRESS: STREET 1: 4350 MCKINLEY ST CITY: OMAHA STATE: NE ZIP: 68112 FORMER COMPANY: FORMER CONFORMED NAME: BALLANTYNE OF OMAHA INC DATE OF NAME CHANGE: 19950608 10-K 1 ballantyne_10k-123112.htm FORM 10-K ballantyne_10k-123112.htm


UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
 
FORM 10-K
(Mark One)
 
x
ANNUAL REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
For the fiscal year ended December 31, 2012
OR
o
TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934
                            For the transition period from                                      to
Commission File No. 1-13906
 
Ballantyne Strong, Inc.
(Exact Name of Registrant as Specified in Its Charter)
 
Delaware
(State or other jurisdiction of incorporation or organization)
47-0587703
(I.R.S. Employer Identification No.)
   
13710 FNB Parkway, Suite 400
Omaha, Nebraska
(Address of principal executive offices)
68154
(Zip Code)
 
Registrant’s telephone number, including area code: (402) 453-4444
 
Securities registered pursuant to Section 12(b) of the Act:
 
Title of each class
 
Name of exchange on which registered
Common Stock, $0.01 par value
 
NYSE MKT
 
Securities registered pursuant to Section 12(g) of the Act: None
 
Indicate by check mark if the registrant is a well-known seasoned issuer, as defined in Rule 405 of the Securities Act. Yes o  No x
 
Indicate by check mark if the registrant is not required to file reports filed pursuant to Section 13 or Section 15(d) of the Act. Yes o  No x
 
Indicate by check mark whether registrant: (1) has filed all reports required to be filed by Section 13 or 15(d) of the Securities Exchange Act of 1934 during the preceding 12 months (or for such shorter period that the registrant was required to file such reports), and (2) has been subject to such filing requirements for the past 90 days. Yes x  No o
 
Indicate by checkmark whether the registrant has submitted electronically and posted on its corporate Website, 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 o
 
Indicate by check mark if disclosure of delinquent filers pursuant to Item 405 of Regulation S-K (§229.405) is not contained herein, and will not be contained, to the best of Registrant’s knowledge, in definitive proxy or information statements incorporated by reference in Part III of this Form 10-K or any amendment to this Form 10-K. x
 
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 definition of “accelerated filer”, “large accelerated filer” and “smaller reporting company” in Rule 12b-2 of the Exchange Act.
 
Large accelerated filer o
Accelerated filer x
Non-accelerated filer o
(Do not check if a smaller reporting company)
Smaller Reporting Company o
 
Indicate by check mark whether the registrant is a shell company (as defined in Rule 12b-2 of the Exchange Act) Yes o  No x
 
The aggregate market value of the Company’s voting common stock held by non-affiliates, based upon the closing price of the stock on the NYSE MKT on June 30, 2012 was $83,974,933. The Company does not have any non-voting common equity. As of March 4, 2013, 14,050,797 shares of common stock of Ballantyne Strong, Inc., were outstanding.
 
DOCUMENTS INCORPORATED BY REFERENCE
 
Portions of the Company’s Proxy Statement for its Annual Meeting of Stockholders to be held on May 9, 2013 are incorporated by reference in Part III, Items 10, 11, 12, 13 and 14.
 
 
 

 
 
TABLE OF CONTENTS
 
   
Page No.
PART I
Item 1.
Business
1
Item 1A.
Risk Factors
7
Item 1B.
Unresolved Staff Comments
10
Item 2.
Properties
10
Item 3.
Legal Proceedings
10
Item 4.
Mine Safety Disclosures
10
PART II
Item 5.
Market for Registrant’s Common Equity, Related Stockholder Matters and Issuer Purchases of Equity Securities
10
Item 6.
Selected Financial Data
13
Item 7.
Management’s Discussion and Analysis of Financial Condition and Results of Operations
13
Item 7A.
Quantitative and Qualitative Disclosures about Market Risk
23
Item 8.
Financial Statements and Supplementary Data
24
Item 9.
Changes in and Disagreements with Accountants on Accounting and Financial Disclosure
53
Item 9A.
Controls and Procedures
53
Item 9B.
Other Information
55
PART III
Item 10.
Directors, Executive Officers and Corporate Governance
55
Item 11.
Executive Compensation
55
Item 12.
Security Ownership of Certain Beneficial Owners and Management and Related Stockholder Matters
55
Item 13.
Certain Relationships and Related Transactions, and Director Independence
55
Item 14.
Principal Accounting Fees and Services
55
PART IV
Item 15.
Exhibits, Financial Statement Schedules
55
 
Signatures
56
 
 
 

 

FORWARD-LOOKING STATEMENTS
 
This Annual Report on Form 10-K contains not only historical information, but also forward-looking statements within the meaning of Section 27A of the Securities Act of 1933 and Section 21E of the Securities Exchange Act of 1934. Statements that are not historical are forward-looking and reflect expectations for future Company performance. In addition, forward-looking statements may be made in press releases, orally, at conferences, on the Company’s worldwide web site, or otherwise, by or on behalf of the Company. For these statements, the Company claims the protection of the safe harbor for forward-looking statements contained in the Private Securities Litigation Reform Act of 1995.
 
Forward-looking statements involve a number of risks and uncertainties, including but not limited to those discussed in the “Risk Factors” section contained in Item 1A. Given the risks and uncertainties, readers should not place undue reliance on any forward-looking statements and should recognize that the statements are predictions of future results which may not occur as anticipated. Actual results could differ materially from those anticipated in the forward-looking statements and from historical results, due to the risks and uncertainties described herein, as well as others not now anticipated. New risk factors emerge from time to time and it is not possible for management to predict all such risk factors, nor can it assess the impact of all such factors on our business or the extent to which any factor, or combination of factors, may cause actual results to differ materially from those contained in the forward-looking statements. Except as required by law, the Company assumes no obligation to update forward-looking statements to reflect actual results or changes in factors or assumptions affecting such forward-looking statements.
 
PART I
 
Item 1.  Business
 
(a)
General Description of Business
 
General
 
We are a Delaware corporation and maintain our corporate offices in Omaha, Nebraska. We were founded in 1932 as a designer and manufacturer of film projectors. Over the past 80 years, we have expanded our product lines and services to meet the needs of the ever-changing and technologically-advancing theatre exhibition industry. Further, we have broadened our offerings through acquisitions to include a lighting division that services architectural, entertainment, and other commercial needs. We went public in 1995 and now primarily operate within two business segments: theatre and lighting. Approximately 98%, 98% and 97% of our sales were from theatre products for the years ended 2012, 2011 and 2010, respectively. Our shares are traded on the NYSE MKT under the symbol BTN.
 
Our centralized Network Operations Center (“NOC”), located in our Omaha, Nebraska, headquarters is staffed with software and network engineers who provide technical support, service and IT solutions for our theatre division. It allows our customers to consider new theatre technologies as they become more advanced and integrated, keeping complex systems and processes within their reach. Our NOC remotely monitors, tracks, programs, upgrades, and fixes a full range of systems for all makes of digital projection, audio systems, menu display boards, and the associated network systems. It is complemented by a responsive team of on-the-ground service technicians spread across North America and Asia who install and service digital and audio equipment and products.
 
We are a manufacturer, distributor, integrator and service provider to the exhibition theatre industry on a worldwide basis. Through our Strong® branding, we can fully outfit and automate all aspects of a cinematic theatre including digital projection, cinema screens, library management systems, smart digital signage, flat panels and complete state of the art sound systems, including Dolby Surround, Barco Auro 11.1, and QSC Sound Systems. We manufacture cinema screens in Joliette, Canada, through our Strong/MDI Screens Systems, Inc. subsidiary. We have sales and services offices across North America and Asia.
 
Through our lighting division, we design, develop, manufacture, distribute, install and service lighting systems for premier architectural sites as well as for a full range of needs for the entertainment and various other industries worldwide. This includes followspots and other specialty lighting for event centers, arenas, exhibit halls, concert tours, staged theatrical performances, and music, dance and various other venues with theatric lighting needs.
 
 
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In the fourth quarter of 2011, our Board of Directors and management approved a corporate-wide strategic initiative to refocus our worldwide digital equipment distribution business, services platform and cinema screen manufacturing business and exit the analog projector manufacturing business. The strategic initiative consisted of selling our Omaha, Nebraska-based analog projector facility and manufacturing equipment and relocating our corporate headquarters to a new, smaller location in Omaha, which also houses our Network Operations Center. In connection with the strategic initiative, we recorded pre-tax severance charges of approximately $1.4 million, including $1.3 million in 2011 and $0.1 million in 2012. Severance of $0.3 million was paid in 2011 and $1.0 million was paid in 2012.  The remaining $0.1 million will result in future cash expenditures in 2013.  In March 2012 we sold the analog projector manufacturing machinery and equipment previously identified as available for sale for $1.0 million, resulting in a gain of $0.9 million.  In May, 2012, we completed the sale of the corporate headquarters in a sale leaseback transaction, resulting in a gain of $0.5 million.  As part of this transaction, rental expense of $0.2 million was recorded through November 2012.  The net cash proceeds from the transaction were $2.0 million.  The strategic initiative is expected to be completed by the end of the second quarter of 2013.
 
 (b)
Operating Segments
 
We conduct our operations through two primary business segments: Theatre and Lighting. The presentation of segment information reflects the manner in which management assesses performance.
 
Theatre:  This segment consists of the service, manufacture, assembly, distribution and installation of digital projection equipment, screens and accessories primarily for the theatre exhibition industry.
 
Lighting:  This segment consists of the design, manufacture, assembly, distribution, installation and service of lighting systems to worldwide industries for architectural, entertainment and other commercial lighting needs.
 
Refer to the Business Segment Information set forth in Note 20 of our consolidated financial statements for further information concerning the amounts of revenues, profits and total assets attributable to each segment for the last three fiscal years.
 
 (c)
Narrative Description of Business
 
The following information describes the principal products produced, services rendered, principal markets for, and methods of distribution of each business segment of our Company.
 
Theatre Segment
 
Overview
 
The Company provides a full range of services and theatre exhibition systems primarily for the theatre exhibition industry. The systems include a wide spectrum of premier audio-visual products and accessories such as: digital projectors, state of the art projection screens, servers and library management systems, digital signage and menu boards, flat panels, and sound systems. Services provided include: the monitoring, upgrade, and repair and maintenance of existing systems; the installation of new theatre exhibition systems and related equipment; and complete film-to-digital theatre conversion services, retrofitting existing complexes by removing film projectors and replacing them with digital equipment. The monitoring, upgrade, maintenance and repair of networked systems are performed by our Network Operations Center (“NOC”) using, as much as possible, remote, smart technology to identify and troubleshoot software and other system issues. Hardware upgrades, installations, maintenance and repair services are performed onsite by on-the-ground technicians.
 
Products
 
Network Operations Center (“NOC”)—In the era of analog film, cinema exhibitors were able to manage and service their installed projectors and related equipment themselves. But in the digital age, audio to visual technology relies on advanced, integrated networks that require theatre exhibitors to manage their complex digital systems. Our NOC, staffed by software engineers and systems techs, operates 24/7/365 and provides IT solutions to our customers for their full range of digital theatre exhibition equipment to help manage these systems. We are able to monitor our customers’ networked equipment remotely through a secure virtual private network (“VPN”), often providing proactive solutions to systems issues before they cause system failures. Our remote services include systems monitoring and maintenance, software upgrades, and system repairs. By utilizing NOC personnel to solve customer issues whenever possible, we eliminate travel time and expenses normally incurred by sending a technician onsite for repairs. Many issues that don’t involve parts replacements or physical contact with the hardware can be handled remotely using our remote assistance technologies.
 
 
2

 
 
Service & Maintenance—We supply digital installations and after-sale maintenance services. Our technicians work closely with our NOC staff to resolve systems issues that cannot be fixed remotely; they are certified to install and service digital and audio equipment for all manufacturers including the equipment of our competitors. We offer cabling, wiring, and installation and maintenance services for digital menu boards and other digital signage on ad hoc, as-needed basis. We also offer long term contractual service packages for maintenance and repairs to a wide range of installed digital equipment for customers including equipment originally installed by our competitors. These long term service packages provide our Company with recurring revenue.
 
Digital Projectors—Through distribution agreements with NEC and BARCO, we distribute DLP Cinema projectors. Both manufacturers of the projectors use the DLP cinema technology from Texas Instruments. NEC offers DLP Cinema projectors ranging from their NC900 projector for screens up to 31 feet wide to the NC3240S which is a 4K projector designed for screens up to 105 feet wide. BARCO offers DLP Cinema projectors ranging from their DP2K-10SX projector for screens up to 33 feet to the DP4K-32B cinema projector which is an ultra-bright enhanced 4K cinema projector for screens up to 105 feet.
 
Our non-exclusive distribution agreements with NEC and BARCO allow us to market digital projectors in North and South America, including the Caribbean. In China we have distribution rights to sell NEC and BARCO and can distribute NEC products in Hong Kong and certain other areas of Asia. We do not have any territorial restrictions for any of our other products and services.
 
Cinema Servers—Through a formal distribution agreement with GDC Technology (USA), LLC, we distribute GDC’s line of digital cinema servers in North and South America. We also distribute their servers in certain other areas of the world under less formal arrangements. In addition, we distribute servers for other server manufacturers including those manufactured by Doremi. Digital servers and the related integrated media block are used by our customers for the storage and delivery of digital content.
 
Additional Digital Projection Products—We also distribute certain accessories which, coupled with the cinema projector, server and integrated media block, can fully outfit and automate a projection booth. The significant accessories include, but are not limited to: 1) library management systems; 2) automation products; 3) pedestals; 4) 3D accessories; 5) lenses; and 6) lamps.
 
Digital Audio Systems—We distribute a range of state of the art digital audio systems, including surround and 3D sound technologies from the following manufacturers: Dolby, Barco and QSC. Our technicians are certified by each manufacturer to install, service and maintain these audio systems.
 
Cinema Screens—We manufacture multiple standard and large format 2D and 3D screens for cinema and special venue applications through our ISO-certified manufacturing facility in Canada. There are certain digital 3D applications, such as the technology by RealD, that require unique “silver” screens that we manufacture. We manufacture screens for the IMAX Corporation that are primarily used in large-format applications on a global basis.
 
Digital Menu Boards and Signage—We provide installation, maintenance and service of digital menu boards and other digital signage primarily for the theatre industry.
 
Xenon Lamps—We distribute xenon lamps for resale to the theatre (both digital and film) and lighting industries through a distributorship agreement with Philips. We also distribute other brands of xenon lamps as requested by our customers.
 
Lenses—We distribute digital projection lenses throughout the world.
 
Markets
 
We market and sell our products directly to end users as well as through certain domestic and international dealers primarily to theatre exhibitors in the cinema world. Sales and marketing professionals target new business opportunities and principally develop business by maintaining regular personal customer contact including conducting site visits, while customer service and technical support functions are dispatched when needed. In addition, we market our products in trade publications such as Film Journal and Box Office and by participating in annual industry trade shows such as CinemaCon, ShowEast, CineAsia in Asia and Cinema Expo in Europe, and other regional exhibitions. Our sales and marketing professionals have extensive experience with the Company’s product lines and have long-term relationships throughout the industry.
 
 
3

 
 
Our non-exclusive distribution agreements with NEC and BARCO allow us to market digital projectors in North and South America, including the Caribbean. In China we have distribution rights to sell NEC and BARCO and can distribute NEC products in Hong Kong and certain other areas of Asia. We do not have any territorial restrictions for any of our other products and services.
 
Competition
 
Digital Equipment—The markets for our products in the theatre segment have been highly competitive during the analog-to-digital cinema conversion. The primary competitive factors are price, product quality, features and customer support. Competition in the digital cinema equipment market includes one other licensed OEM of the Texas Instruments’ DLP cinema technology besides our partners NEC and BARCO: Christie Digital Systems. We also compete with SONY, which uses its own 4K digital cinema technology
 
Screens—While there are numerous screen manufacturing companies in the world, the primary competitor in the worldwide cinema screen market is Harkness Screens. Competitive factors include product quality, availability and price.
 
Service & NOC—The competition in the cinema service industry for installation and after-sale maintenance services is primarily driven by the two largest cinema service companies including Christie Digital Cinema and ourselves. There are several other smaller scale providers in the market. We compete with Christie Digital Systems, BARCO, and Convergent and other providers for NOC services.
 
Lighting Segment
 
Overview
 
Under the trademark Strong®, we are a developer, manufacturer and supplier of long-range followspots as well as other lighting products for architectural, theatrical, promotional, stage and studio purposes. Our products include an ever-expanding line of LED lighting, which are more effective, efficient and environmentally sound. We provide installation and maintenance services for our lighting product lines for both permanent and touring applications. Our lighting is installed to accentuate premier architectural sites, in sporting arenas and facilities, theatres, auditoriums, theme parks, amphitheaters, stadiums, music venues, and is used in touring applications for the entertainment and other industries. While the majority of our lighting products are mass-produced and fitted to our clients’ project and property needs, we do perform commissioned work for one-of-a-kind lighting needs. For these projects, we can provide project management services, including design, engineering, manufacture, installation, and continued service. Our most notable lighting commission to date is the beacon light atop of Freedom Tower at the new World Trade Center, which will be placed in 2013.
 
Products
 
Followspots—We have been a developer, manufacturer and distributor of long-range followspots since 1950. Our followspots are primarily marketed under the Strong® trademark and include recognized trademarked models such as Super Trouper® and Gladiator®. Our long-range followspots are high-intensity general-use illumination products designed for both permanent and touring installations. Lower wattage models are appropriate for small venues and truss mounting; high-intensity xenon models are appropriate for large theatres, arenas and stadiums.
 
In response to a segment of the marketplace demanding less expensive, smaller and more user and environmentally friendly products, we have introduced certain new followspots over the last few years, including the Canto, Solutions™ and Neeva™ product lines. Canto, the Italian-manufactured followspot line, consists of seven basic models. Our LED lighting fixtures, introduced during 2010, include both Solutions™ and Neeva™. These lights are designed to fill a demand for efficient long-throw LED-based lighting solutions for the entertainment and architectural lighting marketplaces.
 
Signature Commissioned Lighting—Our Company can provide signature, one-of-a-kind lighting solutions on commissioned, case-by-case basis for architectural sites, entertainment, and various other purposes. We work with internal engineers to design, develop and identify an appropriate manufacturer for the fixture(s) and can provide project management services to clients from inception to installation. We can also work as a member of a larger project management team for highly complex jobs. Jobs of note to date include the beacon light atop Freedom Tower at the new World Trade Center, NASA Space Shuttle lighting, and the beacon light atop the iconic pyramid-shaped Luxor Hotel and Casino in Las Vegas, Nevada.
 
 
4

 
 
Markets
 
We sell our lighting products through a combination of a small direct sales force, dealer network and commissioned sales representatives to arenas, stadiums, theme parks, theatres, auditoriums, equipment rental companies, entertainers and managers and owners of premier architectural sites worldwide. Our followspot products are marketed using the Strong® trademark and are used in over 100 major arenas throughout the world.
 
Competition
 
The markets for our lighting products are also highly competitive. We compete in the lighting industry primarily on the basis of quality, price, branding, and product line variety.
 
Strategy
 
Our strategy combines the following key elements:
 
Expand Service and Network Operations Center within our current market and to other strategic growth markets.  We have made significant investments in capital and technical resources over the past several years in strengthening our core service capabilities which include monitoring, installation and repair of equipment, cabling, and wiring.  These strengths along with our strong customer relationships, will allow us to expand our core service offerings not only in the theater industry but in to other markets as well.  In addition, the technical capabilities within our NOC allow us to meet industry demands for remote systems monitoring for digital equipment and back room operations in other markets outside cinema.
 
Expand Product Sales Opportunities. We will continue to bundle and aggressively cross sell all product and service offerings to existing market channels tapping into our solid customer relationships in the cinema and lighting segments.  In addition, we are looking for new product offerings either through distribution channels or via in-house development that fit well with our current product portfolio and our current markets as well as adjacent markets such as security and energy management which lend themselves well to our technical capabilities and expertise.
 
We will aggressively market our ability to provide industry leading products and services that provide a significant value add to our existing customer base as well as those outside our current niche.  This strategy will be deployed globally through our existing teams in North America and Asia, as well as utilizing partnerships as needed.
 
Leverage Engineering and Project Management Expertise.  We will deliver user-friendly solutions to complex projects and products.  This strategy utilizes the growing strength of our technical expertise to deliver results on time and on budget for our customers as was evident in the digital deployment for exhibitors such as Regal and Marcus, as well as in the lighting arena for the Signature Commissioned lighting project for the Freedom Tower.  As firmware and software increase in complexity, we see opportunity to simplify the existing and emerging technologies for our customers from deployment through daily operational management and servicing.
 
Pursue Strategic Acquisitions.  We are focused on identifying and completing acquisitions within areas where we can effectively leverage our strong competences as an organization, including customer service, global sales, operations management, distribution and channel management, and proven skill in integrating, installing and supporting advanced electronic components and software applications.
 
Subsidiaries
 
We have four wholly-owned operational subsidiaries: Strong Technical Services, Inc., Strong/MDI Screen Systems, Inc., Strong Westrex, Inc. and Strong Westrex (Beijing) Trading Inc.
 
 
Strong Technical Services, Inc. was formed in 2006 to service the film and digital marketplace.
 
 
Strong/MDI Screen Systems, Inc. manufactures cinema screens and related accessories.
 
 
Strong Westrex, Inc. is the holding company for our sales and service office in Hong Kong.
 
 
Strong Westrex (Beijing) Trading Inc. a/k/a American West Beijing Trading Company, Ltd. is located in Beijing, China and is our sales and service business for China.
 
 
5

 
 
Manufacturing
 
We manufacture cinema screens through our screen subsidiary in Joliette, Quebec, Canada. These manufacturing operations consist of a 75,000 square-foot facility for the manufacture of cinema screen systems. These facilities include expanded PVC welding operations with programmable automations, as well as two 90-foot high screen coating towers with state of the art precision coating application software and painting systems. This world class ISO certified operation has the capability of manufacturing multiple standard screens simultaneously to large format 2D and 3D screens for cinema and special venue applications. We are one of the only screen manufacturers in the world with Silver Screen technologies capable of supporting RealD projections.
 
We manufacture the following lighting products at our manufacturing facility in Omaha, Nebraska: Strong®, Radiance®, Sky-Tracker®, Super Trouper®, Gladiator® and Solutions™.
 
Quality Control
 
We believe that our quality control procedures and the quality standards for the products we manufacture, distribute or service have contributed significantly to our reputation for high performance and reliability. The inspection of incoming materials and components as well as the testing of all of our products during various stages of the sales and service cycle are key elements of this program.
 
Trademarks
 
We own or otherwise have rights to various trademarks and trade names used in conjunction with the sale of our products. We believe our success will not be dependent upon trademark protection, but rather upon our scientific and engineering capabilities and research and production techniques. We consider the following trademarks to be of value to our business: Strong®, Radiance®, Sky-Tracker®, Super Trouper®, Gladiator®, and Solutions™.
 
Employees
 
We employed 211 persons on a full-time basis at December 31, 2012. Of these employees, 56 were considered manufacturing, 5 were executive, 85 were service related and 65 were considered sales and administrative. We are not a party to any collective bargaining agreement.
 
Executive Officers of the Company
 
Gary Cavey, age 63, has been our President, CEO and a member of the Board of Directors since November of 2010.
 
Christopher Stark, age 52, assumed the responsibilities of VP-Operations in May of 2007 and is currently Senior Vice President and Chief Operating Officer.
 
Ray F. Boegner, age 63, has been Senior Vice President since 1997. Mr. Boegner joined us in 1985 and has acted in various sales roles for our Company.
 
Mary A. Carstens, age 56, serves as Senior Vice President, Chief Financial Officer and Treasurer.  Ms. Carstens assumed the role of Chief Financial Officer in July of 2011.
 
David G. Anderson, age 58, serves as Vice President, General Counsel and Secretary.  Mr. Anderson assumed the roles in November of 2012.
 
Information available on Ballantyne Website
 
We make available free of charge on our website (www.strong-world.com) through a link to the Securities and Exchange Commission (“SEC”) website, our annual report on Form 10-K, quarterly reports on Form 10-Q, current reports on Form 8-K, and amendments to those reports filed or furnished pursuant to Section 13(a) or 15(d) of the Securities and Exchange Act of 1934, as amended, as soon as reasonably practical after we electronically file such material with, or furnish it to, the SEC. However, information posted on our website is not part of the Form 10-K. The Board of Directors has adopted the following governance documents which are also posted on our website:
 
 
6

 
 
 
Code of Ethics
 
 
Corporate Governance Principles, including procedures for bringing concerns or complaints to the attention of the Board, any Committee or any individual Director.
 
 
Audit Committee Charter
 
 
Nominating and Corporate Governance Committee Charter
 
 
Compensation Committee Charter
 
These corporate governance documents are also available in print to any stockholder upon request by writing to:
 
 
Corporate Secretary
Ballantyne Strong, Inc.
13710 FNB Parkway, Suite 400
Omaha, NE 68154
 
 
Financial Information About Geographic Areas
 
The information called for by this item is included in Note 20 of our consolidated financial statements in this report.
 
Item 1A.  Risk Factors
 
You should carefully consider the following risk factors and other information contained in this Annual Report on Form 10-K before investing in shares of our common stock. Investing in our common stock involves a high degree of risk. If any of the following risk factors actually occurs, our business, financial condition and results of operations could be materially and adversely affected. In that event, the trading price of our common stock could decline and you may lose part or all of your investment. We undertake no obligation to revise or update any forward-looking statements contained herein to reflect subsequent events or circumstances or the occurrence of unanticipated events. Also refer to the note regarding Forward-Looking Statements in Item 7 of Part II of this Form 10-K.
 
New and expanded lines of business is a part of our strategy to compensate for the lower demand for our digital products and installation services.
 
A significant portion of our revenue in recent years has been generated from the theatre exhibition industry’s need for equipment and service to support the industries transformation from film to digital equipment. This required the Company to commit substantial resources to the process of retrofitting existing theatre complexes by removing the film equipment and replacing it with digital equipment, and have thusly experienced significant financial gains from this work. As the theatre exhibition industry nears the completion of this digital conversion process in 2013, we will no longer be able to rely on that income as a major portion of our earnings.  If we are unable to expand our revenue streams with other products and services, our future growth would be significantly curtailed.
 
Growth through acquisition is a part of our business plan and we may not be able to successfully identify, finance or integrate acquisitions.
 
Our strategy is to pursue acquisitions that would fit in our business plans.  However, we cannot assure that we will be able to locate appropriate acquisition candidates, that any identified candidates will be acquired or that acquired operations will be effectively integrated or prove profitable, or that sufficient financing can be obtained.
 
Our financial results depend largely on the health of the theatre exhibition industry.
 
In 2012, approximately 98% of our revenues resulted from sales to the theatre exhibition industry. The current transformation from analog to digital requires significant investment and there can be no assurance that our customers will be able to obtain a sufficient amount of this capital to continue the transformation. Without access to this capital, our theatre customers would be unable to purchase our products which would have a material adverse effect on our business, financial condition and results of operations. In addition, while the health of the theatre exhibition industry has improved significantly over the past few years, there are still risks in the industry which result in continued exposure to Ballantyne.
 
 
7

 
 
Interruptions of, or higher prices of components from our suppliers may affect our results of operations and financial performance.
 
Our revenues are substantially dependent on the distribution of products supplied by various key suppliers. We believe we have good supplier relationships and that we are generally able to obtain adequate pricing and other terms from our suppliers. However, if we fail to maintain satisfactory relationships with them or if our suppliers experience significant financial problems, we could experience difficulty in obtaining needed goods and services. Some suppliers could also decide to reduce inventories or raise prices to increase cash flow. The loss of any one or more of our suppliers could have an adverse effect on our business unless alternative manufacturing arrangements are secured.
 
The markets for our products are highly competitive.
 
The domestic and international markets for our product lines are highly competitive, evolving and subject to rapid technological and other changes. We expect the intensity of competition in each of these areas to continue in the future. Certain of the competitors for our digital equipment have significantly greater resources than we do. In addition, many of our competitors are manufacturing their own digital equipment, whereas, we employ a distribution business model through our distribution agreements with NEC, BARCO and certain other suppliers. As a result, we may suffer from pricing pressures that could adversely affect our ability to generate revenues. If we lose market share due to these issues, we may be unable to lower our cost structure quickly enough to offset the lost revenue. If we are unable to compete successfully, our business and results of operations will be seriously harmed.
 
Our business is subject to the economic and political risks of selling products in foreign countries.
 
Sales outside the United States (mainly theatre sales) continue to be significant, accounting for approximately 19% of consolidated sales in fiscal 2012, which include $15.7 million of sales in China. This compared to 22% in 2011 and $26.0 million of sales in China. We are seeking to expand our share of foreign sales, which we expect will continue to account for a significant portion of our revenues. Foreign sales are subject to political and economic risks, including political instability, currency controls, fluctuating exchange rates with respect to sales not denominated in U.S. dollars, changes in import/export regulations, tariffs and freight rates. A significant amount of our foreign sales are denominated in foreign currencies and amounted to $23.3 million in 2012. To the extent that orders are denominated in foreign currencies, our reported sales and earnings are more subject to foreign exchange fluctuations. In addition, there can be no assurance that our remaining international customers will continue to accept orders denominated in U.S. dollars. For those sales which are denominated in U.S. dollars, a weakening in the value of foreign currencies relative to the U.S. dollar could have a material adverse impact on us by increasing the effective price of our products in international markets. Certain areas of the world are also more cost conscious than the U.S. market and there are instances where our products are priced higher than local manufacturers. We are also exposed to foreign currency fluctuations between the Canadian and U.S. dollar due to our screen manufacturing facility in Canada where a majority of their sales are denominated in the U.S. dollar while their expenses are denominated in Canadian currency. We cannot assure that these factors will not adversely affect our foreign activities in the future.
 
The risk of non-compliance with U.S. and foreign laws and regulations applicable to our international operations could have a significant impact on our results of operations, financial condition or strategic objectives.
 
Our global operations subject us to regulation by U.S. federal and state laws and multiple foreign laws, regulations and policies, which could result in conflicting legal requirements. These laws and regulations are complex, change frequently, have tended to become more stringent over time and increase our cost of doing business. These laws and regulations include import and export control, environmental, health and safety regulations, data privacy requirements, international labor laws and work councils and anti-corruption and bribery laws such as the U.S. Foreign Corrupt Practices Act, the U.N. Convention Against Bribery and local laws prohibiting corrupt payments to government officials. We are subject to the risk that we, our employees, our affiliated entities, contractors, agents or their respective officers, directors, employees and agents may take action determined to be in violation of any of these laws, particularly as we expand our operations through organic growth and acquisitions. An actual or alleged violation could result in substantial fines, sanctions, civil or criminal penalties, and debarment from government contracts, curtailment of operations in certain jurisdictions, competitive or reputational harm, litigation or regulatory action and other consequences that might adversely affect our results of operations, financial condition or strategic objectives.
 
 
8

 
 
Current negative economic conditions could adversely affect our results.
 
The current issues in the global credit markets and weak worldwide economies may continue to negatively impact the theatre and lighting markets we serve. This environment could serve to reduce demand for our products and adversely affect our operating results. These economic conditions may also impact the financial condition of one or more of our key suppliers, including NEC and BARCO, which could affect our ability to secure product to meet our customers’ demand.  The Company could also be adversely affected by such factors as changes in foreign currency rates and weak economic and political conditions in each of the countries in which the Company sells its products.
 
We are substantially dependent upon significant customers who could cease purchasing our products at any time.
 
The Company’s top ten customers accounted for approximately 47% of 2012 consolidated net revenues and were from the theatre segment. Trade accounts receivable from these customers represented approximately 36% of net consolidated receivables at December 31, 2012.  Sales to CDF2 Holdings represented approximately 12% of total 2012 sales and account receivable from CDF2 represented 5% of net consolidated receivables. The note receivable from CDF2 had an outstanding balance of $2.2 million at December 31, 2012.  Additionally, receivables from Belmont Capital Group represented approximately 17% of net consolidated receivables at December 31, 2012. While the Company believes its relationships with such customers are stable, most arrangements are made by purchase order and are terminable at will by either party. A significant decrease or interruption in business from the Company’s significant customers could have a material adverse effect on the Company’s business, financial condition and results of operations.
 
Security and privacy breaches could harm our business if we are affected by a cyber-attack.
 
A cyber-attack that bypasses our information technology (IT) security systems causing an IT security breach may lead to a material disruption of our IT business systems and/or the loss of business information resulting in adverse business impact. The risks may include such items as:
 
 
Future results could be adversely affected due to the theft, destruction, loss, misappropriation or release of confidential data or intellectual property
 
 
Operational or business delays resulting from the disruption of IT systems and subsequent clean-up and mitigation activities
 
 
Negative publicity resulting in reputation or brand damage with our customers, partners or industry peers.
 
The Company has recorded deferred tax assets that are subject to annual valuation testing.
 
At December 31, 2012, we have recorded net deferred tax assets of $3.1 million. In assessing the ability to realize the deferred tax assets, management considers whether it is more likely than not that some portion or all of the deferred tax assets will not be realized. If it would be determined that some or all of these assets would not be realized, valuation reserves would be required which would have a material adverse effect on our results of operations.
 
If we fail to retain key members of management, our business may be materially harmed.
 
Our success depends, in substantial part, on the efforts and abilities of our current management team. Many of these individuals have acquired specialized knowledge and skills with respect to Ballantyne and its operations. If certain of these individuals were to leave unexpectedly, we could face difficulty in hiring qualified successors and could experience a loss in productivity while any successor obtains the necessary training and experience.
 
Our stock price is vulnerable to significant fluctuations.
 
The trading price of our common stock has been highly volatile in the past and could be subject to significant fluctuations in response to variations in quarterly operating results, general conditions in the industries in which we operate and other factors. In addition, the stock market is subject to price and volume fluctuations affecting the market price for the stock of many companies generally, which fluctuations often are unrelated to operating performance.
 
 
9

 
 
Item 1B.  Unresolved Staff Comments
 
The Company has no unresolved staff comments to report pursuant to this item.
 
Item 2.  Properties
 
Our headquarters and NOC are located at 13710 FNB Parkway, Omaha, Nebraska, where we lease office space. The premises are used for offices and operating the NOC. The lease expires in April 2023.  Our primary distribution facility is located at 4350 McKinley Street, Omaha, Nebraska, where we lease, on a month-by-month basis, approximately 20,000 square feet of our previously owned facility.  The premises are used for distribution and manufacture of certain products.   In addition, our subsidiaries owned or leased the following facilities as of December 31, 2012.
 
 
Our Strong/MDI Screen Systems, Inc. subsidiary owns a 75,000 square-foot manufacturing plant in Joliette, Quebec, Canada. The facilities are used for offices, manufacturing, assembly and distribution of the cinema screens. We believe this facility is well maintained and adequate for future needs.
 
 
Our Strong Westrex (Beijing) Trading Inc. subsidiary leases office space in Beijing and certain other cities in China. The leases expire between August and December 2013.
 
 
We also lease office space in Hong Kong. The lease expires November 2014.
 
 
Strong Technical Services, Inc. leases a small administrative office on a month-by-month basis in Fall River, Massachusetts.
 
We do not anticipate any difficulty in retaining occupancy of any leased facilities, either by renewing leases prior to expiration or replacing them with equivalent leased facilities.
 
Item 3.  Legal Proceedings
 
In the ordinary course of our business operations, we are involved, from time to time, in certain legal disputes. No such disputes, individually or in the aggregate, are expected to have a material effect on our business or financial condition.
 
Item 4.  Mine Safety Disclosures
 
Not applicable.
 
PART II
 
Item 5.  Market for Registrant’s Common Equity, Related Stockholder Matters and Issuer Purchases of Equity Securities
 
Our common stock is listed and traded on the NYSE MKT under the symbol “BTN”. The following table sets forth the high and low per share sale price for the common stock as reported by the NYSE MKT.
 
     
High
   
Low
 
2012
First Quarter
  $ 5.37     $ 4.06  
 
Second Quarter
    6.48       5.26  
 
Third Quarter
    6.02       4.03  
 
Fourth Quarter
    4.54       3.09  
                   
2011
First Quarter
  $ 8.01     $ 6.18  
 
Second Quarter
    7.28       4.69  
 
Third Quarter
    4.77       3.08  
 
Fourth Quarter
    4.23       2.76  
                   
2010
First Quarter
  $ 5.89     $ 3.10  
 
Second Quarter
    9.00       5.45  
 
Third Quarter
    9.66       6.91  
 
Fourth Quarter
    9.74       6.48  
 
 
10

 
 
According to the records of our transfer agent, we had 135 stockholders of record of our common stock on March 4, 2013. Because brokers and other institutions hold many of our shares on behalf of stockholders, we are unable to estimate the total number of stockholders represented by these record holders. The last reported per share sale price for the common stock on March 4, 2013 was $3.73. We had 14,050,797 shares of common stock outstanding on March 4, 2013.
 
On December 22, 2011, we announced that our Board of Directors adopted a stock repurchase program authorizing the repurchase of up to $8 million of our outstanding Common Stock pursuant to a plan adopted under Rule 10b5-1 of the Securities Exchange Act of 1934 (as amended). On August 7, 2012, the Company discontinued the Plan prior to repurchasing the full amount of common stock originally authorized. No repurchases were made during the fourth quarter of 2012, as reflected in the following table:
 
ISSUER REPURCHASES OF EQUITY SECURITIES(1)
 
       
(a)
 
   
(b)
 
   
(c)
 
   
(d)
 
 
Period
 
Total Number
of Shares
Purchased
   
Average Price
Paid per Share
   
Total Number of
Shares Purchased as
Part of Publicly
Announced Plans or
Programs
   
Approximate Dollar Value
of Shares that May Yet Be
Purchased Under the Plans
or Programs
($ in thousands)
 
October 1
October 31, 2012         $ 0.00           $ 0  
November 1
November 30, 2012         $ 0.00           $ 0  
December 1
December 31, 2012         $ 0.00           $ 0  
 

(1)
Information for Stock Repurchase Program announced December 22, 2011, in maximum amount of $8 million.
 
Dividend Policy
 
We intend to retain our earnings to assist in financing our business and do not anticipate paying cash dividends on our common stock in the foreseeable future. The declaration and payment of dividends by the Company are also subject to the discretion of the Board. Any determination by the Board as to the payment of dividends in the future will depend upon, among other things, business conditions, our financial condition and capital requirements, as well as any other factors deemed relevant by the Board. We have not paid cash dividends since we went public in 1995.
 
Equity Compensation Plan Information
 
The following table sets forth information regarding our Stock Option, Restricted Stock and Stock Purchase Plan Agreements as of December 31, 2012.
 
Plan Category
 
 
Number of securities to be
issued upon exercise of
outstanding options,
warrants and rights
   
Weighted average exercise
price of outstanding options,
warrants and rights(2)
   
Number of securities
remaining available
for future issuance
under equity
compensation plans
excluding securities
reflected in column (a)
 
   
(a)
   
(b)
   
(c)
 
Equity compensation plans approved by security holders
    139,000       4.70       676,539 (1)
Equity compensation plans not approved by security holders
                 
Total
    139,000       4.70       676,539 (1)
 

(1)
Includes 65,753 securities for the 2005 Stock Purchase Plan, 190,186 securities for our employee and director Restricted Stock Plans and 405,000 securities for our 2010 Long-Term Incentive Plan.
 
 
11

 
 
PERFORMANCE GRAPH
 
The following graph compares Ballantyne Strong’s cumulative total stockholder return over the last five fiscal years with the Standard and Poor’s 500 Index® (“S&P 500”), the Research Data Group, Inc. (“RDG”) SmallCap Technology Index and a peer group consisting of the following issuers: Avid Technology, Inc., Chyron Corp., Eastman Kodak Company, Ikonics Corp., Swordfish Financial, Inc, RealD Inc. and XRX International Entertainment Holding  Group. The Company has in good faith selected these peer issuers on the basis of their sharing the same SIC code (3861, Photographic Equipment & Supplies). The peer group total return was calculated using a weighted average market value. The graph assumes $100 was invested on December 31, 2007, and assumes reinvestment of all dividends.
 
 
                                                 
      12/07       12/08       12/09       12/10       12/11       12/12  
                                                 
Ballantyne Strong, Inc.
    100.00       21.03       63.76       132.82       69.91       56.41  
S&P 500
    100.00       63.00       79.67       91.67       93.61       108.59  
RDG SmallCap Technology
    100.00       53.51       74.86       94.66       74.41       71.91  
SIC: 3861 - PHOTOGRAPHIC EQUIPMENT & SUPPLIES
    100.00       32.34       24.78       32.89       9.07       9.02  

 
12

 
 
Item 6.  Selected Financial Data
 
   
Year Ended December 31,
 
   
2012
   
2011
   
2010
   
2009
   
2008
 
   
(in thousands, except per share data)
 
Statement of operations data
                             
Net revenue
  $ 169,084     $ 184,433     $ 136,335     $ 72,146     $ 54,815  
Gross profit
  $ 22,594     $ 30,213     $ 24,739     $ 14,732     $ 8,794  
Net earnings (loss)
  $ 5,542     $ 10,347     $ 8,434     $ 2,071     $ (3,034 )
Net earnings (loss) per share
                                       
Basic
  $ 0.39     $ 0.72     $ 0.60     $ 0.15     $ (0.22 )
Diluted
  $ 0.39     $ 0.71     $ 0.59     $ 0.15     $ (0.22 )
Balance sheet data
                                       
Working capital
  $ 56,897     $ 50,504     $ 40,400     $ 35,805     $ 21,810  
Total assets
  $ 99,546     $ 113,456     $ 92,031     $ 60,210     $ 51,113  
Total debt
  $     $     $     $     $  
Stockholders’ equity
  $ 66,916     $ 63,223     $ 52,376     $ 42,518     $ 38,835  

Item 7.  Management’s Discussion and Analysis of Financial Condition and Results of Operations
 
The following discussion and analysis should be read in conjunction with the consolidated financial statements and notes thereto appearing elsewhere in this report. Management’s discussion and analysis contains not only historical information, but also forward-looking statements within the meaning of Section 27A of the Securities Act of 1933 and Section 21E of the Securities Exchange Act of 1934. Statements that are not historical are forward-looking and reflect expectations for future Company performance. For these statements, the Company claims the protection of the safe harbor for forward-looking statements contained in the Private Securities Litigation Reform Act of 1995.
 
Forward-looking statements involve a number of risks and uncertainties, including but not limited to those discussed in the “Risk Factors” section contained in Item 1A. Given the risks and uncertainties, readers should not place undue reliance on any forward-looking statement and should recognize that the statements are predictions of future results which may not occur as anticipated. Actual results could differ materially from those anticipated in the forward-looking statements and from historical results, due to the risks and uncertainties described herein, as well as others not now anticipated. New risk factors emerge from time to time and it is not possible for management to predict all such risk factors, nor can it assess the impact of all such factors on our business or the extent to which any factor, or combination of factors, may cause actual results to differ materially from those contained in any forward-looking statements. Except as required by law, the Company assumes no obligation to update forward-looking statements to reflect actual results or changes in factors or assumptions affecting such forward-looking statements.
 
Overview
 
We are a manufacturer, distributor, integrator and service provider to the exhibition theatre industry on a worldwide basis. Through our Strong® branding, we can fully outfit and automate all aspects of a cinematic theatre including digital projection, cinema screens, library management systems, smart digital signage, flat panels and complete state of the art sound systems. We manufacture cinema screens in Joliette, Quebec, Canada, through our Strong/MDI Screens Systems, Inc. subsidiary.
 
Through our lighting division, we design, develop, manufacture, distribute, install and service lighting systems for premier architectural sites as well as for a full range of needs for the entertainment and various other industries worldwide. This includes followspots and other specialty lighting for event centers, arenas, exhibit halls, places of worship, concert tours, staged theatrical performances, and music, dance and various other venues with theatric lighting needs.
 
We have two primary reportable operating segments: theatre and lighting. Our segments were determined based on the manner in which management organizes segments for making operating decisions and assessing performance.  Approximately 98% of fiscal year 2012 revenues were from theatre products and services and approximately 2% were lighting products. Additional information related to our reporting segments can be found in the notes to the consolidated financial statements.
 
 
13

 
 
Results of Operations:
 
The following table sets forth, for the periods indicated, the percentage of net revenues represented by certain items reflected in our consolidated statements of operations.
 
   
Years Ended December 31,
 
   
2012
   
2011
   
2010
   
2009
   
2008
 
Net revenue
    100.0 %     100.0 %     100.0 %     100.0 %     100.0 %
Cost of revenues
    86.6       83.6       81.9       79.6       84.0  
Gross profit
    13.4       16.4       18.1       20.4       16.0  
Selling and administrative expenses(1)(2)
    9.4       7.5       9.5       15.3       19.7  
Income (loss) from operations
    4.7       8.2       8.8       5.1       (7.4 )
Net earnings (loss)
    3.3       5.6       6.2       2.9       (5.5 )
 

(1) 
Amounts exclude goodwill impairment charges of $2.3 million for the year ended December 31, 2008.
 
(2) 
Amounts for the years ended December 31, 2012 and 2011 exclude severance charges of $0.1 million and $1.3 million, respectively.
 
Corporate-wide restructuring
 
In the fourth quarter of 2011, our Board of Directors and management approved a corporate-wide strategic initiative to refocus our worldwide digital equipment distribution business, services platform and cinema screen manufacturing business and exit the analog projector manufacturing business. The strategic initiative consisted of selling our Omaha, Nebraska-based analog projector facility and manufacturing equipment and relocating our corporate headquarters to a new, smaller location in Omaha, which also houses our Network Operations Center. In connection with the strategic initiative, we recorded pre-tax severance charges of approximately $1.4 million, including $1.3 million in 2011 and $0.1 million in 2012. Severance of $0.3 million was paid in 2011 and $1.0 million was paid in 2012.  The remaining $0.1 million will result in future cash expenditures in 2013.  In March 2012 we sold the analog projector manufacturing machinery and equipment previously identified as available for sale for $1.0 million, resulting in a gain of $0.9 million.  In May, 2012, we completed the sale of the corporate headquarters in a sale leaseback transaction, resulting in a gain of $0.5 million.  As part of this transaction, rental expense of $0.2 million was recorded through November 2012.  The net cash proceeds from the transaction were $2.0 million.  The strategic initiative is expected to be completed by the end of the second quarter of 2013.
 
2012 Compared to 2011
 
Revenues
 
Net revenues during the year ended December 31, 2012 decreased 8.3% to $169.1 million from $184.4 million in the year ended December 31, 2011.
 
   
2012
   
2011
 
   
(in thousands)
 
Theatre
           
Products
  $ 151,688     $ 167,017  
Services
    14,591       14,157  
Total theatre revenues
    166,279       181,174  
Lighting
    2,805       3,259  
Total net revenues
  $ 169,084     $ 184,433  
 
Theatre Segment
 
Sales of theatre products and services decreased 8.2% to $166.3 million in 2012 from $181.2 million in 2011.
 
Digital Product Sales
 
Sales of digital products decreased in 2012 to $135.5 million from $138.8 million in 2011.  This is a decrease of 2.4% from 2011.   Digital projectors and servers accounted for $1.5 million of the decrease in sales from 2011, with sales of digital lenses and lamps accounting for the remaining decrease.  A single theatre customer accounted for 26% of digital product sales in 2011, which did not recur in 2012.
 
 
14

 
 
Screen Product Sales
 
We generated screen sales of $13.0 million in 2012, a decrease of 25.3% from the $17.4 million generated in 2011.  The decrease primarily resulted from customers accelerating their rollout of 3D systems in prior years thereby decreasing the demand for “silver” screens in 2012.
 
Film Product Sales
 
Sales of film projection equipment declined 73.7% to $1.5 million in 2012 from $5.7 million in 2011.  Sales of film replacement parts declined to $1.1 million during 2012 from $3.6 million in 2011, while sales of xenon lamps amounted to $0.5 million compared to $1.5 million a year-ago.  These declines were expected and sales of these products are expected to continue to decline as the industry continues to transition to digital cinema.
 
Service Revenues
 
Service revenues increased 3.1% to $14.6 million from $14.2 million in 2011 as the motion picture industry’s transition to digital cinema resulted in more opportunities for our service team including installation and maintenance of digital projectors.  Revenues from servicing digital products rose to $13.9 million or 95% of all service revenues in 2012 from $13.1 million or 92% in 2011.  As expected, revenues generated from servicing film equipment decreased to $0.7 million in 2012 compared to $1.1 million a year-ago consistent with the industry transition to digital equipment, resulting from increased demand for installation, maintenance and other services pertaining to the digital conversion.
 
Lighting Segment
 
Sales of lighting products decreased to $2.8 million from $3.2 million during 2011.  This decrease is primarily due to a decrease in sales of follow spotlights to $1.7 million from $1.8 million a year-ago and a decrease in parts sales to $0.4 million in 2012 from $0.7 million in 2011.  Sales of other lighting products remained approximately $0.7 million in 2012 and 2011.  Even though demand for lighting for the venue and entertainment sectors of the construction business is still slow, we are moving to focus on a growing segment, architectural accent lighting.
 
Foreign Revenues
 
Sales outside the United States (primarily from the theatre segment) decreased to $32.0 million from $41.1 million in 2011.  Although sales in Canada and South America increased, sales decreased in the remaining export markets.  The largest decreases occurred in China.  Export declines in China and other foreign markets are reflective of highly competitive environments combined with sensitivity to the timing of the digital cinema rollout in these countries as well as diminishing film equipment sales.  Export sales are also sensitive to worldwide economic and political conditions that lead to volatility in the market.
 
Gross Profit
 
Consolidated gross profit decreased 25.2% to $22.6 million from $30.2 million in 2011 and as a percent of total revenue decreased to 13.4% from 16.4% in 2011.
 
Gross profit in the theatre segment decreased to $21.9 million from $29.2 million in 2011 and as a percentage of theatre sales decreased to 13.2% from 16.1% a year-ago. Our gross margin decreased from the prior year due to a higher concentration of lower margin digital equipment and lamps and a lower concentration of screen sales, which carry strong margins, as well as pricing decreases due to a competitive market.
 
Gross profit in the lighting segment amounted to $0.7 million or 23.3% as a percentage of revenues in 2012 compared to $1.0 million or 30.9% as a percentage of revenues in 2011.
 
Selling Expenses
 
Selling expenses increased 13.5% to $4.5 million from $3.9 million in 2011 and as a percentage of revenues increased to 2.6% from 2.1% a year-ago. The increase in selling expenses is due to higher wages and commissions.
 
 
15

 
 
General and Administrative Expenses
 
General and administrative expenses increased 3.2% to $11.5 million in 2012 from $11.1 million in 2011 and amounted to 6.8% and 6.0% of revenues, respectively. The increase in expenses is primarily due to recruiting costs, higher professional fees and consultants used in the Asia operations offset by lower severance charges.
 
Segment Operating Income
 
We generated operating income in the theatre segment of $14.7 million in 2012 compared to $22.8 million in 2011.   The results reflect a decrease of $7.8 million in theatre product operating income to $12.6 million in 2012, from $20.4 million in 2011.   Operating income of theatre services decreased $0.3 million to $2.1 million in 2012 compared to $2.4 million a year ago.
 
The lighting segment generated an operating loss of $0.2 million in 2012 compared to operating income of $0.2 million in 2011.
 
Other Financial Items
 
Our results for 2012 reflect income of $0.01 million pertaining to our 44.4% share of equity in the income from Digital Link II, LLC compared to a loss of $0.2 million in 2011. The change in 2012 reflects the improvement in the LLC’s net income and sales of equipment by the LLC to customers for projectors previously held in the LLC as compared to 2011.
 
Other income amounted to $0.1 million in 2012 compared to $0.07 million in 2011. The results primarily reflect the impact of exchange gains and losses due primarily to the U.S. dollar fluctuating against the Canadian dollar from year-to-year.
 
We recorded income tax expense of approximately $2.6 million in 2012 compared to $4.7 million in 2011. The effective tax rate (calculated as a ratio of income tax expense to pretax earnings, inclusive of equity method investment income (losses)) was approximately 32.0% for 2012 and 31.3% in 2011. The effective tax rate differs from the statutory rates primarily as a result of differing foreign and U.S. tax rates applied to respective pre-tax earnings by tax jurisdiction. The effective tax rate increased in 2012 from 2011 due to lower earnings before tax for the Canada and Asia operations, which have lower tax rates and a reduction in the expected credits the Company will earn in 2012 compared to 2011.
 
For the reasons outlined herein, we generated net earnings of approximately $5.5 million and basic and diluted earnings per share of $0.39, compared to $10.3 million and basic and diluted earnings per share of $0.72 and $0.71 in 2011, respectively.
 
2011 Compared to 2010
 
Revenues
 
Net revenues during the twelve months ended December 31, 2011 rose 35.3% to $184.4 million from $136.3 million in 2010.
 
   
2011
   
2010
 
   
(in thousands)
 
Theatre
           
Products
  $ 167,017     $ 125,044  
Services
    14,157       7,882  
Total theatre revenues
    181,174       132,926  
Lighting
    3,259       3,409  
Total net revenues
  $ 184,433     $ 136,335  
 
Theatre Segment
 
Sales of theatre products and services increased 36.3% to $181.2 million in 2011 from $132.9 million in 2010.
 
 
16

 
 
Digital Product Sales
 
Sales of digital products rose 59.5% to $138.8 million from $87.0 million in 2010 due to the following:
 
 
A significant sale of digital equipment to a theatre customer which represented approximately 26% of digital product revenues during 2011.
 
 
A general increase in sales volume in the U.S. as theatre exhibition companies continued to convert their theatre complexes to digital-based projection equipment.
 
 
Sales of lamps rose to $15.3 million from $5.8 million in 2010 while sales of servers rose to $14.3 million from $7.4 million in 2010.
 
We also continued to integrate projection equipment in our Omaha plant for a large exhibition customer. Revenues generated from the accessories we sell with the integration services increased to $8.6 million in 2011 from $5.0 million in 2010. We do expect this integration business to substantially decline after fiscal 2012 due to the exhibition customer’s digital conversion being substantially completed.
 
Screen Product Sales
 
Revenues from the sale of screens decreased 7.9% to $17.4 million in 2011 compared to $18.9 million in 2010 primarily due to lower demand for digital 3D screens. Sales were at record levels in 2010 as exhibition companies pushed to capture the relative new 3D movie Box Office during the 2010 period. We sell screens for both digital cinema and film applications. In some instances, a screen can be used interchangeably with either a digital projector or a film projector. However, there are certain digital 3D applications such as the technology by RealD that require special “silver” screens that we manufacture.
 
Film Product Sales
 
The transition to digital cinema has impacted sales of film equipment, accessories and replacement parts and these products are expected to further decline in future periods. As expected, sales declined year-over-year as follows:
 
 
Sales of projection equipment declined to $5.7 million from $10.9 million.
 
 
Replacement part sales declined to $3.6 million from $4.7 million.
 
 
Sales of lamps declined to $1.5 million from $3.4 million.
 
Service Revenues
 
Service revenues increased 79.7% to $14.2 million from $7.9 million in 2010 resulting from increased demand for installation, maintenance and other services pertaining to the digital conversion. Digital service revenues rose to $13.1 million from $5.6 million in 2010 as the rollout is creating opportunities for our service group to sell a range of services including, but not limited to, installations, after-sale maintenance, repairs, cabling, wiring and NOC services.
 
The industry transition to digital is affecting revenues from servicing film equipment which declined to $1.1 million from $2.3 million in 2010.
 
Lighting Segment
 
Sales of lighting products declined slightly to $3.2 million from $3.4 million during 2010 due to lower demand for follow spotlights. Lighting products have been impacted by the effects of economic conditions as a significant portion of the business is dependent on the construction or improvements of stadiums and auditoriums around the world.
 
Foreign Revenues
 
Sales outside of the United States (primarily from the theatre segment) fell to $41.1 million from $60.1 million in 2010 resulting in large part to sales volume in Mainland China decreasing to $26.0 million from $34.9 million in 2010. The results out of China reflect increased competition and the shifting of scheduled installations due to changing theatre construction timelines.  We also experienced lower sales volume in South America, Canada, Mexico and Europe. The results were primarily due to the timing of the digital cinema rollout in these countries coupled with lower sales of film equipment. Export sales are sensitive to worldwide economic and political conditions that can lead to volatility. Certain areas of the world are more cost conscious than the U.S. market and there are instances where our products are priced higher than local manufacturers making it more difficult to generate sufficient profit to justify selling into these regions. Additionally, foreign exchange rates and excise taxes sometimes make it difficult to market our products overseas at reasonable selling prices.
 
 
17

 
 
Gross Profit
 
Consolidated gross profit increased 22.1% to $30.2 million from $24.7 million in 2010 but as a percent of total revenue decreased to 16.4% from 18.1% in 2010. Gross profit in the theatre segment increased to $29.2 million from $23.8 million in 2010 but as a percentage of theatre sales decreased to 16.1% from 17.9% a year-ago. The higher gross profit was due to the increase in sales volume while the decline in gross margin is reflective of:
 
 
Higher sales of digital products which carry substantially higher revenue price points but lower gross margins than our other products and services.
 
 
Lower screen revenues which carry higher manufacturing margins.
 
 
Lower revenues from film replacement parts which historically carry strong margins.
 
The gross profit in the lighting segment amounted to $1.0 million or a gross margin of 30.9% compared to $0.9 million or a gross margin of 27.4% during 2010. The results primarily reflect a favorable product mix during 2011.
 
Selling Expenses
 
Selling expenses increased 3.0% to $3.9 million from $3.8 million in 2010 but as a percent of total revenue declined to 2.1% from 2.8% in 2010. The results principally reflect additional personnel and their associated costs to expand our domestic sales and service marketing efforts and to expand our sales offices in Mainland China.
 
General and Administrative Expenses
 
General and administrative expenses rose 22.5% to $11.1 million in 2011 from $9.1 million in 2010 but as a percent of total revenue decreased to 6.0% from 6.7% in 2010. The increase in expenses was due to severance charges of $1.3 million during the year coupled with additional personnel and related costs necessary to manage the significant growth in revenue experienced during the year. Approximately $1.0 million of the severance charges occurred in the fourth quarter and were a result of a strategic initiative to refocus certain key areas of our Company as discussed throughout this document.
 
Segment Operating Income
 
We generated operating income in the theatre segment of $22.8 million in 2011 compared to $17.8 million in 2010. The results reflect an increase in business where product revenues rose 33.6%. We also generated significantly higher operating profit from our service business which increased to $2.4 million from $0.6 million in 2010 on a revenue increase of 79.6%.
 
Operating income from the lighting segment rose to $0.2 million from less than $0.1 million in 2010 due to a favorable product mix.
 
Other Financial Items
 
Our results for 2011 reflect a loss of $0.2 million pertaining to our 44.4% share of equity in the loss from Digital Link II, LLC compared to income of $0.6 million in 2010. The change from 2010 reflects less sales of equipment by the LLC to customers for projectors previously held in the LLC compared to 2010. The loss in 2011 primarily was a result of depreciation expense.
 
Other income amounted to $0.07 million in 2011 compared to expense of $0.2 million in 2010. The results primarily reflect the impact of foreign exchange gains and losses due primarily to the U.S. dollar fluctuating against the Canadian dollar from year-to-year.
 
We recorded income tax expense of approximately $4.7 million in 2011 compared to $4.0 million in 2010. The effective tax rate (calculated as a ratio of income tax expense to pretax earnings, inclusive of equity method investment income (losses)) was approximately 31.3% for 2011 and 31.9% in 2010. The effective tax rate differs from the statutory rates primarily as a result of differing foreign and U.S. tax rates applied to respective pre-tax earnings by tax jurisdiction. In addition, our effective rate was lower than the prior year period in part due to estimates for certain Canadian tax credits.
 
 
18

 
 
For the reasons outlined herein, we generated net earnings of approximately $10.3 million and basic and diluted earnings per share of $0.72 and $0.71 in 2011, respectively compared to $8.4 million and basic and diluted earnings per share of $0.60 and $0.59 in 2010, respectively.
 
Liquidity and Capital Resources
 
During the past several years, we have met our working capital and capital resource needs from either our operating or investing cash flows or a combination of both. We ended fiscal year 2012 with total cash and cash equivalents of $40.2 million compared to $39.9 million at December 31, 2011.  The Company reported negative operating cash flows for the year ended December 31, 2012.  This is largely due to the timing of payments related to the higher volume of business in the latter part of 2011.  The Company believes that our existing sources of liquidity, including cash and cash equivalents, borrowing availability, and operating cash flow will be sufficient to meet our projected capital needs for the foreseeable future.
 
We are a party to a $20 million Revolving Credit Agreement and Note (collectively, the “Credit Agreement”) with Wells Fargo Bank, N.A. (“Wells Fargo”). We may request an increase in the Credit Agreement of up to an additional $5 million; however, any advances on the additional $5 million are subject to approval of Wells Fargo. The borrowings from the Credit Agreement are to be used for working capital purposes and for other general corporate purposes. Our accounts receivable, general intangibles and inventory secure the Credit Agreement.
 
Borrowings under the Credit Agreement bear interest at a rate equal to LIBOR plus 125 basis points (1.534% at December 31, 2012). Interest is paid on a monthly basis. We pay a fee of 0.15% per annum on any unused portion. The Credit Agreement expires on June 30, 2014 at which time all unpaid principal and interest would be due. Borrowings available under the Credit Agreement were temporarily reduced to $19.6 million at December 31, 2012 due to outstanding standby letters of credit of $0.4 million.
 
The Credit Agreement contains certain covenants, including those relating to our financial condition. The primary financial condition covenants pertain to maintaining a ratio of total liabilities to tangible net worth of less than 2 to 1 and net income before taxes of $1 on a rolling 4-quarter basis, as defined in the Credit Agreement. Other covenants pertain to items such as certain limits on incurring additional debt or lease obligations, certain limits on issuing guarantees and certain limits on loans, advances and investments with third parties. Upon the occurrence of any event of default specified in the Credit Agreement, including a change in control of the Company, as defined, all amounts due there under may be declared to be immediately due and payable. Since the inception of the Revolving Credit Agreement, no amounts have been borrowed.
 
As of December 31, 2012, $12.6 million of the $40.2 million in cash and cash equivalents was held by our foreign subsidiaries.  If these funds are needed for our operations in the U.S., we would be required to accrue and pay U.S. income taxes and foreign withholding taxes on a portion of these funds when repatriated back to the U.S.
 
Cash Flows from Operating Activities
 
Cash flows from operating activities consist of net income adjusted for non-cash items including depreciation and amortization, deferred taxes, and the effect of working capital changes.
 
Net cash used in operating activities was $0.4 million in 2012, which included net income of $5.5 million, plus non-cash charges (benefits) for gain on assets, deferred tax expense, depreciation and amortization, reserve provisions and non-cash stock compensation totaling $1.1 million. Changes in working capital used cash from operating activities of $7.0 million.  This is primarily due to a decrease in accounts payable, as well as accruals and timing of tax deposits, partially offset by a decrease in the balance of accounts, unbilled and notes receivables and other current assets.  Accounts payable decreased $15.5 million as the Company paid for fourth quarter 2011 inventory purchases.  Accounts receivable balances decreased $6.6 million due to collections of the higher sales volume of the prior fourth quarter 2011 as compared to the fourth quarter of 2012.
 
Net cash provided by operating activities amounted to $20.1 million during 2011. The results reflect $10.3 million in net income plus net non-cash charges of $1.2 million. Changes in working capital provided cash of $8.5 million.  This change is primarily due to a $13.7 million decrease in inventory and increases in customer deposits/deferred revenue and current income taxes payable partially offset by a $12.0 million increase in accounts, unbilled and notes receivables and increases in other current assets.  Changes in receivables, inventory, unbilled revenue and customer deposits primarily resulted from the sale to a significant theatre customer recorded in the latter part of the third quarter of 2011.
 
 
19

 

Net cash provided by operating activities amounted to $3.6 million in 2010, which included net income of $8.4 million plus net non-cash charges of $2.7 million. Changes in working capital used cash of $7.5 million, driven by increases in accounts receivable, unbilled revenue, inventory and other assets partially offset by increases in account payable and in income taxes payable. These working capital changes resulted from the significant increase in business coupled with the significantly higher price point of the digital equipment purchased and distributed.
 
Cash Flows from Investing Activities
 
Net cash provided by investing activities amounted to $3.3 million in 2012. Cash was provided by a $2.5 million distribution from our joint venture investment in Digital Link II and proceeds from the sale of assets of $3.3 million in 2012, including $3.0 million from assets previously classified as available for sale.  Capital expenditures in 2012 amounted to $2.5 million.  The 2012 capital expenditures primarily relate to our new corporate headquarters.
 
Net cash used in investing activities amounted to $2.8 million in 2011. Investing activities during 2011 were primarily due to capital expenditures related to the expansion of our screen manufacturing plant in Canada.
 
Net cash used in investing activities amounted to $5.7 million in 2010. Capital expenditures of $6.8 million in 2010 primarily included the purchase of the land and building at our screen business in Canada, the expansion of that facility and the construction of the Network Operating Center at our headquarters.  Cash of $0.9 million was provided by distributions from our unconsolidated joint venture, Digital Link II and $0.2 million was provided from our investment.
 
Cash Flows from Financing Activities
 
Net cash used in financing amounted to $2.7 million in 2012, reflecting $2.8 million for the purchase of treasury stock, offset slightly for proceeds related to the stock purchase plan and certain tax benefits from share-based arrangements.

 Net cash provided by financing activities totaled $0.6 million during 2011. The activities were due to common stock issuances under our equity compensation plans coupled with certain tax benefits from share-based arrangements.
 
Net cash provided by financing activities amounted to $0.6 million in 2010. The activities were due to common stock issuances under our equity compensation plans coupled with certain tax benefits from share-based arrangements.
 
The effect of changes in foreign exchange rates increased (decreased) cash and cash equivalents by $0.2 million, $(0.2) million, and $0.1 million in the years ended December 31, 2012, 2011 and 2010, respectively.
 
Transactions with Related and Certain Other Parties
 
There were no transactions with related and certain other parties during 2012.
 
Financial Instruments and Credit Risk Concentrations
 
The Company’s top ten customers accounted for approximately 47% of 2012 consolidated net revenues and were from the theatre segment. Trade accounts receivable from these customers represented approximately 36% of net consolidated receivables at December 31, 2012.  Sales to CDF2 Holdings represented approximately 12% of total 2012 sales and accounts receivable from CDF2 represented 5% of net consolidated receivables. The note receivable from CDF2 had an outstanding balance of $2.2 million at December 31, 2012.  Additionally, receivables from Belmont Capital Group represented approximately 17% of net consolidated receivables at December 31, 2012. While the Company believes its relationships with such customers are stable, most arrangements are made by purchase order and are terminable at will by either party. A significant decrease or interruption in business from the Company’s significant customers could have a material adverse effect on the Company’s business, financial condition and results of operations. The Company could also be adversely affected by such factors as changes in foreign currency rates and weak economic and political conditions in each of the countries in which the Company sells its products.
 
Financial instruments that potentially expose us to a concentration of credit risk principally consist of accounts receivable and notes receivable. We sell product to a large number of customers in many different geographic regions. To minimize credit concentration risk, we perform ongoing credit evaluations of our customers’ financial condition or use letters of credit.
 
 
20

 
 
Hedging and Trading Activities
 
The Company’s primary exposure to foreign currency fluctuations pertains to its subsidiaries in Canada and China. In certain instances, the Company may enter into foreign exchange contracts to manage a portion of this risk. For the year ended December 31, 2012, the Company recorded approximately $0.1 million of realized and unrealized gains associated with these contracts in its consolidated statement of operations.
 
We do not have any trading activities that include non-exchange traded contracts at fair value.
 
Off Balance Sheet Arrangements and Contractual Obligations
 
Our off balance sheet arrangements consist principally of leasing various assets under operating leases. The future estimated payments under these arrangements are summarized below along with our other contractual obligations:
 
Contractual Obligations
 
Total Payments
   
Less than One Year
   
One to Three Years
   
Three to Five Years
   
More than Five Years
 
   
(In thousands)
 
Postretirement benefits
  $ 192     $ 19     $ 42     $ 46     $ 85  
Operating leases
    4,052       503       866       712       1,971  
Contractual cash obligations
  $ 4,244     $ 522     $ 908     $ 758     $ 2,056  
 
 
(1)
The schedule above excludes the following items:
 
 
We have issued a $0.4 million standby financial letter of credit to our landlord as we completed the buildout of the new office space which expires in early 2013. We do not expect to make any future payments pertaining to the letter of credit.
 
 
We have accrued approximately $0.2 million of unrecognized tax benefits recorded in the financial statements as tax liability, including interest and penalties, in accordance with FIN 48 as of December 31, 2012.  Amounts for which the year of settlement occurs cannot be reasonably estimated.
 
There were no other material contractual obligations other than inventory and property, plant and equipment purchases in the ordinary course of business.
 
Seasonality
 
Generally, our business exhibits a moderate level of seasonality.
 
Legal
 
See Note 17 to the consolidated financial statements, and Item 3 of this report, for a description of legal matters.
 
Inflation
 
We believe that the relatively moderate rates of inflation in recent years have not had a significant impact on our net revenues or profitability. Historically, we have been able to offset any inflationary effects by either increasing prices or improving cost efficiencies.
 
Current-Year Adoption of Recent Accounting Pronouncements
 
See Note 2 to the consolidated financial statements for a discussion regarding our adoption of accounting pronouncements.
 
Recently Issued Accounting Pronouncements
 
There are no recently issued accounting pronouncements which the Company believes will materially impact its consolidated financial statements.
 
 
21

 
 
Critical Accounting Policies and Estimates
 
General
 
The following accounting policies involve judgments and estimates used in preparation of the consolidated financial statements. An accounting policy is deemed to be critical if it requires an accounting estimate to be made based on assumptions about matters that are uncertain at the time the estimate is made, and if different estimates that reasonably could have been used, or changes in the accounting estimates that are reasonably likely to occur periodically, could materially impact the consolidated financial statements.
 
Our accounting policies are discussed in Note 2 to the consolidated financial statements in this report. Management believes the following critical accounting policies reflect its more significant estimates and assumptions used in the preparation of the consolidated financial statements.
 
Revenue Recognition
 
We recognize revenue when all of the following circumstances are satisfied:
 
 
Persuasive evidence of an arrangement exists
 
 
Delivery has occurred or services have been rendered
 
 
The seller’s price to the buyer is fixed or determinable
 
 
Collectability is reasonably assured
 
The Company recognizes revenue when these criteria have been met and when title and risk of loss transfers to the customer. If an arrangement involves multiple deliverables, the items are considered separate units of accounting if the items have value on a stand-alone basis and there is objective and reliable evidence of their fair values. Revenues from the arrangement are allocated to the separate units of accounting based on their objectively determined fair value. For services, revenue is recognized when the services have been rendered. Revenues from service and support contracts is deferred and recognized as earned ratably over the service coverage periods. Unbilled revenue represents revenue recognized in accordance with the Company’s revenue recognition policy for which the invoice had not been processed and sent to the customer. Revenue is generally recognized upon shipment of the product, however, there are certain instances where revenue is deferred and recognized upon delivery or customer acceptance of the product as the Company legally retains the risk of loss on these transactions until such time. Estimates used in the recognition of revenues and cost of revenues include, but are not limited to, estimates for product warranties, price allowances and product returns.
 
Costs related to revenues are recognized in the same period in which the specific revenues are recorded. Shipping and handling fees billed to customers are reported in revenue. Shipping and handling costs incurred by the Company are included in cost of sales. Estimates used in the recognition of revenues and cost of revenues include, but are not limited to, estimates for product warranties, price allowances and product returns.
 
Inventory Valuation
 
Inventories are stated at the lower of cost (first-in, first-out) or market and include appropriate elements of material, labor and overhead. Our policy is to evaluate all inventory quantities for amounts on-hand that are potentially in excess of estimated usage requirements, and to write down any excess quantities to estimated net realizable value. Inherent in the estimates of net realizable values are management’s estimates related to customer demand and the development of new technology, which could make our theatre and lighting products obsolete, among other items. Management has managed these risks in the past and believes that it can manage them in the future; however, operating margins may suffer if they are unable to effectively manage these risks.
 
Income Taxes
 
Income taxes are accounted for under the asset and liability method. We use an estimate of our annual effective rate at each interim period based on the facts and circumstances at the time while the actual effective rate is calculated at year-end. Deferred tax assets and liabilities are recognized for the future tax consequences attributable to differences between the financial statement carrying amounts of existing assets and liabilities and their respective tax bases and operating loss and tax credit carry forwards. Deferred tax assets and liabilities are measured using enacted tax rates expected to apply to taxable income in the years in which those temporary differences are expected to be recovered or settled. The effect on deferred tax assets and liabilities of a change in tax rates is recognized in income in the period that includes the enactment date. In assessing whether the deferred tax assets are realizable management considers whether it is more likely than not that some portion or all of the deferred tax assets will not be realized. At December 31, 2012, we have recorded net deferred tax assets of $3.1 million. If it would be determined that some or all of these assets would not be realized, valuation reserves would be required which would have a material adverse affect on our results of operations.
 
 
22

 
 
We evaluate uncertain tax positions in a two-step process, whereby 1) we determine whether it is more likely than not that the tax positions will be sustained based on the technical merits of the position and 2) for those tax positions that meet the more likely than not recognition threshold, we would recognize the largest amount of tax benefit that is greater than fifty percent likely to be realized upon ultimate settlement with the related tax authority. Our uncertain tax positions are related to tax years that remain subject to examination by the relevant taxable authorities.
 
Item 7A.  Quantitative and Qualitative Disclosures About Market Risk
 
The principal market risks affecting us are exposure to interest rates and foreign currency exchange rates. We market our products throughout the United States and the world. As a result, we could be adversely affected by such factors as changes in foreign currency rates and weak economic conditions. As a majority of our sales are currently denominated in U.S. dollars, a strengthening of the dollar can and sometimes has made our products less competitive in foreign markets.
 
Interest Rates—We have a variable interest rate credit facility, however, we have no outstanding balances as of December 31, 2012. If we would borrow up to the maximum amount available under these facilities, a one percent increase in the interest rate would increase interest expense by $0.2 million per annum. Interest rate risks from our other interest related accounts such as our postretirement obligations are not deemed significant. We currently have long-term notes receivables bearing interest rates of 15% which are recorded at fair value. A change in long-term interest rates for comparable types of instruments would have the effect of us recording changes in fair value through our statement of operations.
 
Foreign Exchange—Exposures to transactions denominated in currencies other than the entity’s functional currency are primarily related to our China and Canadian subsidiaries. Fluctuations in the value of foreign currencies create exposures, which can adversely affect our results of operations. From time to time, as market conditions indicate, we will enter into foreign currency contracts to manage the risks associated with forecasted transactions. At December 31, 2012, we had no such foreign currency contracts outstanding.
 
A portion of our cash in the China and Canadian subsidiaries is denominated in foreign currencies, where fluctuations in exchange rates will impact our cash balances in U.S. dollar terms. A hypothetical 10% change in the value of the U.S. dollar would impact our reported cash balance by approximately $0.4 million.
 
 
23

 
 
Item 8.  Financial Statements and Supplementary Data
 
INDEX TO CONSOLIDATED FINANCIAL STATEMENTS
 
 
Page No.
Management’s Responsibility for Consolidated Financial Statements
25
Report of Independent Registered Public Accounting Firm
26
Consolidated Financial Statements
 
Consolidated Balance Sheets—December 31, 2012 and 2011
27
Consolidated Statements of Operations—Years Ended December 31, 2012, 2011 and 2010
28
Consolidated Statements of Comprehensive Income—Years Ended December 31, 2012, 2011 and 2010
29
Consolidated Statements of Stockholders’ Equity—Years Ended December 31, 2012, 2011 and 2010
30
Consolidated Statements of Cash Flows—Years Ended December 31, 2012, 2011 and 2010
31
Notes to Consolidated Financial Statements—Years Ended December 31, 2012, 2011 and 2010
32
Financial Statement Schedule Supporting Consolidated Financial Statements
 
Schedule II—Valuation and Qualifying Accounts
52
 
 
24

 

MANAGEMENT’S RESPONSIBILITY FOR CONSOLIDATED FINANCIAL STATEMENTS
 
The consolidated financial statements of Ballantyne Strong, Inc. and Subsidiaries and the other information contained in this Annual Report on Form 10-K were prepared by and are the responsibility of management. The financial statements have been prepared in accordance with accounting principles generally accepted in the United States of America and necessarily include amounts based on management’s best estimates and judgments.
 
In fulfilling its responsibilities, management relies on a system of internal controls, which provide reasonable assurance that the financial records are reliable for preparing financial statements and maintaining accountability of assets. Internal controls are designed to reduce the risk that material errors or irregularities in the financial statements may occur and not be timely detected. These systems are augmented by written policies, careful selection and training of qualified personnel, an organizational structure providing for the division of responsibilities and a program of financial, operational and systems reviews.
 
The Audit Committee of the Board of Directors, composed of five non-employee directors, is responsible for recommending to the Board of Directors the independent accounting firm to be retained each year. The Audit Committee meets regularly and when appropriate separately, with the independent auditors and management to review the Company’s performance. The independent auditors and the Audit Committee have unrestricted access to each other in the discharge of their responsibilities.
 
/s/ Gary L. Cavey
   
Gary L. Cavey
President, Chief Executive Officer and Director
   
     
 
/s/ Mary A. Carstens
   
Mary A. Carstens
Senior Vice President, Treasurer and Chief Financial Officer
   
 

 
25

 
 
Report of Independent Registered Public Accounting Firm

The Board of Directors and Stockholders
Ballantyne Strong, Inc.:
 
We have audited the accompanying consolidated balance sheets of Ballantyne Strong, Inc. and subsidiaries (the Company) as of December 31, 2012 and 2011, and the related consolidated statements of operations, comprehensive income, stockholders’ equity, and cash flows for each of the years in the three-year period ended December 31, 2012. In connection with our audits of the consolidated financial statements, we also have audited financial statement Schedule II. These consolidated financial statements and financial statement schedule are the responsibility of the Company’s management. Our responsibility is to express an opinion on these consolidated financial statements and financial statement schedule based on our audits.
 
We conducted our audits in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements. An audit also includes assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.
 
In our opinion, the consolidated financial statements referred to above present fairly, in all material respects, the financial position of Ballantyne Strong, Inc. and subsidiaries as of December 31, 2012 and 2011, and the results of their operations and their cash flows for each of the years in the three-year period ended December 31, 2012, in conformity with U.S. generally accepted accounting principles. Also in our opinion, the related financial statement schedule, when considered in relation to the basic consolidated financial statements taken as a whole, presents fairly, in all material respects, the information set forth therein.
 
We also have audited, in accordance with the standards of the Public Company Accounting Oversight Board (United States), the Company’s internal control over financial reporting as of December 31, 2012, based on criteria established in Internal Control – Integrated Framework issued by the Committee of Sponsoring Organizations of the Treadway Commission (COSO), and our report dated March 11, 2013 expressed an unqualified opinion on the effectiveness of the Company’s internal control over financial reporting.
 
/s/ KPMG LLP
 
Omaha, Nebraska
March 11, 2013
 
 
26

 
 
Ballantyne Strong, Inc. and Subsidiaries
Consolidated Balance Sheets
($ and shares in thousands except par values)
 
   
December 31, 2012
   
December 31, 2011
 
Assets
           
Current assets:
           
Cash and cash equivalents
  $ 40,168     $ 39,889  
Accounts receivable (less allowance for doubtful accounts of $487 in 2012 and $142 in 2011)
    26,227       30,579  
Unbilled revenue
          2,586  
Inventories, net
    10,971       14,920  
Recoverable income taxes
    2,069       793  
Deferred income taxes
    1,724       1,961  
Other current assets
    2,948       5,692  
Total current assets
    84,107       96,420  
Investment in joint venture
          1,849  
Property, plant and equipment, net
    11,105       9,419  
Property held for sale
          1,810  
Intangible assets, net
    105       262  
Notes receivable
    2,232       2,062  
Deferred income taxes
    1,936       1,596  
Other assets
    61       38  
Total assets
  $ 99,546     $ 113,456  
Liabilities and Stockholders’ Equity
               
Current liabilities:
               
Accounts payable
  $ 16,646     $ 31,924  
Accrued expenses
    5,313       4,820  
Customer deposits/deferred revenue
    5,251       5,037  
Income tax payable
          4,135  
Total current liabilities
    27,210       45,916  
Deferred revenue
    3,302       3,569  
Deferred income taxes
    580       397  
Other accrued expenses, net of current portion
    1,538       351  
Total liabilities
    32,630       50,233  
Commitments and contingencies
               
Stockholders’ equity:
               
Preferred stock, par value $.01 per share; Authorized 1,000 shares, none outstanding
           
Common stock, par value $.01 per share; Authorized 25,000 shares; issued 16,782 and 16,667 shares at December 31, 2012 and December 31, 2011, respectively; 14,051 and 14,512 shares outstanding at December 31, 2012 and 2011, respectively
    167       167  
Additional paid-in capital
    37,770       37,234  
Accumulated other comprehensive income (loss):
               
Foreign currency translation
    269       (137 )
Postretirement benefit obligation
    46       81  
Retained earnings
    46,903       41,361  
      85,155       78,706  
Less 2,731 and 2,155 of common shares in treasury, at December 31, 2012 and 2011, respectively, at cost
    (18,239 )     (15,483 )
Total stockholders’ equity
    66,916       63,223  
Total liabilities and stockholders’ equity
  $ 99,546     $ 113,456  
 
See accompanying notes to consolidated financial statements.
 
 
27

 
 
Ballantyne Strong, Inc. and Subsidiaries
Consolidated Statements of Operations
(in thousands except per share amounts)
 
   
Years Ended December 31,
 
   
2012
   
2011
   
2010
 
             
Net revenues
  $ 169,084     $ 184,433     $ 136,335  
Cost of revenues
    146,490       154,220       111,596  
Gross profit
    22,594       30,213       24,739  
Selling and administrative expenses:
                       
Selling
    4,467       3,935       3,822  
Administrative
    11,456       11,106       9,069  
Total selling and administrative expenses
    15,923       15,041       12,891  
Gain on transfer of assets
                172  
Gain (loss) on sale or disposal of assets
    1,332       11       (22 )
Income from operations
    8,003       15,183       11,998  
Equity in income (loss) of joint venture
    10       (189 )     582  
Other income (expense), net
    137       71       (188 )
Earnings before income taxes
    8,150       15,065       12,392  
Income tax expense
    (2,608 )     (4,718 )     (3,958 )
Net earnings
  $ 5,542     $ 10,347     $ 8,434  
Basic earnings per share
  $ 0.39     $ 0.72     $ 0.60  
Diluted earnings per share
  $ 0.39     $ 0.71     $ 0.59  
Weighted average shares outstanding:
                       
Basic
    14,038       14,427       14,163  
Diluted
    14,115       14,485       14,371  
 
See accompanying notes to consolidated financial statements.
 
 
28

 
 
Ballantyne Strong, Inc. and Subsidiaries
Consolidated Statements of Comprehensive Income
(In thousands)
 
   
Years Ended December 31,
 
   
2012
   
2011
   
2010
 
                   
Net earnings
  $ 5,542     $ 10,347     $ 8,434  
Adjustment to postretirement benefit obligation:
                       
     Net actuarial gain (loss)
    (35 )     1       (31 )
Currency translation adjustment:
                       
     Unrealized net change arising during period
    406       (397 )     546  
Other comprehensive gain (loss)
    371       (396 )     515  
Comprehensive income
  $ 5,913     $ 9,951     $ 8,949  

See accompanying notes to condensed consolidated financial statements.
 
 
29

 
 
Ballantyne Strong, Inc. and Subsidiaries
Consolidated Statements of Stockholders’ Equity
Years Ended December 31, 2012, 2011 and 2010
($ and shares in thousands)
 
   
Common
Stock
   
Additional
Paid-In
Capital
   
Retained
Earnings
   
Treasury
Stock
   
Accumulated Other Comprehensive Income (Loss)
   
Total
Stockholders’
Equity
 
             
Balance at December 31, 2009
  $ 163     $ 35,333     $ 22,580     $ (15,383 )   $ (175 )   $ 42,518  
Net income
                8,434                   8,434  
Other comprehensive gain
                            515       515  
Issuance of 106 shares of common stock upon exercise of stock options
    1       358                         359  
Issuance of 51 shares of common stock under the restricted stock plans
          151                         151  
Issuance of 12 shares of common stock under the employees stock purchase plan
          36                         36  
Income tax benefit related to stock option plans
          156                         156  
Share-based compensation expense
          207                         207  
Balance at December 31, 2010
    164       36,241       31,014       (15,383 )     340       52,376  
Net income
                10,347                   10,347  
Other comprehensive (loss)
                            (396 )     (396 )
Treasury share purchase of 15 shares
                      (100 )           (100 )
Issuance of 172 shares of common stock upon exercise of stock options
    2       276                         278  
Issuance of 34 shares of common stock under the restricted stock plans
    1       163                         164  
Issuance of 8 shares of common stock under the employees stock purchase plan
          25                         25  
Income tax benefit related to stock option plans
          359                         359  
Share-based compensation expense
          170                         170  
Balance at December 31, 2011
    167       37,234       41,361       (15,483 )     (56 )     63,223  
Net income
                5,542                   5,542  
Other comprehensive gain
                            371       371  
Treasury share purchase of 576 shares
                      (2,756 )           (2,756 )
Issuance of 112 shares of common stock under the restricted stock plans
          213                         213  
Issuance of 2 shares of common stock under the employees stock purchase plan
          7                         7  
Share-based compensation expense
          316                         316  
Balance at December 31, 2012
  $ 167     $ 37,770     $ 46,903     $ (18,239 )   $ 315     $ 66,916  
 
See accompanying notes to consolidated financial statements.
 
 
30

 
 
Ballantyne Strong, Inc. and Subsidiaries
Consolidated Statements of Cash Flows
(in thousands)
 
   
Years Ended December 31,
 
    2012     2011     2010  
Cash flows from operating activities:
                 
Net earnings
  $ 5,542     $ 10,347     $ 8,434  
Adjustments to reconcile net earnings to net cash provided by operating activities:
                       
Provision for doubtful accounts
    626       (14 )     128  
Provision for obsolete inventory
    (350 )     (216 )     395  
Provision for warranty
    538       418       844  
Depreciation and amortization
    1,268       1,757       1,490  
Equity in (income) loss of joint venture
    (10 )     189       (582 )
(Gain) loss on forward contracts
    (145 )     306       106  
(Gain) loss on disposal or transfer of assets
    (1,332 )     (11 )     (150 )
Deferred income taxes
    71       (1,211 )     242  
Share-based compensation expense
    393       373       381  
Excess tax benefits from share-based arrangements
          (359 )     (156 )
Changes in operating assets and liabilities:
                       
Accounts, unbilled and notes receivable
    6,402       (12,009 )     (12,436 )
Inventories
    4,265       13,684       (15,656 )
Other current assets
    2,605       (2,761 )     (2,112 )
Accounts payable
    (15,534 )     1,418       20,774  
Accrued expenses
    572       197       (843 )
Customer deposits/deferred revenue
    (88 )     5,774       548  
Current income taxes
    (5,382 )     2,133       2,239  
Other assets
    130       37       (3 )
Net cash (used in) provided by operating activities
    (429 )     20,052       3,643  
Cash flows from investing activities:
                       
Distribution from joint venture
    2,509             888  
Decrease in restricted investments
                239  
Capital expenditures
    (2,541 )     (2,886 )     (6,812 )
Proceeds from sales of assets
    3,334       88       26  
Net cash provided by (used in) investing activities
    3,302       (2,798 )     (5,659 )
Cash flows from financing activities:
                       
Purchase of treasury stock
    (2,756 )            
Proceeds from employee stock purchase plan
    8       25       36  
Proceeds from exercise of stock options
          178       359  
Excess tax benefits from share-based arrangements
    2       359       156  
Net cash (used in) provided by financing activities
    (2,746 )     562       551  
Effect of exchange rate changes on cash and cash equivalents
    152       (177 )     126  
Net increase (decrease) in cash and cash equivalents
    279       17,639       (1,339 )
Cash and cash equivalents at beginning of year
    39,889       22,250       23,589  
Cash and cash equivalents at end of year
  $ 40,168     $ 39,889     $ 22,250  
Supplemental disclosure of cash paid for:
                       
     Interest
  $ 22     $ 36     $ 16  
     Income Taxes
  $ 4,469     $ 4,233     $ 3,117  
Supplemental disclosure of non-cash activities:
                       
     Common stock exchanged for stock options
  $     $ 100     $  
 
See accompanying notes to consolidated financial statements.
 
 
31

 
 
Ballantyne Strong, Inc. and Subsidiaries
Notes to the Consolidated Financial Statements
(in thousands, except share and per share amounts)
 
1.  Basis of Presentation
 
Business Description
 
Ballantyne Strong, Inc. (“Ballantyne” or the “Company”), a Delaware corporation, and its wholly owned subsidiaries Strong Westrex, Inc., Strong Technical Services, Inc., Strong/MDI Screen Systems, Inc., and Strong Westrex (Beijing) Trading Inc., manufacture, distribute, integrate and service theatre and lighting systems on a worldwide basis.
 
The Company’s products are distributed to movie exhibition companies, sports arenas, auditoriums, amusement parks and special venues.
 
Principles of Consolidation
 
The consolidated financial statements include the accounts of the Company and all majority owned and controlled domestic and foreign subsidiaries. All significant intercompany balances and transactions have been eliminated in consolidation.
 
Use of Management Estimates
 
The preparation of consolidated financial statements in conformity with U.S. generally accepted accounting principles 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 consolidated financial statements and the reported amounts of revenues and expenses during the reporting period. Actual results and changes in facts and circumstances may alter such estimates and affect results of operations and financial position in future periods.
 
Reclassifications
 
Certain amounts in the accompanying consolidated financial statements and notes thereto have been reclassified to conform to the 2012 presentation.
 
2.  Summary of Significant Accounting Policies
 
Revenue Recognition
 
The Company recognizes revenue when all of the following circumstances are satisfied:
 
•           Persuasive evidence of an arrangement exists
 
•           Delivery has occurred or services have been rendered
 
•           The seller’s price to the buyer is fixed or determinable
 
•           Collectability is reasonably assured
 
The Company recognizes revenue when these criteria have been met and when title and risk of loss transfers to the customer. If an arrangement involves multiple deliverables, the items are considered separate units of accounting if the items have value on a stand-alone basis and there is objective and reliable evidence of their fair values. Revenues from the arrangement are allocated to the separate units of accounting based on their objectively determined fair value. For services, revenue is recognized when the services have been rendered. Revenues from service and support contracts is deferred and recognized as earned ratably over the service coverage periods. Unbilled revenue represents revenue recognized in accordance with the Company’s revenue recognition policy for which the invoice had not been processed and sent to the customer. Revenue is generally recognized upon shipment of the product, however, there are certain instances where revenue is deferred and recognized upon delivery or customer acceptance of the product as the Company legally retains the risk of loss on these transactions until such time. Estimates used in the recognition of revenues and cost of revenues include, but are not limited to, estimates for product warranties, price allowances and product returns.
 
Costs related to revenues are recognized in the same period in which the specific revenues are recorded. Shipping and handling fees billed to customers are reported in revenue. Shipping and handling costs incurred by the Company are included in cost of sales. Estimates used in the recognition of revenues and cost of revenues include, but are not limited to, estimates for product warranties, price allowances and product returns.
 
 
32

 
 
Accounts and Notes Receivable
 
Trade accounts receivable are recorded at the invoiced amount and do not bear interest. Amounts collected on trade accounts receivable are included in net cash provided by operating activities in the consolidated statements of cash flows. The Company determines the allowance for doubtful accounts based on several factors including overall customer credit quality, historical write-off experience and a specific analysis that projects the ultimate collectability of the account. As such, these factors may change over time causing the reserve level to adjust accordingly.
 
Notes receivables are recorded at estimated fair value at December 31, 2012 and accrue interest at 15%. The Company estimates allowances for doubtful accounts based on the Company’s best estimates of the amount of probable credit losses pertaining to the notes receivables, based on ongoing monitoring of the counterparty’s financial position and results of operations.
 
Changes in reserves for doubtful accounts are reflected in operating cash flows as an adjustment to net income. Past due accounts are written off for accounts and notes receivable when our efforts have been unsuccessful in collecting amounts due.
 
Inventories
 
Inventories are stated at the lower of cost (first-in, first-out) or market and include appropriate elements of material, labor and manufacturing overhead. Inventory balances are net of reserves of slow moving or obsolete inventory based on management’s review of inventories on hand compared to estimated future usage and sales, technological changes and product pricing.
 
Digital and film projection equipment is provided to potential customers for consignment and demonstration purposes under customer use agreements. Revenues are subsequently recorded in accordance with the Company’s normal revenue recognition policies. Consignment inventory is reviewed for impairment by comparing the inventory to the estimated future usage and sales. Digital and lighting equipment on consignment amounted to approximately $0.06 million and $0.5 million at December 31, 2012 and 2011, respectively.
 
Intangible Assets
 
The Company’s amortizable intangibles which are subject to recovery consist of trademarks, customer relationships and non-competition agreements. We evaluate our intangible assets for impairment when there is evidence that events or circumstances indicate that the carrying amount of these assets may not be recoverable. Intangible assets with definite lives are amortized over their respective estimated useful lives to their estimated residual values. Significant judgments and assumptions are required in the impairment evaluations.
 
Property, Plant and Equipment
 
Significant expenditures for the replacement or expansion of property, plant and equipment are capitalized. Depreciation of property, plant and equipment is provided over the estimated useful lives of the respective assets using the straight-line method. For financial reporting purposes, assets are depreciated over the estimated useful lives of 20 years for buildings and improvements, life of the related lease for leasehold improvements, 3 to 10 years for machinery and equipment, 7 years for furniture and fixtures and 3 years for computers and accessories. The Company generally uses accelerated methods of depreciation for income tax purposes. The Company reviews long-lived assets for impairment whenever events or changes in circumstances indicate that the carrying amount of an asset may not be recoverable. The recoverability of property, plant and equipment is based on management’s estimates of future undiscounted cash flows and these estimates may vary due to a number of factors, some of which may be outside of management’s control. To the extent that the Company is unable to achieve management’s forecasts of future income, it may become necessary to record impairment losses for any excess of the net book value of property, plant and equipment over their fair value.
 
The Company incurs maintenance costs on all of its major equipment. Repair and maintenance costs are expensed as incurred.
 
Assets Held For Sale
 
The Company classifies certain assets as held for sale. Upon classification as held for sale, the asset is measured at the lower of the carrying amount or fair value less costs to sell, and depreciation ceases. To the extent the Company is unable to sell the assets at or above the carrying amount, an impairment loss is recorded for the excess of the carrying amount over the fair value less costs to sell.
 
 
33

 
 
Income Taxes
 
Income taxes are accounted for under the asset and liability method. The Company uses an estimate of its annual effective rate at each interim period based on the facts and circumstances at the time while the actual effective rate is calculated at year-end. Deferred tax assets and liabilities are recognized for the future tax consequences attributable to differences between the financial statement carrying amounts of existing assets and liabilities and their respective tax bases and operating loss and tax credit carry forwards. Deferred tax assets and liabilities are measured using enacted tax rates expected to apply to taxable income in the years in which those temporary differences are expected to be recovered or settled. The effect on deferred tax assets and liabilities of a change in tax rates is recognized in income in the period that includes the enactment date. In assessing whether the deferred tax assets are realizable management considers whether it is more likely than not that some portion or all of the deferred tax assets will not be realized.
 
The Company’s uncertain tax positions are evaluated in a two-step process, whereby 1) the Company determines whether it is more likely than not that the tax positions will be sustained based on the technical merits of the position and 2) for those tax positions that meet the more likely than not recognition threshold, the Company would recognize the largest amount of tax benefit that is greater than fifty percent likely to be realized upon ultimate settlement with the related tax authority.  The Company accrues interest and penalties related to uncertain tax positions in the statements of income as income tax expense.
 
Other Taxes
 
Sales taxes assessed by governmental authorities including sales, use, and excise taxes are on a net basis and therefore the presentation of these taxes is excluded from revenues and is shown as a liability on the balance sheet until remitted to the appropriate taxing authorities.
 
Research and Development
 
Research and development related costs are charged to operations in the period incurred. Such costs amounted to approximately $0.01 million, $0.5 million and $0.9 million for the years ended December 31, 2012, 2011 and 2010, respectively.
 
Advertising Costs
 
Advertising and promotional costs are expensed as incurred and amounted to approximately $0.7 million, $0.9 million and $0.8 million for the years ended December 31, 2012, 2011 and 2010, respectively.
 
Fair Value of Financial and Derivative Instruments
 
The Company follows the Financial Accounting Standards Board (FASB) issued authoritative guidance, which defines fair value, establishes a framework for measuring fair value, and expands disclosures about fair value measurements. As defined in the FASB guidance, fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date.
 
The FASB guidance establishes a three-level hierarchy for fair value measurements based upon the transparency of inputs to the valuation of an asset or liability as of the measurement date. Inputs refers broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk. The categorization within the valuation hierarchy is based upon the lowest level of input that is significant to the fair value measurement. Financial assets and liabilities carried at fair value will be classified and disclosed in one of the following three categories:
 
●    Level 1 — inputs to the valuation techniques are quoted prices in active markets for identical assets or liabilities
●    Level 2 — inputs to the valuation techniques are other than quoted prices but are observable for the assets or liabilities, either directly or indirectly
    Level 3 — inputs to the valuation techniques are unobservable for the assets or liabilities
 
The following tables present the Company's financial assets and liabilities measured at fair value based upon the level within the fair value hierarchy in which the fair value measurements fall, as of December 31, 2012 and 2011.
 
 
34

 
 
Fair Values Measured on a Recurring Basis at December 31, 2012:

   
Level 1
   
Level 2
   
Level 3
   
Total
 
   
(in thousands)
 
Cash and cash equivalents
 
$
40,168
   
$
   
$
   
$
40,168
 
Notes Receivable
 
$
   
$
   
$
2,232
   
$
2,232
 
             
Fair Values Measured on a Recurring Basis at December 31, 2011:

   
Level 1
   
Level 2
   
Level 3
   
Total
 
   
( in thousands)
 
Cash and cash equivalents
 
$
39,889
   
$
   
$
   
$
39,889
 
Foreign currency forward contracts
 
$
   
$
4,723
   
$
   
$
4,723
 
Notes Receivable
 
$
   
$
   
$
2,062
   
$
2,062
 

Quantitative information about the Company's level 3 fair value measurements at December 31, 2012 is set forth below:

   
Fair Value
 
Valuation Technique
 
Unobservable input
 
Range
 
   
(in thousands)
             
Notes Receivable
 
$
2,232
 
Discounted cash flow
 
Probability of Default
   
0
%
             
Prepayment rates
   
0
%
             
Loss severity
   
0
%

The significant unobservable inputs used in the fair value measurement of the Company's notes receivable are prepayment rates, probability of default and loss severity in the event of default.  Significant increases (decreases) in any of these inputs in isolation would result in a significantly lower (higher) fair value measurement.  Generally, a change in the assumption used for the probability of default is accompanied by a directionally similar change in the assumption used for the loss severity and directionally opposite change in the assumption used for prepayment rates. 
 
 The following table reconciles the beginning and ending balance of the Company's Notes Receivable fair value:
   
   
2012
   
2011
 
   
(in thousands)
 
Notes Receivable balance, beginning of period
  $ 2,062     $  
Issuance of new notes
    170       2,062  
Notes Receivable balance, end of period
  $ 2,232     $ 2,062  

The fair value of the foreign currency forward exchange contracts is measured based on the total amount of currency to be purchased and forward exchange rates as of the period end. See footnote 14 for additional information on the Company's foreign exchange contracts.

 The carrying values of all other financial assets and liabilities including accounts receivable, accounts payable and accrued expenses reported in the consolidated balance sheets equal or approximate their fair values due to the short-term nature of these instruments.  All non-financial assets that are not recognized or disclosed at fair value in the financial statements on a recurring basis, which includes non-financial long-lived assets, are measured at fair value in certain circumstances (for example, when there is evidence of impairment).  During 2012 we did not have any significant non-recurring measurements of nonfinancial assets or liabilities.
 
The carrying values of all other financial assets and liabilities including accounts receivable, accounts payable and accrued expenses reported in the consolidated balance sheets equal or approximate their fair values due to the short-term nature of these instruments.
 
Cash and Cash Equivalents
 
All short-term, highly liquid financial instruments are classified as cash equivalents in the consolidated balance sheets and statements of cash flows. Generally, these instruments have maturities of three months or less from date of purchase.
 
 
35

 
 
Earnings Per Common Share
 
Basic earnings per share have been computed on the basis of the weighted average number of shares of common stock outstanding. Diluted earnings per share has been computed on the basis of the weighted average number of shares of common stock outstanding after giving effect to potential common shares from dilutive stock options and certain non-vested shares of restricted stock. The following table provides reconciliation between basic and diluted earnings per share:
 
   
2012
   
2011
   
2010
 
   
( in thousands, except per share amounts)
 
Basic earnings per share:
                 
Earnings applicable to common stock
  $ 5,542     $ 10,347     $ 8,434  
Weighted average common shares outstanding
    14,038       14,427       14,163  
Basic earnings per share
  $ 0.39     $ 0.72     $ 0.60  
                         
Diluted earnings per share:
                       
Earnings applicable to common stock
  $ 5,542     $ 10,347     $ 8,434  
Weighted average common shares outstanding
    14,038       14,427       14,163  
Assuming conversion of options and restricted stock awards outstanding
    77       58       208  
Weighted average common shares outstanding, as adjusted
    14,115       14,485       14,371  
Diluted earnings per share
  $ 0.39     $ 0.71     $ 0.59  
 
 Options to purchase 189,025, 52,200 and 50,000 shares of common stock were outstanding as of December 31, 2012, 2011 and 2010, respectively, but were not included in the computation of diluted earnings per shares as the option’s exercise price was greater than the average market price of the common shares for the respective periods.
 
Stock Compensation Plans
 
The Company recognizes compensation expense for all share-based payment awards made to employees and directors based on estimated values on the date of grant. The Company uses the straight-line amortization method over the vesting period of the awards. The Company has historically issued shares upon exercise of stock options or vesting of restricted stock from new stock issuances. The Company estimates the fair value of restricted stock awards based upon the market price of the underlying common stock on the date of grant. The fair value of stock options granted and shares issued under the employee stock purchase plan is calculated using the Black-Scholes option pricing model. No share-based compensation cost was capitalized as a part of inventory as of December 31, 2012 and 2011.
 
Post-Retirement Benefits
 
The Company recognizes the overfunded or underfunded position of a defined benefit postretirement plan as an asset or liability in the balance sheet, measures the plan’s assets and its obligations that determine its funded status as of December 31, and recognizes the changes in the funded status through comprehensive income in the year in which the changes occur.
 
Foreign Currency Translation
 
For foreign subsidiaries, the environment in which the business conducts operations is considered the functional currency, generally the local currency. The assets and liabilities of foreign subsidiaries are translated into the United States dollar at the foreign exchange rates in effect at the end of the period. Revenue and expenses of foreign subsidiaries are translated using an average of the foreign exchange rates in effect during the period. Translation adjustments are not included in determining net earnings but are presented in comprehensive income within the consolidated statements of comprehensive income. Transaction gains and losses that arise from foreign exchange rate fluctuations on transactions denominated in a currency other than the functional currency are included in the statements of operations as incurred.  Since the undistributed earnings of the Company’s foreign subsidiaries are considered to be indefinitely reinvested, the components of accumulated other comprehensive income (loss) have not been tax effected.
 
Warranty Reserves
 
Historically, the Company has generally granted a warranty to its customers for a one-year period following the sale of manufactured film projection equipment and on selected repaired equipment for a one-year period.  In most instances, the digital products are covered by the manufacturing firm's OEM warranty; however, there are certain customers where the Company may grant warranties in excess of the manufacturer's warranty for digital products.  The Company accrues for these costs at the time of sale or repair.  The following table summarizes warranty activity for the three years ended December 31, 2012.
 
 
36

 
 
    2012     2011     2011  
   
(in thousands)
 
Warranty accrual at beginning of period
  $ 1,028     $ 848     $ 378  
     Charged to expense
    416       546       841  
     Amounts written off, net of recoveries
    (688 )     (379 )     (378 )
     Foreign currency translation adjustment
    14       13       7  
Warranty accrual at end of period
  $ 770     $ 1,028     $ 848  
 
Contingencies
 
The Company accrues for contingencies when its assessments indicate that it is probable that a liability has been incurred and an amount can be reasonably estimated. The Company’s estimates are based on currently available facts and its estimates of the ultimate outcome or resolution. Actual results may differ from the Company’s estimates resulting in an impact, positive or negative, on earnings.
 
Current-Year Adoption of Accounting Pronouncements
 
In June 2011, the FASB issued Accounting Standards Update (ASU) No. 2011-05, Presentation of Comprehensive Income, which amends ASC 220, Comprehensive Income, by requiring all non-owner changes in shareholders' equity be presented either in a single continuous statement of comprehensive income or in two separate but consecutive statements. The guidance was effective retrospectively for fiscal years and interim periods within those years beginning after December 15, 2011. In December 2011, the FASB issued ASU No. 2011-12, Deferral of the Effective Date for Amendments to the Presentation of Reclassifications of Items Out of Accumulated Other Comprehensive Income in Accounting Standards Update No. 2011-05, which defers certain portions of ASU No. 2011-05 indefinitely and will be further deliberated by the FASB at a future date. The Company adopted the requirements of ASU 2011-05 by presenting a single Condensed Consolidated Statement of Comprehensive Income immediately following the Statement of Income.  There was no other impact on the Company's condensed consolidated financial statements.
 
In May 2011, the FASB issued ASU No. 2011-04, Fair Value Measurement (Topic 820): Amendments to Achieve Common Fair Value Measurement and Disclosure Requirements in U.S. GAAP and IFRSs.  This update is intended to develop common fair value measurement and disclosure requirements and improve understandability.  The Company prospectively adopted the requirements of ASU 2011-04 with expanded disclosures related to its fair value measurements.  This update did not have a material effect on the condensed consolidated financial statements.

Recently Issued Accounting Pronouncements
 
There are no recently issued accounting pronouncements which the Company believes will materially impact its consolidated financial statements.

3.  Digital Link II Joint Venture
 
Investment in Digital Link II
 
On March 6, 2007, the Company entered into an agreement with RealD to form an operating entity Digital Link II, LLC (the “LLC”). Under the agreement, the LLC was formed with the Company and RealD as the only two members with membership interests of 44.4% and 55.6%, respectively. The LLC was formed for purposes of commercializing certain 3D technology and to fund the deployment of digital projector systems and servers to exhibitors.
 
The Company accounts for its investment by the equity method. Under this method, the Company recorded its proportionate share of LLC net income or loss based on the LLC’s financial statements as of December 31, 2012, December 23, 2011 and December 24, 2010. The LLC uses four 13-week periods for a total of 52 weeks to align its fiscal year end with that of its majority interest holder, RealD.
 
 
37

 
 
The Company’s portion of gain (loss), including the income described below, of the LLC was $0.01 million, $(0.2) million and $0.6 million for the years ended December 31, 2012, 2011and 2010, respectively.
 
In the past, the Company sold digital theatre projection equipment, in the normal course of business, to the LLC.  The LLC in turn provides and sells the digital projection equipment to third party customers under system use agreements or through sales agreements. Revenue recognized by the Company on the sale transaction to the LLC is limited by its 44.4% ownership in the joint venture which will be recognized upon sale of the equipment to the third parties. Sales to the LLC approximated $4.7 million during 2010.  There were no sales to the LLC during 2012 and 2011.  However, the Company recognized $0.05 million of gross margin during 2012 related to the LLC's sale of equipment to third parties.  Revenue recognized by the Company was $4.1 million during 2010. Revenue recognized by the Company on the sale transaction to the LLC is limited by its 44.4% ownership in the joint venture which will be recognized upon sale of the equipment to the third parties. The total receivable balance due from the LLC was insignificant at December 31, 2012 and 2011.
 
During the third quarter of 2011, the LLC made a significant sale of equipment to certain third party customers that resulted in a pre-tax gain of approximately $0.8 million. During the second quarter of 2010, the LLC made a significant sale of equipment to a third party customer that resulted in the LLC recording a pre-tax gain on the sale of assets of approximately $2.8 million.
 
During the first quarter of 2012 the Company received a $1.5 million return of investment in the LLC. During the third quarter of 2012 the Company received a $1.0 million distribution from the LLC. The excess of the distribution received in the third quarter over the Company's carrying value in the LLC of approximately $0.7 million is included in accrued expenses. The distribution in excess of the carrying value will be deferred until the Company determines that future contributions to the LLC will not be required. The Company received no distributions from the LLC in 2011.  During the third quarter of 2010 the Company received a $0.9 million return of the investment in the LLC.
 
4.  Inventories
 
Inventories consist of the following:
 
   
December 31,
2012
   
December 31,
2011
 
   
(in thousands)
 
Raw materials and components
  $ 3,247     $ 5,270  
Work in process
    1,018       301  
Finished goods
    6,706       9,349  
    $ 10,971     $ 14,920  
 
The inventory balances are net of reserves of approximately $1.3 million and $2.5 million as of December 31, 2012 and 2011, respectively.
 
5.  Property, Plant and Equipment
 
Property, plant and equipment include the following:
 
   
December 31,
2012
   
December 31,
2011
 
   
(in thousands)
 
Land
  $ 65     $ 63  
Buildings and improvements
    7,528       5,896  
Machinery and equipment
    4,858       4,680  
Office furniture and fixtures
    2,404       1,988  
Total properties cost
    14,855       12,627  
Less accumulated depreciation
    (3,750 )     (3,208 )
Net property, plant and equipment
  $ 11,105     $ 9,419  
 
Depreciation expense approximated $1.0 million, $1.1 million and $0.9 million for the years ended December 31, 2012, 2011 and 2010, respectively. For a discussion regarding reclassifying certain assets as held for sale, refer to Note 6.
 
 
38

 
 
6.  Corporate-wide strategic initiative
 
Restructuring
 
In the fourth quarter of 2011, the Board of Directors and management of the Company approved a corporate-wide strategic initiative to refocus its worldwide digital equipment distribution business, services platform and cinema screen manufacturing business and exit the analog projector manufacturing business. The strategic initiative consisted of selling the Company's Omaha, Nebraska-based analog projector facility and manufacturing equipment and relocating its corporate headquarters to a new, smaller location in Omaha, which also houses its Network Operations Center.  Total life to date severance charges for the strategic initiative that began in 2011 are approximately $1.4 million, including $0.1 million in 2012.  The strategic initiative is expected to be completed by the end of the second quarter of 2013.
 
The following reconciles the activity in the restructuring related severance accruals for the years ended December 31, 2012 and 2011, which are included in accrued expenses:
 
   
2012
   
2011
 
   
(in thousands)
 
Accrued severance, beginning of period
  $ 963     $  
     Severance expense included in Administrative Expenses
    107       1,261  
     Severance paid
    (982 )     (298 )
Accrued severance, end of period
  $ 88     $ 963  

Assets Held For Sale
 
In connection with the strategic initiative, the Company reclassified its Nebraska-based analog projector facility, corporate headquarters and manufacturing equipment to held for sale. The assets were recorded at their carrying value of $1.8 million at December 31, 2011 as it was lower than the assets fair value, less costs to sell. The following table summarizes assets held for sale.
 
   
December 31,
 2012
   
December 31, 
2011
 
   
(In thousands)
 
Real Estate
  $     $ 1,696  
Machinery and Equipment
          114  
Total
  $     $ 1,810  
 
During the first quarter of 2012, the Company sold the analog projector manufacturing machinery and equipment previously classified as held for sale.  The equipment was sold in March 2012 for approximately $1.0 million, resulting in a gain of approximately $0.9 million.  In May 2012, the Company completed a sale leaseback transaction for the analog projector and corporate headquarters facility.  The net cash proceeds from the transaction were $2.0 million.  The Company leased the facility back at no cash rent through November 2012.  However, the $0.2 million estimated fair value of the lease was recognized as rent expense over the lease period and was included in the net proceeds to calculate the $0.5 million gain resulting from the sale of the facility. 
 
7.  Intangible Assets
 
Intangible assets consisted of the following at December 31, 2012:
 
   
Useful life
   
Gross
   
Accumulated
amortization
   
Net
 
   
(Years)
   
( in thousands)
 
Intangible assets subject to amortization:
                           
Customer relationships
  4 - 9     $ 1,720     $ (1,615 )   $ 105  
Trademarks
    3         239       (239 )      
Non-competition agreement
  3 - 5       155       (155 )      
Total
            $ 2,114     $ (2,009 )   $ 105  

 
39

 
 
Intangible assets consisted of the following at December 31, 2011:
 
   
Useful life
   
Gross
   
Accumulated
amortization
   
Net
 
   
(Years)
   
( in thousands)
 
Intangible assets subject to amortization:
                           
Customer relationships
  4 - 9     $ 1,720     $ (1,476 )   $ 244  
Trademarks
    3         239       (222 )     17  
Non-competition agreement
  3 - 5       155       (154 )     1  
Total
            $ 2,114     $ (1,852 )   $ 262  
 
During 2011, the Company wrote-off certain intangibles pertaining to the Technobeam product line which was discontinued during the year. There was no impact to earnings as the intangibles were fully amortized and had no net book value. Any other change in the cost and accumulated amortization of the identifiable assets was due to certain intangibles recorded in a foreign currency and therefore affected by fluctuations in the exchange rate. Intangible assets, other than goodwill, with definitive lives are amortized over their useful lives.
 
The Company recorded amortization expense relating to other identifiable intangible assets of $0.2 million, $0.4 million and $0.4 million during each of the years ended December 31, 2012, 2011 and 2010, respectively.
 
The following table shows the Company’s estimated future amortization expense related to intangible assets for the next three years at which time the assets are expected to be fully amortized. All amounts in thousands.
 
   
Amount
 
   
(in thousands)
 
2013
  $ 43  
2014
    43  
2015
    19  
 
8.  Accrued Expenses
 
The major components of current accrued expenses are as follows:
 
   
December 31,
2012
   
December 31,
2011
 
   
(in thousands)
 
Employee related
  $ 2,091     $ 1,775  
Legal and professional fees
    293       117  
Outside commissions
    471       26  
Warranty obligation
    770       1,028  
Joint venture excess distributions
    650        
Interest and taxes
    734       789  
Post-retirement benefit obligation
    19       17  
Severance and benefits
    88       963  
Other
    197       105  
Total
  $ 5,313     $ 4,820  
 
The major components of long-term accrued expenses are as follows:
 
   
December 31,
2012
   
December 31,
 2011
 
   
(in thousands)
 
Post-retirement benefit obligation
  $ 328     $ 300  
Employee related
    212        
Rent and leasehold improvements
    972        
Other
    26       51  
Total
  $ 1,538     $ 351  
 
 
40

 

9.  Debt
 
The Company is a party to a $20 million Revolving Credit Agreement and Note (collectively, the “Credit Agreement”) with Wells Fargo Bank, N.A. (“Wells Fargo”). The Company may request an increase in the Credit Agreement of up to an additional $5 million; however, any advances on the additional $5 million are subject to approval of Wells Fargo. The borrowings from the Credit Agreement are to be used for working capital purposes and for other general corporate purposes. The Company’s accounts receivable, general intangibles and inventory secure the Credit Agreement.
 
Borrowings under the Credit Agreement bear interest at a rate equal to LIBOR plus 125 basis points (1.53% at December 31, 2012). Interest is paid on a monthly basis. The Company pays a fee of 0.15% per annum on any unused portion. The Credit Agreement expires on June 30, 2014 at which time all unpaid principal and interest is due. Borrowings available under the Credit Agreement were temporarily reduced to $19.6 million at December 31, 2012 due to outstanding letters of credit of $0.4 million.
 
The Credit Agreement contains certain covenants, including those relating to our financial condition. The primary financial condition covenants pertain to the Company maintaining a ratio of total liabilities to tangible net worth of less than 2 to 1 and net income before taxes of $1 on a rolling 4-quarter basis, as defined in the Credit Agreement. Other covenants pertain to items such as certain limits on incurring additional debt or lease obligations, certain limits on issuing guarantees and certain limits on loans, advances and investments with third parties. Upon the occurrence of any event of default specified in the Credit Agreement, including a change in control of the Company (as defined in the Credit Agreement), all amounts due there under may be declared to be immediately due and payable. Since the inception of the Credit Agreement, no amounts have been borrowed.
 
10.  Income Taxes
 
Income (loss) before income taxes consists of:
 
   
2012
   
2011
   
2010
 
   
(in thousands)
 
United States
  $ 4,783     $ 7,351     $ 1,022  
Foreign
    3,367       7,714       11,370  
    $ 8,150     $ 15,065     $ 12,392  
 
Income tax expense (benefit) attributable to income from continuing operations consists of:
 
   
2012
   
2011
   
2010
 
   
(in thousands)
 
Federal:
                 
Current
  $ 1,257     $ 3,802     $ 544  
Deferred
    317       (1,338 )     233  
Total
    1,574     $ 2,464       777  
State:
                       
Current
    153       324       11  
Deferred
    29       (104 )     32  
Total
    182       220       43  
Foreign:
                       
Current
    1,118       1,814       3,151  
Deferred
    (266 )     220      
(13
)
Total
    852       2,034       3,138  
    $ 2,608     $ 4,718     $ 3,958  
 
Income tax expense attributable to income (loss) from continuing operations differed from the amounts computed by applying the U.S. Federal income tax rate to pretax income from continuing operations as follows:
 
 
41

 
 
   
2012
   
2011
   
2010
 
   
Amount
   
%
   
Amount
   
%
   
Amount
   
%
 
   
(amounts in thousands)
 
Expected federal income tax expense
  $ 2,771       34.0     $ 5,122       34.0     $ 4,213       34.0  
State income taxes, net of federal benefit
    120       1.5       145       0.9       28       0.2  
Foreign tax rates varying from 34%
    (204 )     (2.5 )     (589 )     (3.9 )     (373 )     (3.0 )
Other
    (79 )     (1.0 )     40       0.3       90       0.7  
Total
  $ 2,608       32.0     $ 4,718       31.3     $ 3,958       31.9  
 
Deferred tax assets and liabilities were comprised of the following:
 
   
December 31
 
   
2012
   
2011
 
   
(in thousands)
 
Deferred tax assets:
     
Deferred revenue
  $ 1,462     $ 1,495  
Non-deductible accruals
    621       290  
Inventory reserves
    573       1,050  
Stock compensation expense
    243       49  
Warranty reserves
    220       102  
Uncollectible receivable reserves
    211       404  
Accrued group health insurance claims
    150       86  
Restructuring reserves
    32       337  
Net operating losses
          219  
Depreciation and amortization
    148       86  
     Net deferred tax assets
    3,660       4,118  
Deferred tax liabilities:
               
Depreciation and amortization
    578        
Equity in loss of joint venture
    2       914  
Other
          44  
     Net deferred tax liabilities
    580       958  
     Net deferred tax assets
  $ 3,080     $ 3,160  
 
Federal and state income taxes have not been provided on accumulated but undistributed earnings of foreign subsidiaries aggregating approximately $20.6 million at December 31, 2012 as these earnings have been permanently reinvested in the business. The determination of the amount of the unrecognized deferred tax liability related to the undistributed earnings is not practicable.
 
The Company has examinations not yet initiated for Federal purposes for fiscal years 2005 through 2012. In most cases, the Company has examinations open for State or local jurisdictions based on the particular jurisdiction’s statute of limitations. The Company does not currently have any examinations in process.
 
Estimated amounts related to estimated underpayment of income taxes, including interest and penalties, are classified as a component of tax expense in the consolidated statements of operations and were not material for the years ended December 31, 2012, 2011 and 2010. Amounts accrued for estimated underpayment of income taxes amounted to $0.2 million as of December 31, 2012 and 2011. The accruals largely relate to state tax matters.
 
11.  Note Receivable
 
During 2011, the Company entered into certain unsecured notes receivable arrangements with CDF2 Holdings, LLC pertaining to the sale and installation of digital projection equipment. The notes receivable accrue interest at a rate of 15% per annum which is to be paid in accordance with an agreed-upon cash flow schedule, as defined. Interest not paid in any particular year is added to the principal and accrues interest at 15%. The Company has recorded the notes receivable at their fair value.  See note 2 for additional information on the fair value of the notes.
 
 
42

 
 
12.  Deferred Revenue
 
The Company deferred revenue associated with extended warranties provided to a third party exhibitor in 2011.  The Company expects to recognize the majority of the revenue over a period of approximately 5 years when all conditions of revenue recognition have been met.  The following summarizes the amounts included in deferred revenue related to extended warranties.
 
   
December 31,
2012
   
December 31,
2011
 
   
(in thousands)
 
Extended warranty deferrals expected to be recognized within one year
  $ 221     $ 74  
Extended warranty deferrals expected to be recognized after one year
    3,347       3,568  
Total revenue deferred for extended warranty
  $ 3,568     $ 3,642  

13.  Stock Compensation
 
The Company recognizes compensation expense for all share-based payment awards made to employees and directors based on estimated fair values. Share-based compensation expense included in selling and administrative expenses approximates the following:
 
   
2012
   
2011
   
2010
 
   
(in thousands)
 
Share based compensation expense
  $ 393     $ 373     $ 381  

Long-Term Incentive Plan
 
 The Company's 2010 Long-Term Incentive Plan (“2010 Plan”) provides the Compensation Committee of the Board of Directors with the discretion to grant stock options, stock appreciation rights, restricted shares, restricted stock units, performance shares, or performance units.  Vesting terms vary with each grant and may be subject to vesting upon a “change in control” of the Company. The total number of shares reserved for issuance under the 2010 Plan was 600,000 shares.  During 2012, the Company awarded 139,000 options and 56,000 restricted stock shares under the 2010 Plan.  No shares were granted during 2011 or 2010.  At December 31, 2012, 405,000 shares were reserved for granting under the 2010 Plan.
 
Options
 
As noted above, under the 2010 Plan, the Company granted options to purchase 139,000 shares of the Company's common stock during the year ended December 31, 2012.  Options to purchase shares of common stock were granted with exercise prices equal to the fair value of the common stock on the date of grant and vest over a four-year period. 

During 2011 and 2010, the Board of Directors granted non-qualified stock options to purchase 2,200 shares and 50,000 shares, respectively of the Company’s common stock upon hiring members of management.  The options vest over periods of one to three years.   The options were issued at an exercise price based on the fair market value of the Company’s common stock on the date of grant and expire 10 years after the date of grant. These options were granted outside of the Company’s existing stock compensation plans pursuant to applicable regulations allowing for such a grant.
 
The weighted average grant date fair value of stock options granted in 2012, 2011 and 2010 was $2.51, $2.00 and $5.12, respectively.  The fair value of each stock option granted is estimated on the date of grant using a Black-Scholes valuation model with the following weighted average assumptions:

   
2012
   
2011
   
2010
 
Expected dividend yield at date of grant
    0.00 %     0.00 %     0.00 %
Risk-free interest rate
    1.30 %     1.09 %     0.50 %
Expected stock price volatility
    57.00 %     64.51 %     67.30 %
Expected life of options (in years)
    6.0       4.0       6.5  
 
The risk-free interest rate assumptions were based on the U.S. Treasury yield curve in effect at the time of the grant.  The expected volatility was based on historical monthly price changes of the Company's stock based on the expected life of the options at the date of grant.  The expected life of options is the average number of years the Company estimates that options will be outstanding.  The Company considers groups of associates that have similar historical exercise behavior separately for valuation purposes.
 
 
43

 

The following table summarizes the Company’s activities with respect to its stock options:

   
Number of
Options
   
Weighted
Average
Exercise Price
Per Share
   
Weighted
Average
Remaining
Contractual
Term
   
Aggregate
Intrinsic
Value
 
               
(in years)
   
(in thousands)
 
Outstanding at December 31, 2011
    52,200       8.14       8.86        
Granted
    139,000       4.70                  
Exercised
                           
Forfeited
                           
Outstanding at December 31, 2012
    191,200     $ 5.64       8.69        
Exercisable at December 31, 2012
    35,533     $ 8.06       7.88        
 
The aggregate intrinsic value in the table above represents the total that would have been received by the option holders if all in-the-money options had been exercised on the date indicated.
 
The following table summarizes information about stock options outstanding and exercisable at December 31, 2012:
 
         
Options Outstanding at
December 31, 2012
   
Options Exercisable at
December 31, 2012
 
Range of option exercise price
   
Number of
options
   
Weighted
average
remaining
contractual
life in years
   
Weighted
average
exercise price
per option
   
Number of
options
   
Weighted
average
remaining
contractual
life in years
   
Weighted
average
exercise price
per option
 
$4.07 to $8.32       191,200       8.69     $ 5.64       35,533       7.88     $ 8.06  
 
As of December 31, 2012, 155,667 stock option awards were non-vested. Unrecognized compensation costs related to all stock options outstanding amounted to $0.4 million at December 31, 2012, which is expected to be recognized over a weighted-average period of 2.8 years.
 
Restricted Stock Plans
 
The Company’s 2005 Restricted Stock Plan (the “2005 Plan”) provides for the grant of restricted stock awards. A total of 250,000 shares were reserved for issuance under the 2005 Plan, which is set to expire at September 1, 2013.  These shares are subject to restrictions on transferability and other restrictions, if any, as the Compensation Committee may impose.  During 2012 the Company awarded 28,210 restricted shares under the 2005 Plan as partial payment under the Company’s 2010 Short-Term Incentive Plan.  During 2011, 20,959 shares of restricted stock were granted under this Plan as partial payment under the Company’s 2010 Short-Term Incentive Plan.  The shares issued in 2012 and 2011 under the 2005 Plan vested and became unrestricted immediately.  At December 31, 2012, 41,310 shares remain available for issuance under the 2005 Plan.
 
The Ballantyne Strong, Inc. Non-Employee Director’s Restricted Stock Plan (the “Non-Employee Plan”) provides for the award of restricted shares to outside directors.  A total of 250,000 shares are reserved for issuance under the Non-Employee Plan.  During 2012, 2011 and 2010, the Company granted 28,200, 12,600 and 10,200 shares under the Non-Employee Plan. Shares issued under the Non-Employee Plan vest the day preceding the Company’s Annual Meeting of Stockholders in the year following issuance.  At December 31, 2012, 148,876 shares remain available for issuance under the Plan.
 
In connection with the restricted stock granted to certain employees and non-employee directors, the Company accrues compensation expense based on the estimated number of shares expected to be issued utilizing the most current information available to the Company at the date of the financial statements. The Company estimates the fair value of restricted stock awards based upon the market price of the underlying common stock on the date of grant.
 
 
44

 
 
As noted above, the Company awarded a total of 112,410, 33,559 and 51,230 restricted shares under the 2010 Plan, the 2005 Plan and the Non-Employee Plan during 2012, 2011 and 2010, respectively.  The weighted average grant date fair value of restricted stock awarded in 2012, 2011 and 2010 was $5.16, $6.92 and $4.88, respectively.  In connection with the restricted stock granted to certain employees and non-employee directors, the Company accrues compensation expense based on the estimated number of shares expected to be issued utilizing the most current information available to the Company at the date of the financial statements.  The Company estimates the fair value of the restricted stock awards based upon the market price of the underlying common stock on the date of grant.
 
As of December 31, 2012, the total unrecognized compensation cost related to non-vested restricted stock awarded was approximately $0.3 million which is expected to be recognized over a weighted average period of 2.4 years.
 
The following table summarizes restricted stock activity:
 
   
Number of
Restricted Stock
Shares
   
Weighted
 Average
 Grant Date
 Fair Value
 
Nonvested at December 31, 2011
    12,600     $ 5.93  
   Granted
    112,410       5.16  
   Shares vested
    (40,810 )     5.22  
   Shares forfeited
           
Nonvested at December 31, 2012
    84,200     $ 5.24  
 
Employee Stock Purchase Plan
 
The Company’s Employee Stock Purchase Plan provides for the purchase of shares of Company common stock by eligible employees at a per share purchase price equal to 85% of the fair market value of a share of Company common stock at either the beginning or end of the offering period, as defined, whichever is lower. Purchases are made through payroll deductions of up to 10% of each participating employee’s salary. The maximum number of shares that can be purchased by participants in any offering period is 2,000 shares. Additionally, the Plan has set certain limits, as defined, in regard to the number of shares that may be purchased by all eligible employees during an offering period. At December 31, 2012, 65,753 shares of common stock remained available for issuance under the Plan, which is set to expire in October 2013.
 
The estimated grant date fair value of purchase rights outstanding under the Employee Stock Purchase Plan was calculated using the Black- Scholes option pricing model using weighted average assumptions as follows:
 
   
2012
   
2011
   
2010
 
Expected dividend yield at date of grant
    0.00 %     0.00 %     0.00 %
Expected stock price volatility
    15.90 %     39.72 %     56.94 %
Risk-free interest rate
    0.15 %     0.12 %     0.30 %
Expected term (in years)
    1.0       1.0       1.0  
Estimated grant date fair value
  $ 0.88     $ 1.81     $ 4.04  
 
Compensation expense recorded during 2012, 2011 and 2010 related to the Employee Stock Purchase Plan was insignificant.  At December 31, 2012, the total unrecognized estimated compensation cost was insignificant.
 
14.  Foreign Exchange Contracts
 
The Company’s primary exposure to foreign currency fluctuations pertains to its subsidiaries in Canada and China. In certain instances the Company may enter into foreign exchange forward contracts to manage a portion of this risk. The Company has not designated its foreign exchange forward contracts as hedges.
 
The gross fair value of derivative instruments, none of which are designated as hedging instruments consisted of:
 
       
Asset Derivatives
 
(in thousands)
 
Classification
 
December 31,
2012
 
December 31,
2011
 
Foreign exchange forward contracts
 
Other current liabilities
  $   $ 4,723  

 
45

 
 
The above fair value at December 31, 2011 is offset against $4.7 million in other current liabilities, resulting in an immaterial net liability.  All cash flows related to our foreign currency exchange contracts are classified as operating cash flows.  We recognized in other income, the following realized and unrealized gains from foreign currency forward exchange contracts:

(in thousands)
 
Classification
 
2012
   
2011
   
2010
 
Foreign exchange forward contracts
 
Other Income (Loss)
  $ 145     $ (349 )   $ (49 )

See Note 1 for further information related to the Company’s foreign exchange forward contracts.

15.  Compensation and Benefit Plans
 
Bonus Plans
 
The Compensation Committee of the Board of Directors administers a Short-Term Incentive Plan (the “Plan”). The Plan is an annual incentive program that provides certain officers and key employee’s bonuses in the form of cash or restricted stock or a combination of both if the Company achieves certain financial goals. Each payout is further subject to the achievement of certain individual goals, as defined in the Plan. The Company has recorded expenses related to the Plan of approximately $0.6 million, $0.5 million and $0.6 million in 2012, 2011 and 2010, respectively. The bonuses are generally paid through a distribution of cash and restricted stock.
 
Retirement Plan
 
The Company sponsors a defined contribution 401-K plan (the “Plan”) for all eligible employees. Pursuant to the provisions of the Plan, employees may defer up to 100% of their compensation. The Company will match 50% of the amount deferred up to 6% of their compensation. The contributions made to the Plan by the Company was approximately $0.2 million for each of the years ended December 31, 2012, 2011 and 2010.
 
Postretirement Health Care
 
The Company sponsors a postretirement health care plan (the “Plan”) for two former executives and their spouses. The Company’s policy is to fund the cost of the Plan as expenses are incurred. The costs of the postretirement benefits were accrued over the employees’ service lives. The following table sets forth the Plan’s benefit obligations, fair value of plan assets, and funded status at December 31, 2012 and 2011:
 
   
2012
   
2011
 
   
(in thousands)
 
Reconciliation of benefit obligation
           
Benefit obligation at January 1
  $ 315     $ 318  
Interest cost
    13       14  
Benefits paid
    (17 )     (10 )
Contributions by plan participants
    4       2  
Actuarial (gain) loss
    32       (9 )
Benefit obligation at December 31
    347       315  
Fair value of plan assets at December 31
           
Funded status at end of year
  $ (347 )   $ (315 )
Amounts recognized in the balance sheet consist of:
               
Noncurrent assets
  $     $  
Current liabilities
    (19 )     (17 )
Noncurrent liabilities
    (328 )     (300 )
Accumulated other comprehensive income
    (46 )     (81 )
Net amount recognized
  $ (393 )   $ (398 )
 
 
46

 
 
Amounts recognized in accumulated other comprehensive income at December 31 2012 and 2011 consists of:
 
   
2012
   
2011
 
   
(in thousands)
 
Net actuarial gain
  $ 46     $ 81  
Total accumulated other comprehensive income
  $ 46     $ 81  
 
Net periodic benefit cost recognized in the years ended December 31, 2012, 2011 and 2010 was:
 
   
2012
   
2011
   
2010
 
   
(in thousands)
 
Interest cost
  $ 13     $ 14     $ 15  
Amortization of gain
    (3 )     (9 )     (9 )) )
Net periodic benefit cost recognized
  $ 10     $ 5     $ 6  
 
Other changes in plan assets and benefit obligations recognized in accumulated other comprehensive income in the years ended December 31, 2012, 2011 and 2010 are as follows:
 
   
2012
   
2011
   
2010
 
   
(in thousands)
 
Net actuarial gain (loss)
  $ (32 )   $ 10     $ (21 )
Amortization of (gain) loss
    (3 )     (9 )     (9 )
Total recognized in accumulated other comprehensive income (loss)
  $ (35 )   $ 1     $ (30 )
Total recognized in net periodic benefit cost and accumulated other comprehensive income
  $ 45     $ 4     $ (25 )
 
For the defined postretirement benefits plan, amortization of the net gain from accumulated other comprehensive income into net periodic benefit cost to be recognized in the next fiscal year is expected to be insignificant.
 
Weighted average assumptions used to determine benefit obligations at December 31, 2012, 2011 and 2010 were as follows:
 
   
December 31,
 
   
2012
   
2011
   
2010
 
Discount rate
    3.60 %     4.25 %     5.25 %
Rate of compensation increase
    N/A       N/A       N/A  
Health care cost trend rate
    7.0 %     8.0 %     9.0 %
 
Weighted average assumptions used to determine net periodic postretirement benefit cost for the years ended December 31, 2012, 2011 and 2010 were as follows:
 
   
2012
   
2011
   
2010
 
Discount rate
    4.25 %     5.25 %     5.75 %
Expected long-term rate of return on plan assets
    N/A       N/A       N/A  
Rate of compensation increase
    N/A       N/A       N/A  
Health care cost trend rate
    8.0 %     9.0 %     9.0 %
 
Assumed health care trend rates have a significant effect on the amounts reported for health care plans. A 1% change in assumed health care cost trend rates would have the following effects:
 
   
1% Increase
   
1% Decrease
 
   
( in thousands)
 
Effect on total service and interest cost components of periodic postretirement health care benefit cost
  $ 2     $ (1 )
Effect on the health care component of the accumulated postretirement benefit obligation
  $ 42     $ (38 )
 
 
47

 
 
For measurement purposes, a 7.0% annual rate of increase in the per capita cost of covered health care benefits was assumed for 2012. The rate was assumed to decrease gradually to 6.0% through 2014 and remain at that level thereafter.  The Company expects to contribute $0.02 million to its postretirement benefit plan in 2013.
 
The benefits expected to be paid from the postretirement benefit plan are as follows:
 
   
2013
   
2014
   
2015
   
2016
   
2017
    2018-2021  
   
(in thousands)
 
Benefits expected to be paid
  $ 19     $ 20     $ 21     $ 22     $ 23     $ 85  
 
The expected benefits are based on the same assumptions used to measure the Company’s benefit obligation at December 31, 2012 and include estimated future employee service, if any.
 
16.  Leases
 
The Company and its subsidiaries lease plant and office facilities, autos and equipment under operating leases expiring through 2023. These leases generally contain renewal options and the Company expects to renew or replace certain of these leases in the ordinary course of business. Rent expense under operating lease agreements amounted to approximately $0.6 million, $0.4 million and $0.4 million for the years ended December 31, 2012, 2011 and 2010, respectively.
 
The Company’s future minimum lease payments for operating leases are as follows:
 
   
Total
   
2013
   
2014
   
2015
   
2016
   
2017
   
Thereafter
 
   
(in thousands)
 
Operating lease payments due
  $ 4,052     $ 503     $ 524     $ 342     $ 353     $ 359     $ 1,971  

17.  Contingencies and Concentrations
 
Concentrations
 
The Company’s top ten customers accounted for approximately 47% of 2012 consolidated net revenues and were from the theatre segment. Trade accounts receivable from these customers represented approximately 36% of net consolidated receivables at December 31, 2012.  Sales to CDF2 Holdings represented approximately 12% of total 2012 sales and account receivable from CDF2 represented 5% of net consolidated receivables. The note receivable from CDF2 had an outstanding balance of $2.2 million at December 31, 2012.  Additionally, receivables from Belmont Capital Group represented approximately 17% of net consolidated receivables at December 31, 2012. While the Company believes its relationships with such customers are stable, most arrangements are made by purchase order and are terminable at will by either party. A significant decrease or interruption in business from the Company’s significant customers could have a material adverse effect on the Company’s business, financial condition and results of operations.
 
Self-Insurance
 
The Company is self-insured up to certain stop loss limits for group health insurance. Accruals for claims incurred but not paid as of December 31, 2012 and 2011 are included in accrued expenses in the accompanying consolidated balance sheets. The Company’s policy is to accrue the employee health benefit accruals based on historical information along with certain assumptions about future events.
 
Litigation
 
The Company is involved, from time to time, in certain legal disputes in the ordinary course of business. No such disputes, individually or in the aggregate, are expected to have a material effect on its business or financial condition at December 31, 2012.
 
18.  Stock Repurchase Program
 
On December 22, 2011, the Company announced that its Board of Directors adopted a stock repurchase program authorizing the repurchase of up to $8 million of the Company’s outstanding common stock pursuant to a plan adopted under Rule 10b5-1 of the Securities Exchange Act of 1934 (as amended). On August 7, 2012, the Company announced that its Board discontinued the repurchase program prior to having repurchased the full amount of common stock originally authorized.
 
 
48

 
 
19.   Accumulated Other Comprehensive Income (Loss)
 
The following table summarizes the activity in the different components of Accumulated Other Comprehensive Income (loss) for the three years ended December 31, 2012.
 
   
Postretirement Benefit Obligation
   
Foreign Currency Translation
   
Total
 
   
(in thousands)
 
Accumulated other comprehensive income (loss) at December 31, 2009
  $ 111     $ (286 )   $ (175 )
Other comprehensive gain (loss)
    (31 )     546       515  
Accumulated other comprehensive income at December 31, 2010
    80       260       340  
Other comprehensive gain (loss)
    1       (397 )     (396 )
Accumulated other comprehensive income (loss) at December 31, 2011
    81       (137 )     (56 )
Other comprehensive gain (loss)
    (35 )     406       371  
Accumulated other comprehensive income at December 31, 2012
  $ 46     $ 269     $ 315  

20.   Business Segment Information
 
As of December 31, 2012, the Company’s operations were conducted principally through two business segments: Theatre and Lighting. Theatre operations include the sale and service of digital projection equipment, sound systems, xenon lamps, lenses and other accessories. The lighting segment operations include the design, assembly and sale of follow spotlights, stationary searchlights and computer operated lighting systems for the motion picture production, television, live entertainment, theme parks and architectural industries. The Company allocates resources to business segments and evaluates the performance of these segments based upon reported segment operating profit.  All significant intercompany sales are eliminated in consolidation.
 
Summary by Business Segments

   
Year ended December 31,
 
   
2012
   
2011
   
2010
 
   
(in thousands)
 
Net revenue
                 
Theatre
                 
Products
  $ 151,688     $ 167,017     $ 125,044  
Services
    14,591       14,157       7,882  
Total theatre
    166,279       181,174       132,926  
Lighting
    2,805       3,259       3,409  
Total revenue
  $ 169,084     $ 184,433     $ 136,335  
 
 
49

 
 
Summary by Business Segments
 
   
Year ended December 31,
 
   
2012
   
2011
   
2010
 
   
(in thousands)
 
Operating income (loss)
                 
Theatre
                 
Products
  $ 12,582     $ 20,394     $ 17,187  
Services
    2,116       2,430       612  
Total theatre
    14,698       22,824       17,799  
Lighting
    (227     165       40  
Total segment operating income
    14,471       22,989       17,839  
Unallocated general and administrative expenses
    (7,800 )     (7,817 )     (5,991 )
Gain on sale of assets
    1,332       11       150  
Income from operations      8,003        15,183        11,998  
Equity income (loss) of joint venture
    10       (189 )     582  
Other income (loss)
    137       71       (188 )
Income before income taxes
  $ 8,150     $ 15,065     $ 12,392  
                         
Expenditures on capital equipment:
                       
Theatre
                       
Products
  $ 1,437     $ 2,808     $ 6,193  
Services
    1,243       71       605  
Total theatre
  $ 2,680     $ 2,879       6,798  
Lighting
    48       7       14  
Total capital equipment expenditures
  $ 2,728     $ 2,886     $ 6,812  
                   
Depreciation, amortization and impairment:
                 
Theatre
                 
Products
  $ 1,066     $ 1,545     $ 1,249  
Services
    137       179       208  
Total theatre
    1,203       1,724       1,457  
Lighting
    65       33       33  
Total depreciation, amortization and impairment
  $ 1,268     $ 1,757     $ 1,490  
                         
Gain on disposal or transfer of long-lived assets:
                       
Theatre
                       
Products
  $ 1,245     $ 10     $ 138  
Services
    87       1       12  
Total theatre
    1,332       11       150  
Lighting
                 
Total gain on disposal or transfer of long-lived assets
  $ 1,332     $ 11     $ 150  

   
December 31,
 
   
2012
   
2011
 
   
(in thousands)
 
Identifiable assets
           
Theatre
           
Products
  $ 92,525     $ 107,016  
Services
    4,484       3,508  
Total theatre
    97,009       110,524  
Lighting
    2,537       2,932  
Total
  $ 99,546     $ 113,456  
 
 
50

 

Summary by Geographical Area
 
   
2012
   
2011
   
2010
 
   
(in thousands)
 
Net revenue
                 
United States
  $ 137,105     $ 143,353     $ 76,210  
China
    15,697       25,968       34,914  
South America
    7,250       4,485       10,073  
Canada
    3,883       2,376       4,448  
Asia (excluding China)
    2,341       3,453       1,678  
Mexico
    1,458       2,579       5,722  
Europe
    721       1,325       2,787  
Other
    629       894       503  
Total
  $ 169,084     $ 184,433     $ 136,335  

   
December 31
 
   
2012
   
2011
 
   
(in thousands)
 
Identifiable assets
           
United States
  $ 65,868     $ 80,885  
Canada
    21,092       17,671  
Asia (excluding China)
    7,337       6,963  
China
    5,249       7,937  
Total
  $ 99,546     $ 113,456  
 
Net revenues by business segment are to unaffiliated customers. Identifiable assets by geographical area are based on location of facilities. Net sales by geographical area are based on destination of sales.
 
21.  Quarterly Financial Data (Unaudited)
 
The following is a summary of the unaudited quarterly results of operations for 2012 and 2011.
 
   
2012
   
2011
 
   
First
Quarter
   
Second
Quarter
   
Third
Quarter
   
Fourth
Quarter
   
First
Quarter
   
Second
Quarter
   
Third
Quarter
   
Fourth
Quarter
 
   
(in thousands, except per share data)
 
Net revenue
  $ 44,019     $ 46,708     $ 39,260     $ 39,097     $ 31,874     $ 37,595     $ 63,437     $ 51,527  
Gross profit
    6,339       6,358       3,721       6,176       6,053       6,784       10,050       7,326  
Net earnings (loss)
    2,447       1,803       (268 )     1,560       1,517       2,476       4,739       1,615  
Basic and diluted earnings (loss) per share:
                                                               
Basic(1)
    0.17       0.13       (0.02 )     0.11       0.11       0.17       0.33       0.11  
Diluted(1)
    0.17       0.13       (0.02 )     0.11       0.11       0.17       0.33       0.11  
Stock price:
                                                               
High
    5.37       6.48       6.02       4.54       8.01       7.28       4.77       4.23  
Low
    4.06       5.26       4.03       3.09       6.18       4.69       3.08       2.76  
 

(1)  Earnings per share is computed independently for each of the quarters. Therefore, the sum of the quarterly earnings per share may not equal the total for the year.
 
22.  Subsequent Events (Unaudited)
 
There were no subsequent events following the balance sheet date for which accounting and disclosure in these financial statements is required.
 
 
51

 

Schedule II
 
Ballantyne Strong, Inc. and Subsidiaries
Valuation and Qualifying Accounts
(in thousands)
 
   
Balance at
beginning of
year
   
Charged to
costs and
expenses
   
Amounts
Written
off(1)
   
Foreign Exchange Translation
   
Balance at
end of
year
 
Allowance for doubtful accounts and notes:
                             
Year ended December 31, 2012
  $ 142     $ 626     $ (283 )   $ 2     $ 487  
Year ended December 31, 2011
    306       (14 )     (150 )           142  
Year ended December 31, 2010
    205       128       (27 )           306  
Inventory reserves:
                                       
Year ended December 31, 2012
  $ 2,542     $ (350 )   $ (942 )   $     $ 1,250  
Year ended December 31, 2011
    2,921       (216 )     (163 )           2,542  
Year ended December 31, 2010
    2,665       395       (139 )           2,921  
 

(1)  The deductions from reserves are net of recoveries.
 
 
52

 
 
Item 9.  Changes in and Disagreements with Accountants on Accounting and Financial Disclosure
 
None
 
Item 9A.  Controls and Procedures
 
1.  Evaluation of Disclosure Controls and Procedures
 
As of the end of the period covered by this report, the Company carried out an evaluation, under the supervision and with the participation of the Company’s management, including the Company’s Chief Executive Officer and Chief Financial Officer, of the effectiveness of the design and operation of the Company’s 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). Based upon that evaluation, the Company’s Chief Executive Officer and Chief Financial Officer concluded that the Company’s disclosure controls and procedures are effective.
 
2.  Internal Control over Financial Reporting
 
(a) Management’s Report on Internal Control over Financial Reporting
 
The Company’s management is responsible for establishing and maintaining adequate internal control over financial reporting as such term is defined in Securities Exchange Act Rule 13a-15(f). The Company carried out an evaluation under the supervision and with the participation of the Company’s management, including the Company’s Chief Executive Officer and Chief Financial Officer, of the effectiveness of the Company’s internal control over financial reporting. The Company’s management used the framework in Internal Control-Integrated Framework issued by the Committee of Sponsoring Organizations (COSO) to perform this evaluation. Based on that evaluation, the Company’s management concluded that the Company’s internal control over financial reporting was effective as of December 31, 2012.
 
The effectiveness of the Company’s internal control over financial reporting as of December 31, 2012 has been audited by KPMG LLP, an independent registered public accounting firm, as stated in their report, a copy of which is included in this Annual Report on Form 10-K.
 
 
53

 
 
(b) Report of Independent Registered Public Accounting Firm
 
Report of Independent Registered Public Accounting Firm
 
The Board of Directors and Stockholders
Ballantyne Strong, Inc.:
 
We have audited Ballantyne Strong, Inc. and subsidiaries’ (the Company) internal control over financial reporting as of December 31, 2012, based on criteria established in Internal Control – Integrated Framework issued by the Committee of Sponsoring Organizations of the Treadway Commission (COSO). The Company’s management is responsible for maintaining effective internal control over financial reporting and for its assessment of the effectiveness of internal control over financial reporting, included in the accompanying Management’s Report on Internal Control over Financial Reporting. Our responsibility is to express an opinion on the Company’s internal control over financial reporting based on our audit.
 
We conducted our audit in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audit to obtain reasonable assurance about whether effective internal control over financial reporting was maintained in all material respects. Our audit included obtaining an understanding of internal control over financial reporting, assessing the risk that a material weakness exists, and testing and evaluating the design and operating effectiveness of internal control based on the assessed risk. Our audit also included performing such other procedures as we considered necessary in the circumstances. We believe that our audit provides a reasonable basis for our opinion.
 
A company’s internal control over financial reporting is a process designed 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. A company’s internal control over financial reporting includes those policies and procedures that (1) pertain to the maintenance of records that, in reasonable detail, accurately and fairly reflect the transactions and dispositions of the assets of the company; (2) provide reasonable assurance that transactions are recorded as necessary to permit preparation of financial statements in accordance with generally accepted accounting principles, and that receipts and expenditures of the company are being made only in accordance with authorizations of management and directors of the company; and (3) provide reasonable assurance regarding prevention or timely detection of unauthorized acquisition, use, or disposition of the company’s assets that could have a material effect on the financial statements.
 
Because of its inherent limitations, internal control over financial reporting may not prevent or detect misstatements. Also, projections of any evaluation of effectiveness to future periods are subject to the risk that controls may become inadequate because of changes in conditions, or that the degree of compliance with the policies or procedures may deteriorate.
 
In our opinion, the Company maintained, in all material respects, effective internal control over financial reporting as of December 31, 2012, based on criteria established in Internal Control – Integrated Framework issued by the Committee of Sponsoring Organizations of the Treadway Commission.
 
We also have audited, in accordance with the standards of the Public Company Accounting Oversight Board (United States), the consolidated balance sheets of Ballantyne Strong, Inc. and subsidiaries as of December 31, 2012 and 2011, and the related consolidated statements of operations, comprehensive income, stockholders’ equity, and cash flows for each of the years in the three-year period ended December 31, 2012, and the related financial statement schedule and our report dated March 11, 2013 expressed an unqualified opinion on those consolidated financial statements and related financial statement schedule.
 
/s/ KPMG LLP
 
Omaha, Nebraska
March 11, 2013
 
 
54

 
 
Changes in Internal Control over Financial Reporting
 
Management, under the supervision and with the participation of our Chief Executive Officer and Chief Financial Officer, concluded that no changes in our internal control over financial reporting occurred during the quarter ended December 31, 2012 that have materially affected, or are reasonably likely to materially affect, our internal control over financial reporting.
 
Item 9B.  Other Information
 
None
 
PART III
 
Item 10.  Directors, Executive Officers and Corporate Governance
 
Incorporated by reference to the Ballantyne Strong, Inc. Proxy Statement for the Annual Meeting of Stockholders to be held May 9, 2013.
 
Item 11.  Executive Compensation
 
Incorporated by reference to the Ballantyne Strong, Inc. Proxy Statement for the Annual Meeting of Stockholders to be held May 9, 2013.
 
Item 12.  Security Ownership of Certain Beneficial Owners and Management and Related Stockholder Matters
 
Incorporated by reference to the Ballantyne Strong, Inc. Proxy Statement for the Annual Meeting of Stockholders to be held May 9, 2013.
 
Item 13.  Certain Relationships and Related Transactions, and Director Independence
 
Incorporated by reference to the Ballantyne Strong, Inc. Proxy Statement for the Annual Meeting of Stockholders to be held May 9, 2013.
 
Item 14.  Principal Accounting Fees and Services
 
Incorporated by reference to the Ballantyne Strong, Inc. Proxy Statement for the Annual Meeting of Stockholders to be held May 9, 2013.
 
PART IV
 
Item 15.  Exhibits, Financial Statement Schedules
 
a.
The following documents are filed as part of this report on Form 10-K:
 
 
1.
Consolidated Financial Statements:
 
An Index to the Consolidated Financial Statements is filed as a part of Item 8.
 
 
2.
Financial Statement Schedules:
 
Schedule II—Valuation and Qualifying Accounts for each of the three years ended December 31, 2012, 2011 and 2010.
 
Financial Statements of the Registrant’s subsidiaries are omitted because the Registrant is primarily an operating company and the subsidiaries are wholly owned.
 
 
3.
Exhibit list.
 
 
55

 
 
SIGNATURES
 
Pursuant to the requirements of Section 13 or 15(d) 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.
 
Ballantyne Strong, Inc.
     
       
By:
/s/ Gary L. Cavey
 
By:
/s/ Mary A. Carstens
 
Gary L. Cavey, President,
Chief Executive Officer and Director
   
Mary A. Carstens,
Chief Financial Officer
Date: March 11, 2013
 
Date: March 11, 2013
 
Pursuant to the requirements of the Securities Exchange Act of 1934, this report has been signed below by the following persons on behalf of the Registrant and in the capacities and on the dates indicated.
 
By:
/s/ William F. Welsh, II   (1)
 
 
William F. Welsh, II, Chairman
 
Date:
March 11, 2013
 
     
By:
/s/ JAMES C. SHAY   (1)
 
 
James C. Shay, Director
 
Date:
March 11, 2013
 
     
By:
/s/ Donde Plowman   (1)
 
 
Donde Plowman, Director
 
Date:
March 11, 2013
 
     
By:
/s/ Marc E. LeBaron   (1)
 
 
Marc E. LeBaron, Director
 
Date:
March 11, 2013
 
     
By:
/s/ Mark D. Hasebroock   (1)
 
 
Mark D. Hasebroock, Director
 
Date:
March 11, 2013
 
     
By:
/s/ Samuel C. Freitag   (1)
 
 
Samuel C. Freitag, Director
 
Date:
March 11, 2013
 
     
(1) By:
/s/ Mary A. Carstens
 
 
Mary A. Carstens, Attorney-In-Fact
 
Date:
March 11, 2013
 
 
 
56

 

EXHIBIT INDEX
 
       
Incorporated by Reference
   
Exhibit
Number
 
Document Description
 
Form
 
Exhibit
 
Filing
Date
 
Filed
Herewith
3.1
 
Certificate of Incorporation as amended
 
S-8
 
3.1
 
December 7, 2006
   
                     
3.1.1
 
First Amendment to the Certificate of Incorporation
 
S-8
 
3.1.1
 
December 7, 2006
   
                     
3.1.2
 
Second Amendment to the Certificate of Incorporation
 
S-8
 
3.1.2
 
December 7, 2006
   
                     
3.1.3
 
Third Amendment to the Certificate of Incorporation
 
S-8
 
3.1.3
 
December 7, 2006
   
                     
3.1.4
 
Fourth Amendment to the Certificate of Incorporation
 
10-Q
 
3.1.4
 
August 7, 2009
   
                     
3.2
 
Bylaws of the Company
 
S-8
 
3.2
 
December 7, 2006
   
                     
3.2.1
 
First Amendment to Bylaws of the Company
 
S-8
 
3.2.1
 
December 7, 2006
   
                     
3.2.2
 
Second Amendment to Bylaws of the Company
 
S-8
 
3.2.2
 
December 7, 2006
   
                     
3.2.3
 
Third Amendment to the Bylaws of the Company
 
S-8
 
3.2.3
 
December 7, 2006
   
                     
3.2.4
 
Fourth Amendment to the Bylaws of the Company
 
8-K
 
99.1
 
May 1, 2007
   
                     
4.1
 
Credit Agreement, dated June 30, 2010 between the Company and Wells Fargo, N.A.
 
8-K
 
4.1
 
July 7, 2010
   
                     
4.2
 
First Amendment to Credit Agreement, dated June 28, 2011, by and between the Company and Wells Fargo Bank, N.A
 
8-K
 
4.2
 
June 30, 2011
   
                     
4.3
 
Second Amendment to Credit Agreement, dated May 8, 2012, by and between the Company and Wells Fargo Bank, N.A.
 
8-K
 
4.3
 
May 11, 2012
   
                     
4.4
 
Revolving Line of Credit Note, dated May 8, 2012, by and between the Company and Wells Fargo Bank, N.A.
 
8-K
 
4.4
 
May 11, 2012
   
                     
10.1*
 
Ballantyne of Omaha, Inc. Restricted Stock Plan
 
Schedule 14A
 
Appendix D
 
April 26, 2005
   
                     
10.2*
 
Ballantyne of Omaha, Inc. 2005 Outside Directors’ Stock Option Plan
 
Schedule 14A
 
Appendix C
 
April 26, 2005
   
                     
10.3*
 
Ballantyne of Omaha, Inc. Non-Employee Directors Restricted Stock Plan
 
Schedule 14A
 
Appendix A
 
April 21, 2008
   
                     
10.4*
 
Ballantyne of Omaha, Inc. 2005 Employee Stock Purchase Plan
 
Schedule 14A
 
Appendix B
 
April 26, 2005
   
                     
10.5*
 
Amendment No. 4 to Executive Employment Agreement dated September 23, 2009 between the Company and Mr. John Wilmers
 
10-Q
 
10.5
 
May 14, 2010
   
                     
10.5.1*
 
Employment Agreement dated September 23, 2009 between the Company and Mr. John Wilmers
 
10-Q
 
10.5.1
 
May 14, 2010
   
                     
10.6*
 
2009 Short-Term Incentive Plan
 
10-Q
 
10.1
 
May 11, 2009
   
                     
10.8
 
Operating Agreement of Digital Link II, LLC, dated March 6, 2007, between the Company and RealD
 
10-K
 
10.8
 
April 2, 2007
   
                     
10.10
 
Authorized Digital Cinema Reseller Master Agreement dated January 21, 2010 between the Company and NEC Display Solutions of America, Inc.
 
10-K
 
10.10
 
March 23, 2010
   
                     
10.11
 
Definitive Agreement dated October 1, 2006 between the Company and NEC Viewtechnology Ltd.
 
10-Q
 
10.1
 
November 14, 2006
   
                     
10.16*
 
Ballantyne of Omaha, Inc. Non-Employee Directors’ Restricted Stock Plan dated March 31, 2008
 
Schedule 14A
 
Appendix A
 
April 21, 2008
   
                     
10.18*
 
Amendment No. 1 to the Ballantyne Strong, Inc. Non-Employee Directors Restricted Stock Plan dated May 21, 2009
 
10-K
 
10.18
 
March 23, 2010
   
                     
10.21*
 
Ballantyne Strong, Inc. 2010 Long Term Incentive Plan
 
Schedule 14A
 
Exhibit A
 
April 20, 2010
   
 
 
57

 
 
10.22*
 
Amendment No. 1 to the Ballantyne Strong, Inc. 2005 Employee Stock Purchase Plan
 
Schedule 14A
 
Exhibit B
 
April 20, 2010
   
                     
10.23*
 
Amendment No. 1 to the Ballantyne Strong, Inc. 2005 Restricted Stock Plan
 
Schedule 14A
 
Exhibit C
 
April 20, 2010
   
                     
10.24
 
Asset Purchase Agreement between the Company and Gestion Noram Inc. dated June 29, 2010
 
10-Q
 
10.4
 
August 12, 2010
   
                     
10.25*
 
Executive Employment Agreement between the Company and Gary L. Cavey dated November 1, 2010
 
10-Q
 
10.1
 
November 15, 2010
   
                     
10.26*
 
Executive Employment Agreement between the Company and Mary A. Carstens dated July 26, 2011
 
10-Q
 
10.26
 
November 9, 2011
   
                     
10.27*
 
Executive Employment Agreement between the Company and Ray F. Boegner dated February 14, 2012
 
10-Q
 
10.27
 
May 4, 2012
   
                     
21
 
Subsidiaries of the Registrant are as follows:
               
 
     
Name
   
Jurisdiction of
Incorporation
a.
Strong Westrex, Inc.
Nebraska
b.
Strong Technical Services, Inc.
Nebraska
c.
Strong/MDI Screen Systems, Inc.
Canada
d.
Strong Westrex (Beijing) Trading Inc.
China

23
 
Consent of KPMG LLP
             
X
24
 
The Power of Attorney authorizing Gary L. Cavey and/or Mary A. Carstens to sign the Annual Report on Form 10-K, and any amendments thereto, for fiscal 2012 on behalf of non-management directors
             
X
31.1
 
Rule 13a-14(a) Certification of Chief Executive Officer
             
X
31.2
 
Rule 13a-14(a) Certification of Chief Financial Officer
             
X
32.1
 
18 U.S.C. Section 1350 Certification of Chief Executive Officer
             
X
32.2
 
18 U.S.C. Section 1350 Certification of Chief Financial Officer
             
X
101
 
The following materials from Ballantyne Strong’s, Inc.’s Annual Report on Form 10-K for the year ended December 31, 2012, formatted in XBRL (Extensible Business Reporting Language): (i) the Consolidated Balance Sheets, (ii) the Consolidated Statements of Operations, (iii) the Consolidated Statements of Stockholders’ Equity and Comprehensive Income (loss), (iv) the Consolidated Statements of Cash Flows and (v) the Notes to Consolidated Financial Statements.
             
X
 

*
Management contract or compensatory plan.
 
58
EX-23 2 ex23.htm EXHIBIT 23 ex23.htm
Exhibit 23
 
 
Consent of Independent Registered Public Accounting Firm
 
The Board of Directors
Ballantyne Strong, Inc.:
 
We consent to the incorporation by reference in the registration statement (File Nos. 333-03849, 333-116739, 333-139177, 333-153408, and 333-169115) on Form S-8 of Ballantyne Strong, Inc. (the Company) of our reports dated March 11, 2013, with respect to the consolidated balance sheets of Ballantyne Strong, Inc. as of December 31, 2012 and 2011, and the related consolidated statements of operations, stockholders’ equity, cash flows, and comprehensive income for each of the years in the three-year period ended December 31, 2012, and the related financial statement schedule, and the effectiveness of internal control over financial reporting as of December 31, 2012, which reports appear in the December 31, 2012 annual report on Form 10-K of Ballantyne Strong, Inc..
 
/s/ KPMG LLP
 
Omaha, Nebraska
March 11, 2013
 

 

 

 

 

 

 

 

 

 

 

 

 

 

 
EX-24 3 ex24.htm EXHIBIT 24 ex24.htm
Exhibit 24
 
POWER OF ATTORNEY
 
The director of Ballantyne Strong, Inc. (the “Company”), whose signature appears below, hereby appoints Gary L. Cavey and Mary A. Carstens, or either of them, as his or her attorney to sign, in his name and behalf and in any and all capacities stated below, the Company’s Annual Report on Form 10-K pursuant to Section 13 of the Securities Exchange Act of 1934, and likewise to sign any and all amendments and other documents relating thereto as shall be necessary, such person hereby granting to each such attorney power to act with or without the other and full power of substitution and revocation, and hereby ratifying all that any such attorney or his substitute may do by virtue hereof.
 
This Power of Attorney has been signed by the following persons in the capacity indicated.
 
 
 /s/ William F. Welsh, II
 
William F. Welsh, II, Chairman
 
Date: March 7, 2013
 
   
 /s/ James C. Shay
 
James C. Shay, Director
 
Date: March 7, 2013
 
   
 /s/ Donde Plowman
 
Donde Plowman, Director
 
Date: March 7, 2013
 
   
 /s/ Marc E. LeBaron
 
Marc E. LeBaron, Director
 
Date: March 7, 2013
 
   
 /s/ Mark D. Hasebroock
 
Mark D. Hasebroock, Director
 
Date: March 7, 2013
 
   
 /s/ Samuel C. Freitag
 
Samuel C. Freitag, Director
 
Date: March 7, 2013
 

 

 

EX-31.1 4 ex31-1.htm EXHIBIT 31.1 ex31-1.htm
Exhibit 31.1
 
CERTIFICATION
 
I, Gary L. Cavey, certify that:
 
1.
I have reviewed this Annual Report on Form 10-K for the year ended December 31, 2012 of Ballantyne Strong, 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.
 
 
By:
/s/ Gary L. Cavey
   
Gary L. Cavey
President, Chief Executive Officer
     
March 11, 2013

 
EX-31.2 5 ex31-2.htm EXHIBIT 31.2 ex31-2.htm
Exhibit 31.2
 
CERTIFICATION
 
I, Mary A. Carstens, certify that:
 
1.
I have reviewed this Annual Report on Form 10-K for the year ended December 31, 2012 of Ballantyne Strong, 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.
 
 
By:
/s/ Mary A. Carstens
   
Mary A. Carstens
Chief Financial Officer
 
March 11, 2013
 
 
EX-32.1 6 ex32-1.htm EXHIBIT 32.1 ex32-1.htm
Exhibit 32.1
 
CERTIFICATION OF CHIEF EXECUTIVE OFFICER
Pursuant to 18 U.S.C. Section 1350, as adopted
Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002
 
The undersigned, Gary L. Cavey, Chief Executive Officer of Ballantyne Strong, Inc. (the “Company”), has executed this certification in connection with the filing with the Securities and Exchange Commission of the Company’s Annual Report on Form 10-K for the year ended December 31, 2012 (the “Report”).
 
The undersigned hereby certifies, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, to his knowledge that:
 
 
1.
The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and
 
 
2.
The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.
 
IN WITNESS WHEREOF, the undersigned has executed this certification as of the 11th day of March, 2013.
 
/s/ Gary L. Cavey
 
Gary L. Cavey
Chief Executive Officer
 
 
A signed original of this written statement required by Section 906 has been provided to Ballantyne Strong, Inc. and will be retained by Ballantyne Strong, Inc. and furnished to the Securities and Exchange Commission or its staff upon request.
 
 
EX-32.2 7 ex32-2.htm EXHIBIT 32.2 ex32-2.htm
Exhibit 32.2
 
CERTIFICATION OF CHIEF FINANCIAL OFFICER
Pursuant to 18 U.S.C. Section 1350, as adopted
Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002
 
The undersigned, Mary A. Carstens, Chief Financial Officer of Ballantyne Strong, Inc. (the “Company”), has executed this certification in connection with the filing with the Securities and Exchange Commission of the Company’s Annual Report on Form 10-K for the year ended December 31, 2012 (the “Report”).
 
The undersigned hereby certifies, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, to her knowledge that:
 
 
1.
The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and
 
 
2.
The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.
 
IN WITNESS WHEREOF, the undersigned has executed this certification as of the 11th day of March, 2013.
 

/s/ Mary A. Carstens
 
Mary A. Carstens
Chief Financial Officer
 
 
A signed original of this written statement required by Section 906 has been provided to Ballantyne Strong, Inc. and will be retained by Ballantyne Strong, Inc. and furnished to the Securities and Exchange Commission or its staff upon request.
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If an arrangement involves multiple deliverables, the items are considered separate units of accounting if the items have value on a stand-alone basis and there is objective and reliable evidence of their fair values. Revenues from the arrangement are allocated to the separate units of accounting based on their objectively determined fair value. For services, revenue is recognized when the services have been rendered. Revenues from service and support contracts is deferred and recognized as earned ratably over the service coverage periods. Unbilled revenue represents revenue recognized in accordance with the Company&#8217;s revenue recognition policy for which the invoice had not been processed and sent to the customer. 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Estimates used in the recognition of revenues and cost of revenues include, but are not limited to, estimates for product warranties, price allowances and product returns.</font> </div><br/><div style="TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="left"> <font style="FONT-STYLE: italic; DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Accounts and Notes Receivable</font> </div><br/><div style="TEXT-INDENT: 36pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="left"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Trade accounts receivable are recorded at the invoiced amount and do not bear interest. Amounts collected on trade accounts receivable are included in net cash provided by operating activities in the consolidated statements of cash flows. 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The Company estimates allowances for doubtful accounts based on the Company&#8217;s best estimates of the amount of probable credit losses pertaining to the notes receivables, based on ongoing monitoring of the counterparty&#8217;s financial position and results of operations.</font> </div><br/><div style="TEXT-INDENT: 36pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="left"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Changes in reserves for doubtful accounts are reflected in operating cash flows as an adjustment to net income. Past due accounts are written off for accounts and notes receivable when our efforts have been unsuccessful in collecting amounts due.</font> </div><br/><div style="TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="left"> <font style="FONT-STYLE: italic; DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Inventories</font> </div><br/><div style="TEXT-INDENT: 36pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="left"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Inventories are stated at the lower of cost (first-in, first-out) or market and include appropriate elements of material, labor and manufacturing overhead. Inventory balances are net of reserves of slow moving or obsolete inventory based on management&#8217;s review of inventories on hand compared to estimated future usage and sales, technological changes and product pricing.</font> </div><br/><div style="TEXT-INDENT: 36pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="left"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Digital and film projection equipment is provided to potential customers for consignment and demonstration purposes under customer use agreements. Revenues are subsequently recorded in accordance with the Company&#8217;s normal revenue recognition policies. Consignment inventory is reviewed for impairment by comparing the inventory to the estimated future usage and sales. Digital and lighting equipment on consignment amounted to approximately $0.06 million and $0.5&#160;million at December&#160;31, 2012 and 2011, respectively.</font> </div><br/><div style="TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="left"> <font style="FONT-STYLE: italic; DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Intangible Assets</font> </div><br/><div style="TEXT-INDENT: 36pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="left"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">The Company&#8217;s amortizable intangibles which are subject to recovery consist of trademarks, customer relationships and non-competition agreements. We evaluate our intangible assets for impairment when there is evidence that events or circumstances indicate that the carrying amount of these assets may not be recoverable. 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If an arrangement involves multiple deliverables, the items are considered separate units of accounting if the items have value on a stand-alone basis and there is objective and reliable evidence of their fair values. Revenues from the arrangement are allocated to the separate units of accounting based on their objectively determined fair value. For services, revenue is recognized when the services have been rendered. Revenues from service and support contracts is deferred and recognized as earned ratably over the service coverage periods. Unbilled revenue represents revenue recognized in accordance with the Company&#8217;s revenue recognition policy for which the invoice had not been processed and sent to the customer. Revenue is generally recognized upon shipment of the product, however, there are certain instances where revenue is deferred and recognized upon delivery or customer acceptance of the product as the Company legally retains the risk of loss on these transactions until such time. Estimates used in the recognition of revenues and cost of revenues include, but are not limited to, estimates for product warranties, price allowances and product returns.</font> </div><br/><div style="TEXT-INDENT: 36pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="left"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Costs related to revenues are recognized in the same period in which the specific revenues are recorded. Shipping and handling fees billed to customers are reported in revenue. Shipping and handling costs incurred by the Company are included in cost of sales. Estimates used in the recognition of revenues and cost of revenues include, but are not limited to, estimates for product warranties, price allowances and product returns.</font></div> <div style="TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="left"><font style="FONT-STYLE: italic; DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Accounts and Notes Receivable</font> </div><br/><div style="TEXT-INDENT: 36pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="left"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Trade accounts receivable are recorded at the invoiced amount and do not bear interest. Amounts collected on trade accounts receivable are included in net cash provided by operating activities in the consolidated statements of cash flows. 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Past due accounts are written off for accounts and notes receivable when our efforts have been unsuccessful in collecting amounts due.</font></div> 0.15 <div style="TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="left"><font style="FONT-STYLE: italic; DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Inventories</font> </div><br/><div style="TEXT-INDENT: 36pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="left"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Inventories are stated at the lower of cost (first-in, first-out) or market and include appropriate elements of material, labor and manufacturing overhead. 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Intangible assets with definite lives are amortized over their respective estimated useful lives to their estimated residual values. Significant judgments and assumptions are required in the impairment evaluations.</font></div> <div style="TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="left"><font style="FONT-STYLE: italic; DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Property, Plant and Equipment</font> </div><br/><div style="TEXT-INDENT: 36pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="left"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Significant expenditures for the replacement or expansion of property, plant and equipment are capitalized. Depreciation of property, plant and equipment is provided over the estimated useful lives of the respective assets using the straight-line method. For financial reporting purposes, assets are depreciated over the estimated useful lives of 20&#160;years for buildings and improvements, life of the related lease for leasehold improvements, 3 to 10&#160;years for machinery and equipment, 7&#160;years for furniture and fixtures and 3&#160;years for computers and accessories. The Company generally uses accelerated methods of depreciation for income tax purposes. The Company reviews long-lived assets for impairment whenever events or changes in circumstances indicate that the carrying amount of an asset may not be recoverable. The recoverability of property, plant and equipment is based on management&#8217;s estimates of future undiscounted cash flows and these estimates may vary due to a number of factors, some of which may be outside of management&#8217;s control. 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To the extent the Company is unable to sell the assets at or above the carrying amount, an impairment loss is recorded for the excess of the carrying amount over the fair value less costs to sell.</font></div> <div style="TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="left"><font style="FONT-STYLE: italic; DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Income Taxes</font> </div><br/><div style="TEXT-INDENT: 36pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="left"> <font style="DISPLAY: inline; FONT-FAMILY: Times New Roman; FONT-SIZE: 10pt">Income taxes are accounted for under the asset and liability method. The Company uses an estimate of its annual effective rate at each interim period based on the facts and circumstances at the time while the actual effective rate is calculated at year-end. Deferred tax assets and liabilities are recognized for the future tax consequences attributable to differences between the financial statement carrying amounts of existing assets and liabilities and their respective tax bases and operating loss and tax credit carry forwards. Deferred tax assets and liabilities are measured using enacted tax rates expected to apply to taxable income in the years in which those temporary differences are expected to be recovered or settled. The effect on deferred tax assets and liabilities of a change in tax rates is recognized in income in the period that includes the enactment date. 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DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 1.45pt" align="center"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">2011</font> </div> </td> <td nowrap="nowrap" valign="bottom" style="TEXT-ALIGN: left; PADDING-BOTTOM: 2px"> &#160; </td> </tr> <tr> <td valign="bottom"> &#160; </td> <td valign="bottom"> &#160; </td> <td colspan="6" valign="bottom"> <div style="TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 1.45pt" align="center"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">(in thousands)</font> </div> </td> <td nowrap="nowrap" valign="bottom" style="TEXT-ALIGN: left"> &#160; </td> </tr> <tr style="background-color: #C0FFFF;"> <td align="left" valign="bottom"> <div style="TEXT-INDENT: -18pt; DISPLAY: block; MARGIN-LEFT: 18pt; MARGIN-RIGHT: 0pt" align="left"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Reconciliation of benefit obligation</font> </div> </td> <td valign="bottom"> &#160; </td> <td colspan="2" valign="bottom"> &#160; </td> <td nowrap="nowrap" valign="bottom" style="TEXT-ALIGN: left"> &#160; </td> <td valign="bottom"> &#160; </td> <td colspan="2" valign="bottom"> &#160; </td> <td nowrap="nowrap" valign="bottom" style="TEXT-ALIGN: left"> &#160; </td> </tr> <tr> <td align="left" valign="bottom" width="66%" style="PADDING-LEFT: 0pt; MARGIN-LEFT: 9pt"> <div style="TEXT-INDENT: -18pt; DISPLAY: block; MARGIN-LEFT: 27pt; MARGIN-RIGHT: 0pt" align="left"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">Benefit obligation at January 1</font> </div> </td> <td align="right" valign="bottom" width="1%"> &#160; </td> <td valign="bottom" width="1%" style="TEXT-ALIGN: left"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">$</font> </td> <td valign="bottom" width="14%" style="TEXT-ALIGN: right"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">315</font> </td> <td nowrap="nowrap" valign="bottom" width="1%" style="TEXT-ALIGN: left"> &#160; 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PADDING-LEFT: 0pt; MARGIN-LEFT: 9pt"> <div style="TEXT-INDENT: -18pt; DISPLAY: block; MARGIN-LEFT: 27pt; MARGIN-RIGHT: 0pt" align="left"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">Benefit obligation at December 31</font> </div> </td> <td align="right" valign="bottom" width="1%" style="PADDING-BOTTOM: 2px"> &#160; </td> <td valign="bottom" width="1%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: left"> &#160; </td> <td valign="bottom" width="14%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: right"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">347</font> </td> <td nowrap="nowrap" valign="bottom" width="1%" style="TEXT-ALIGN: left; PADDING-BOTTOM: 2px"> &#160; </td> <td align="right" valign="bottom" width="1%" style="PADDING-BOTTOM: 2px"> &#160; </td> <td valign="bottom" width="1%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: left"> &#160; </td> <td valign="bottom" width="14%" style="BORDER-BOTTOM: black 2px solid; 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PADDING-BOTTOM: 2px"> &#160; </td> <td align="right" valign="bottom" width="1%" style="PADDING-BOTTOM: 2px"> &#160; </td> <td valign="bottom" width="1%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: left"> &#160; </td> <td valign="bottom" width="14%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: right"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">&#8212;</font> </td> <td nowrap="nowrap" valign="bottom" width="1%" style="TEXT-ALIGN: left; PADDING-BOTTOM: 2px"> &#160; </td> </tr> <tr style="background-color: #C0FFFF;"> <td align="left" valign="bottom" width="66%" style="PADDING-BOTTOM: 4px"> <div style="TEXT-INDENT: -18pt; DISPLAY: block; MARGIN-LEFT: 36pt; MARGIN-RIGHT: 0pt" align="left"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">Funded status at end of year</font> </div> </td> <td align="right" valign="bottom" width="1%" style="PADDING-BOTTOM: 4px"> &#160; </td> <td valign="bottom" width="1%" style="BORDER-BOTTOM: black 4px double; 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PADDING-LEFT: 0pt; MARGIN-LEFT: 9pt"> <div style="TEXT-INDENT: -18pt; DISPLAY: block; MARGIN-LEFT: 27pt; MARGIN-RIGHT: 0pt" align="left"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">Actuarial (gain) loss</font> </div> </td> <td align="right" valign="bottom" width="1%" style="PADDING-BOTTOM: 2px"> &#160; </td> <td valign="bottom" width="1%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: left"> &#160; </td> <td valign="bottom" width="14%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: right"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">32</font> </td> <td nowrap="nowrap" valign="bottom" width="1%" style="TEXT-ALIGN: left; PADDING-BOTTOM: 2px"> &#160; </td> <td align="right" valign="bottom" width="1%" style="PADDING-BOTTOM: 2px"> &#160; </td> <td valign="bottom" width="1%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: left"> &#160; </td> <td valign="bottom" width="14%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: right"> <font style="DISPLAY: inline; 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</td> <td valign="bottom" width="1%"> &#160; </td> <td valign="bottom" width="1%" style="TEXT-ALIGN: left"> &#160; </td> <td valign="bottom" width="14%" style="TEXT-ALIGN: right"> &#160; </td> <td nowrap="nowrap" valign="bottom" width="1%" style="TEXT-ALIGN: left"> &#160; </td> </tr> <tr style="background-color: #C0FFFF;"> <td align="left" valign="bottom" width="66%"> <div style="TEXT-INDENT: -18pt; DISPLAY: block; MARGIN-LEFT: 27pt; MARGIN-RIGHT: 0pt" align="left"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">Noncurrent assets</font> </div> </td> <td align="right" valign="bottom" width="1%"> &#160; </td> <td valign="bottom" width="1%" style="TEXT-ALIGN: left"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">$</font> </td> <td valign="bottom" width="14%" style="TEXT-ALIGN: right"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">&#8212;</font> </td> <td nowrap="nowrap" valign="bottom" width="1%" style="TEXT-ALIGN: left"> &#160; 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</td> <td valign="bottom" width="1%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: left"> &#160; </td> <td valign="bottom" width="12%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: right"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">(31</font> </td> <td nowrap="nowrap" valign="bottom" width="1%" style="TEXT-ALIGN: left; PADDING-BOTTOM: 2px"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">)</font> </td> <td align="right" valign="bottom" width="1%" style="PADDING-BOTTOM: 2px"> &#160; </td> <td valign="bottom" width="1%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: left"> &#160; </td> <td valign="bottom" width="12%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: right"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">546</font> </td> <td nowrap="nowrap" valign="bottom" width="1%" style="TEXT-ALIGN: left; PADDING-BOTTOM: 2px"> &#160; </td> <td align="right" valign="bottom" width="1%" style="PADDING-BOTTOM: 2px"> &#160; </td> <td valign="bottom" width="1%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: left"> &#160; </td> <td valign="bottom" width="12%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: right"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">515</font> </td> <td nowrap="nowrap" valign="bottom" width="1%" style="TEXT-ALIGN: left; PADDING-BOTTOM: 2px"> &#160; </td> </tr> <tr style="background-color: #C0FFFF;"> <td align="left" valign="bottom" width="55%"> <div style="TEXT-INDENT: -36pt; DISPLAY: block; MARGIN-LEFT: 36pt; MARGIN-RIGHT: 0pt" align="left"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">Accumulated other comprehensive income at</font> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">December 31, 2010</font> </div> </td> <td align="right" valign="bottom" width="1%"> &#160; </td> <td valign="bottom" width="1%" style="TEXT-ALIGN: left"> &#160; </td> <td valign="bottom" width="12%" style="TEXT-ALIGN: right"> <font style="DISPLAY: inline; 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FONT-SIZE: 10pt">(397</font> </td> <td nowrap="nowrap" valign="bottom" width="1%" style="TEXT-ALIGN: left; PADDING-BOTTOM: 2px"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">)</font> </td> <td align="right" valign="bottom" width="1%" style="PADDING-BOTTOM: 2px"> &#160; </td> <td valign="bottom" width="1%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: left"> &#160; </td> <td valign="bottom" width="12%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: right"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">(396</font> </td> <td nowrap="nowrap" valign="bottom" width="1%" style="TEXT-ALIGN: left; PADDING-BOTTOM: 2px"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">)</font> </td> </tr> <tr style="background-color: #C0FFFF;"> <td align="left" valign="bottom" width="55%"> <div style="TEXT-INDENT: -36pt; DISPLAY: block; MARGIN-LEFT: 36pt; MARGIN-RIGHT: 0pt" align="left"> <font style="DISPLAY: inline; 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FONT-SIZE: 10pt">)</font> </td> <td align="right" valign="bottom" width="1%"> &#160; </td> <td valign="bottom" width="1%" style="TEXT-ALIGN: left"> &#160; </td> <td valign="bottom" width="12%" style="TEXT-ALIGN: right"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">(56</font> </td> <td nowrap="nowrap" valign="bottom" width="1%" style="TEXT-ALIGN: left"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">)</font> </td> </tr> <tr> <td align="left" valign="bottom" width="55%" style="PADDING-BOTTOM: 2px; PADDING-LEFT: 0pt; MARGIN-LEFT: 9pt"> <div style="TEXT-INDENT: -36pt; DISPLAY: block; MARGIN-LEFT: 45pt; MARGIN-RIGHT: 0pt" align="left"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">Other comprehensive gain (loss)</font> </div> </td> <td align="right" valign="bottom" width="1%" style="PADDING-BOTTOM: 2px"> &#160; </td> <td valign="bottom" width="1%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: left"> &#160; </td> <td valign="bottom" width="12%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: right"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">(35</font> </td> <td nowrap="nowrap" valign="bottom" width="1%" style="TEXT-ALIGN: left; PADDING-BOTTOM: 2px"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">)</font> </td> <td align="right" valign="bottom" width="1%" style="PADDING-BOTTOM: 2px"> &#160; </td> <td valign="bottom" width="1%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: left"> &#160; </td> <td valign="bottom" width="12%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: right"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">406</font> </td> <td nowrap="nowrap" valign="bottom" width="1%" style="TEXT-ALIGN: left; PADDING-BOTTOM: 2px"> &#160; </td> <td align="right" valign="bottom" width="1%" style="PADDING-BOTTOM: 2px"> &#160; </td> <td valign="bottom" width="1%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: left"> &#160; </td> <td valign="bottom" width="12%" style="BORDER-BOTTOM: black 2px solid; TEXT-ALIGN: right"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">371</font> </td> <td nowrap="nowrap" valign="bottom" width="1%" style="TEXT-ALIGN: left; PADDING-BOTTOM: 2px"> &#160; </td> </tr> <tr style="background-color: #C0FFFF;"> <td align="left" valign="bottom" width="55%" style="PADDING-BOTTOM: 4px"> <div style="TEXT-INDENT: -36pt; DISPLAY: block; MARGIN-LEFT: 36pt; MARGIN-RIGHT: 0pt" align="left"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">Accumulated other comprehensive income at</font> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">December 31, 2012</font> </div> </td> <td align="right" valign="bottom" width="1%" style="PADDING-BOTTOM: 4px"> &#160; </td> <td valign="bottom" width="1%" style="BORDER-BOTTOM: black 4px double; TEXT-ALIGN: left"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">$</font> </td> <td valign="bottom" width="12%" style="BORDER-BOTTOM: black 4px double; TEXT-ALIGN: right"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">46</font> </td> <td nowrap="nowrap" valign="bottom" width="1%" style="TEXT-ALIGN: left; PADDING-BOTTOM: 4px"> &#160; </td> <td align="right" valign="bottom" width="1%" style="PADDING-BOTTOM: 4px"> &#160; </td> <td valign="bottom" width="1%" style="BORDER-BOTTOM: black 4px double; TEXT-ALIGN: left"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">$</font> </td> <td valign="bottom" width="12%" style="BORDER-BOTTOM: black 4px double; TEXT-ALIGN: right"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">269</font> </td> <td nowrap="nowrap" valign="bottom" width="1%" style="TEXT-ALIGN: left; PADDING-BOTTOM: 4px"> &#160; </td> <td align="right" valign="bottom" width="1%" style="PADDING-BOTTOM: 4px"> &#160; </td> <td valign="bottom" width="1%" style="BORDER-BOTTOM: black 4px double; TEXT-ALIGN: left"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">$</font> </td> <td valign="bottom" width="12%" style="BORDER-BOTTOM: black 4px double; TEXT-ALIGN: right"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">315</font> </td> <td nowrap="nowrap" valign="bottom" width="1%" style="TEXT-ALIGN: left; PADDING-BOTTOM: 4px"> &#160; </td> </tr> </table><br/> <table cellpadding="0" cellspacing="0" width="80%" style="FONT-FAMILY: times new roman; FONT-SIZE: 10pt; FONT-SIZE: 10pt; FONT-FAMILY: times new roman"> <tr> <td valign="bottom" style="PADDING-BOTTOM: 2px"> &#160; </td> <td valign="bottom" style="PADDING-BOTTOM: 2px"> &#160; </td> <td colspan="2" valign="bottom" style="BORDER-BOTTOM: black 2px solid"> <div style="TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="center"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Postretirement Benefit Obligation</font> </div> </td> <td nowrap="nowrap" valign="bottom" style="TEXT-ALIGN: left; PADDING-BOTTOM: 2px"> &#160; </td> <td valign="bottom" style="PADDING-BOTTOM: 2px"> &#160; </td> <td colspan="2" valign="bottom" style="BORDER-BOTTOM: black 2px solid"> <div style="TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="center"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Foreign Currency Translation</font> </div> </td> <td nowrap="nowrap" valign="bottom" style="TEXT-ALIGN: left; PADDING-BOTTOM: 2px"> &#160; </td> <td valign="bottom" style="PADDING-BOTTOM: 2px"> &#160; </td> <td colspan="2" valign="bottom" style="BORDER-BOTTOM: black 2px solid"> <div style="TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="center"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt; FONT-WEIGHT: bold">Total</font> </div> </td> <td nowrap="nowrap" valign="bottom" style="TEXT-ALIGN: left; PADDING-BOTTOM: 2px"> &#160; </td> </tr> <tr> <td valign="bottom"> &#160; </td> <td valign="bottom"> &#160; </td> <td colspan="10" valign="bottom"> <div style="TEXT-INDENT: 0pt; DISPLAY: block; MARGIN-LEFT: 0pt; MARGIN-RIGHT: 0pt" align="center"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">(in thousands)</font> </div> </td> <td nowrap="nowrap" valign="bottom" style="TEXT-ALIGN: left"> &#160; </td> </tr> <tr style="background-color: #C0FFFF;"> <td align="left" valign="bottom" width="55%"> <div style="TEXT-INDENT: -36pt; DISPLAY: block; MARGIN-LEFT: 36pt; MARGIN-RIGHT: 0pt" align="left"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">Accumulated other comprehensive income (loss) at</font> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">December 31, 2009</font> </div> </td> <td align="right" valign="bottom" width="1%"> &#160; </td> <td valign="bottom" width="1%" style="TEXT-ALIGN: left"> <font style="DISPLAY: inline; FONT-FAMILY: times new roman; FONT-SIZE: 10pt">$</font> </td> <td valign="bottom" width="12%" style="TEXT-ALIGN: right"> <font style="DISPLAY: inline; 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Note 10 - Income Taxes (Tables)
12 Months Ended
Dec. 31, 2012
Schedule of Income before Income Tax, Domestic and Foreign [Table Text Block]
   
2012
   
2011
   
2010
 
   
(in thousands)
 
United States
  $ 4,783     $ 7,351     $ 1,022  
Foreign
    3,367       7,714       11,370  
    $ 8,150     $ 15,065     $ 12,392  
Schedule of Components of Income Tax Expense (Benefit) [Table Text Block]
   
2012
   
2011
   
2010
 
   
(in thousands)
 
Federal:
                 
Current
  $ 1,257     $ 3,802     $ 544  
Deferred
    317       (1,338 )     233  
Total
    1,574     $ 2,464       777  
State:
                       
Current
    153       324       11  
Deferred
    29       (104 )     32  
Total
    182       220       43  
Foreign:
                       
Current
    1,118       1,814       3,151  
Deferred
    (266 )     220      
(13
)
Total
    852       2,034       3,138  
    $ 2,608     $ 4,718     $ 3,958  
Schedule of Effective Income Tax Rate Reconciliation [Table Text Block]
   
2012
   
2011
   
2010
 
   
Amount
   
%
   
Amount
   
%
   
Amount
   
%
 
   
(amounts in thousands)
 
Expected federal income tax expense
  $ 2,771       34.0     $ 5,122       34.0     $ 4,213       34.0  
State income taxes, net of federal benefit
    120       1.5       145       0.9       28       0.2  
Foreign tax rates varying from 34%
    (204 )     (2.5 )     (589 )     (3.9 )     (373 )     (3.0 )
Other
    (79 )     (1.0 )     40       0.3       90       0.7  
Total
  $ 2,608       32.0     $ 4,718       31.3     $ 3,958       31.9  
Schedule of Deferred Tax Assets and Liabilities [Table Text Block]
   
December 31
 
   
2012
   
2011
 
   
(in thousands)
 
Deferred tax assets:
     
Deferred revenue
  $ 1,462     $ 1,495  
Non-deductible accruals
    621       290  
Inventory reserves
    573       1,050  
Stock compensation expense
    243       49  
Warranty reserves
    220       102  
Uncollectible receivable reserves
    211       404  
Accrued group health insurance claims
    150       86  
Restructuring reserves
    32       337  
Net operating losses
          219  
Depreciation and amortization
    148       86  
     Net deferred tax assets
    3,660       4,118  
Deferred tax liabilities:
               
Depreciation and amortization
    578        
Equity in loss of joint venture
    2       914  
Other
          44  
     Net deferred tax liabilities
    580       958  
     Net deferred tax assets
  $ 3,080     $ 3,160  

XML 16 R54.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 3 - Digital Link II Joint Venture (Detail) (USD $)
1 Months Ended 3 Months Ended 9 Months Ended 12 Months Ended 3 Months Ended 6 Months Ended 12 Months Ended
Mar. 31, 2007
Sep. 30, 2012
Mar. 31, 2012
Sep. 30, 2010
Sep. 30, 2012
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Mar. 06, 2007
Sep. 30, 2011
Joint Venture II [Member]
Jun. 30, 2010
Joint Venture II [Member]
Dec. 31, 2012
Joint Venture II [Member]
Dec. 31, 2010
Joint Venture II [Member]
Number of Members of Joint Venture 2                        
Equity Method Investment, Ownership Percentage             44.40% 44.40% 44.40%        
Joint Venture Ownership Percentage by Partner in Venture                 55.60%        
Number of Tranche in Period           4              
Number of Weeks in Each Tranche of Period           13              
Length of Fiscal Year           52              
Income (Loss) from Equity Method Investments           $ 10,000 $ (189,000) $ 582,000       $ 10,000 $ 600,000
Sales to Equity Method Investee                         4,700,000
Revenue Recognized on Equity Method Investee Sales                       50,000 4,100,000
Equity Method Investee Gain on Sales                   800,000 2,800,000    
Proceeds from Equity Method Investment, Dividends or Distributions, Return of Capital   1,000,000 1,500,000 900,000   2,509,000   888,000          
Distributions From Equity Method Investment In Excess of Investment In Excess of Investment         $ 700,000                
XML 17 R48.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 2 - Summary of Significant Accounting Policies (Detail) (USD $)
In Millions, except Share data, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Time Sharing Transactions, Weighted Average of Stated Interest Rates for Notes Receivable 15.00%    
Other Inventory, Materials, Supplies and Merchandise under Consignment, Gross (in Dollars) $ 0.06 $ 0.50  
Research and Development Expense (in Dollars) 0.01 0.50 0.90
Advertising Expense (in Dollars) $ 0.7 $ 0.9 $ 0.8
Standard Product Warranty Description one    
Extended Product Warranty Description one    
Building and Building Improvements [Member]
     
Property, Plant and Equipment, Estimated Useful Lives 20    
Machinery and Equipment [Member] | Minimum [Member]
     
Property, Plant and Equipment, Estimated Useful Lives 3    
Machinery and Equipment [Member] | Maximum [Member]
     
Property, Plant and Equipment, Estimated Useful Lives 10    
Furniture and Fixtures [Member]
     
Property, Plant and Equipment, Estimated Useful Lives 7    
Computer Equipment [Member]
     
Property, Plant and Equipment, Estimated Useful Lives 3    
Stock Options [Member]
     
Antidilutive Securities Excluded from Computation of Earnings Per Share, Amount (in Shares) 189,025 52,200 50,000
XML 18 R70.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 10 - Income Taxes (Detail) - Income Tax Expense Attributable to Income (Loss) from Continuing Operations Reconciliation (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Expected federal income tax expense (in Dollars) $ 2,771 $ 5,122 $ 4,213
Expected federal income tax expense 34.00% 34.00% 34.00%
State income taxes, net of federal benefit (in Dollars) 120 145 28
State income taxes, net of federal benefit 1.50% 0.90% 0.20%
Foreign tax rates varying from 34% (in Dollars) (204) (589) (373)
Foreign tax rates varying from 34% (2.50%) (3.90%) (3.00%)
Other (in Dollars) (79) 40 90
Other (1.00%) 0.30% 0.70%
Total (in Dollars) $ 2,608 $ 4,718 $ 3,958
Total 32.00% 31.30% 31.90%
XML 19 R55.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 4 - Inventories (Detail) (USD $)
In Millions, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Inventory Valuation Reserves $ 1.3 $ 2.5
XML 20 R78.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 13 - Stock Compensation (Detail) - Stock Options Activities (USD $)
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Outstanding at December 31, 2011   52,200
Outstanding at December 31, 2011 (in Dollars per share)   $ 8.14
Outstanding at December 31, 2011 8 years 251 days 8 years 313 days
Outstanding at December 31, 2012 191,200  
Outstanding at December 31, 2012 (in Dollars per share) $ 5.64  
Outstanding at December 31, 2012 8 years 251 days 8 years 313 days
Exercisable at December 31, 2012 35,533  
Exercisable at December 31, 2012 (in Dollars per share) $ 8.06  
Exercisable at December 31, 2012 7 years 321 days  
Granted 139,000 2,200
Granted (in Dollars per share) $ 4.70  
XML 21 R104.htm IDEA: XBRL DOCUMENT v2.4.0.6
Schedule II (Detail) - Valuation and Qualifying Accounts (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Allowance for doubtful accounts and notes:      
Charged to costs and expenses $ 626 $ (14) $ 128
Inventory reserves:      
Balance 1,300 2,500  
Charged to costs and expenses 350 216 (395)
Beginning of Year [Member]
     
Allowance for doubtful accounts and notes:      
Balance 142 306 205
Inventory reserves:      
Balance 2,542 2,921 2,665
Charges [Member]
     
Allowance for doubtful accounts and notes:      
Charged to costs and expenses 626 (14) 128
Inventory reserves:      
Charged to costs and expenses (350) (216) 395
Write Offs [Member]
     
Allowance for doubtful accounts and notes:      
Amounts Written off (283) [1] (150) [1] (27) [1]
Inventory reserves:      
Amounts Written off (942) [1] (163) [1] (139) [1]
Foreign Exchange Translation [Member]
     
Allowance for doubtful accounts and notes:      
Foreign Exchange Translation 2    
End of Year [Member]
     
Allowance for doubtful accounts and notes:      
Balance 487 142 306
Inventory reserves:      
Balance $ 1,250 $ 2,542 $ 2,921
[1] The deductions from reserves are net of recoveries.
XML 22 R46.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 20 - Business Segment Information (Tables)
12 Months Ended
Dec. 31, 2012
Schedule of Segment Reporting Information, by Segment [Table Text Block]
   
Year ended December 31,
 
   
2012
   
2011
   
2010
 
   
(in thousands)
 
Net revenue
                 
Theatre
                 
Products
  $ 151,688     $ 167,017     $ 125,044  
Services
    14,591       14,157       7,882  
Total theatre
    166,279       181,174       132,926  
Lighting
    2,805       3,259       3,409  
Total revenue
  $ 169,084     $ 184,433     $ 136,335  
   
Year ended December 31,
 
   
2012
   
2011
   
2010
 
   
(in thousands)
 
Operating income (loss)
                 
Theatre
                 
Products
  $ 12,582     $ 20,394     $ 17,187  
Services
    2,116       2,430       612  
Total theatre
    14,698       22,824       17,799  
Lighting
    (227     165       40  
Total segment operating income
    14,471       22,989       17,839  
Unallocated general and administrative expenses
    (7,800 )     (7,817 )     (5,991 )
Gain on sale of assets
    1,332       11       150  
Income from operations      8,003        15,183        11,998  
Equity income (loss) of joint venture
    10       (189 )     582  
Other income (loss)
    137       71       (188 )
Income before income taxes
  $ 8,150     $ 15,065     $ 12,392  
                         
Expenditures on capital equipment:
                       
Theatre
                       
Products
  $ 1,437     $ 2,808     $ 6,193  
Services
    1,243       71       605  
Total theatre
  $ 2,680     $ 2,879       6,798  
Lighting
    48       7       14  
Total capital equipment expenditures
  $ 2,728     $ 2,886     $ 6,812  
                   
Depreciation, amortization and impairment:
                 
Theatre
                 
Products
  $ 1,066     $ 1,545     $ 1,249  
Services
    137       179       208  
Total theatre
    1,203       1,724       1,457  
Lighting
    65       33       33  
Total depreciation, amortization and impairment
  $ 1,268     $ 1,757     $ 1,490  
                         
Gain on disposal or transfer of long-lived assets:
                       
Theatre
                       
Products
  $ 1,245     $ 10     $ 138  
Services
    87       1       12  
Total theatre
    1,332       11       150  
Lighting
                 
Total gain on disposal or transfer of long-lived assets
  $ 1,332     $ 11     $ 150  
Reconciliation of Assets from Segment to Consolidated [Table Text Block]
   
December 31,
 
   
2012
   
2011
 
   
(in thousands)
 
Identifiable assets
           
Theatre
           
Products
  $ 92,525     $ 107,016  
Services
    4,484       3,508  
Total theatre
    97,009       110,524  
Lighting
    2,537       2,932  
Total
  $ 99,546     $ 113,456  
Schedule of Revenues From External Customers By Geographical Areas [Table Text Block]
   
2012
   
2011
   
2010
 
   
(in thousands)
 
Net revenue
                 
United States
  $ 137,105     $ 143,353     $ 76,210  
China
    15,697       25,968       34,914  
South America
    7,250       4,485       10,073  
Canada
    3,883       2,376       4,448  
Asia (excluding China)
    2,341       3,453       1,678  
Mexico
    1,458       2,579       5,722  
Europe
    721       1,325       2,787  
Other
    629       894       503  
Total
  $ 169,084     $ 184,433     $ 136,335  
Schedule Of Long Lived Assets By Geographica lAreas [Table Text Block]
   
December 31
 
   
2012
   
2011
 
   
(in thousands)
 
Identifiable assets
           
United States
  $ 65,868     $ 80,885  
Canada
    21,092       17,671  
Asia (excluding China)
    7,337       6,963  
China
    5,249       7,937  
Total
  $ 99,546     $ 113,456  
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Note 2 - Summary of Significant Accounting Policies (Tables)
12 Months Ended
Dec. 31, 2012
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis [Table Text Block]
   
Level 1
   
Level 2
   
Level 3
   
Total
 
   
(in thousands)
 
Cash and cash equivalents
 
$
40,168
   
$
   
$
   
$
40,168
 
Notes Receivable
 
$
   
$
   
$
2,232
   
$
2,232
 
   
Level 1
   
Level 2
   
Level 3
   
Total
 
   
( in thousands)
 
Cash and cash equivalents
 
$
39,889
   
$
   
$
   
$
39,889
 
Foreign currency forward contracts
 
$
   
$
4,723
   
$
   
$
4,723
 
Notes Receivable
 
$
   
$
   
$
2,062
   
$
2,062
 
Fair Value Inputs, Assets, Quantitative Information [Table Text Block]
   
Fair Value
 
Valuation Technique
 
Unobservable input
 
Range
 
   
(in thousands)
             
Notes Receivable
 
$
2,232
 
Discounted cash flow
 
Probability of Default
   
0
%
             
Prepayment rates
   
0
%
             
Loss severity
   
0
%
Fair Value, Assets Measured on Recurring Basis, Unobservable Input Reconciliation [Table Text Block]
   
2012
   
2011
 
   
(in thousands)
 
Notes Receivable balance, beginning of period
  $ 2,062     $  
Issuance of new notes
    170       2,062  
Notes Receivable balance, end of period
  $ 2,232     $ 2,062  
Schedule of Earnings Per Share, Basic and Diluted [Table Text Block]
   
2012
   
2011
   
2010
 
   
( in thousands, except per share amounts)
 
Basic earnings per share:
                 
Earnings applicable to common stock
  $ 5,542     $ 10,347     $ 8,434  
Weighted average common shares outstanding
    14,038       14,427       14,163  
Basic earnings per share
  $ 0.39     $ 0.72     $ 0.60  
                         
Diluted earnings per share:
                       
Earnings applicable to common stock
  $ 5,542     $ 10,347     $ 8,434  
Weighted average common shares outstanding
    14,038       14,427       14,163  
Assuming conversion of options and restricted stock awards outstanding
    77       58       208  
Weighted average common shares outstanding, as adjusted
    14,115       14,485       14,371  
Diluted earnings per share
  $ 0.39     $ 0.71     $ 0.59  
Schedule of Product Warranty Liability [Table Text Block]
    2012     2011     2011  
   
(in thousands)
 
Warranty accrual at beginning of period
  $ 1,028     $ 848     $ 378  
     Charged to expense
    416       546       841  
     Amounts written off, net of recoveries
    (688 )     (379 )     (378 )
     Foreign currency translation adjustment
    14       13       7  
Warranty accrual at end of period
  $ 770     $ 1,028     $ 848  

XML 25 R79.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 13 - Stock Compensation (Detail) - Information About Stock Options Outstanding and Exercisable (USD $)
12 Months Ended
Dec. 31, 2012
Dec. 31, 2010
(in Shares) 191,200 52,200
8 years 251 days  
$ 5.64  
(in Shares) 35,533  
7 years 321 days  
$ 8.06  
Minimum [Member]
   
$ 4.07  
Maximum [Member]
   
$ 8.32  
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Note 12 - Deferred Revenue (Detail)
Dec. 31, 2012
Extended Warranty, Deferred Revenue Recognition Period 5 years
XML 28 R89.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 15 - Compensation and Benefit Plans (Detail) - Weighted Average Assumptions to Determine Benefit Obligations
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Discount rate 3.60% 4.25% 5.25%
Health care cost trend rate 7.00% 8.00% 9.00%
XML 29 R57.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 5 - Property, Plant and Equipment (Detail) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Depreciation $ 1.0 $ 1.1 $ 0.9
XML 30 R76.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 13 - Stock Compensation (Detail) - Share-Based Compensation Expense (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 13, 2012
Dec. 13, 2011
Dec. 13, 2010
Share based compensation expense $ 393 $ 373 $ 381
XML 31 R86.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 15 - Compensation and Benefit Plans (Detail) - Accumulated Other Comprehensive Income (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Net actuarial gain $ (32) $ 9
Total accumulated other comprehensive income 46 81
Accumulated Other Comprehensive Income [Member]
   
Net actuarial gain $ 46 $ 81
XML 32 R81.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 14 - Foreign Exchange Contracts (Detail) (USD $)
In Millions, unless otherwise specified
Dec. 31, 2011
Derivative Asset, Fair Value, Amount Offset Against Current Liabilities $ 4.7
XML 33 R87.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 15 - Compensation and Benefit Plans (Detail) - Net Periodic Benefit Cost (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Interest cost $ 13 $ 14 $ 15
Amortization of gain (3) (9) (9)
Net periodic benefit cost recognized $ 10 $ 5 $ 6
XML 34 R77.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 13 - Stock Compensation (Detail) - Weighted Average Fair Value Assumptions Used In Grant Date Fair Value of Purchase Rights Outstanding (USD $)
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Options [Member]
     
Expected dividend yield at date of grant 0.00% 0.00% 0.00%
Risk-free interest rate 1.30% 1.09% 0.50%
Expected stock price volatility 57.00% 64.51% 67.30%
Expected term (in years) 6 years 4 years 6 years 6 months
Employe Stock Purchase Plan [Member]
     
Expected dividend yield at date of grant 0.00% 0.00% 0.00%
Risk-free interest rate 0.15% 0.12% 0.30%
Expected stock price volatility 15.90% 39.72% 56.94%
Expected term (in years) 1 year 1 year 1 year
Estimated grant date fair value (in Dollars per share) 0.88 1.81 4.04
XML 35 R71.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 10 - Income Taxes (Detail) - Deferred Tax Assets and Liabilities (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Deferred tax assets:    
Deferred revenue $ 1,462 $ 1,495
Non-deductible accruals 621 290
Inventory reserves 573 1,050
Stock compensation expense 243 49
Warranty reserves 220 102
Uncollectible receivable reserves 211 404
Accrued group health insurance claims 150 86
Restructuring reserves 32 337
Net operating losses   219
Depreciation and amortization 148 86
Net deferred tax assets 3,660 4,118
Deferred tax liabilities:    
Depreciation and amortization 578  
Equity in loss of joint venture 2 914
Other   44
Net deferred tax liabilities 580 958
Net deferred tax assets $ 3,080 $ 3,160
XML 36 R25.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 17 - Contingencies and Concentrations
12 Months Ended
Dec. 31, 2012
Commitments and Contingencies Disclosure [Text Block]
17.  Contingencies and Concentrations

Concentrations

The Company’s top ten customers accounted for approximately 47% of 2012 consolidated net revenues and were from the theatre segment. Trade accounts receivable from these customers represented approximately 36% of net consolidated receivables at December 31, 2012.  Sales to CDF2 Holdings represented approximately 12% of total 2012 sales and account receivable from CDF2 represented 5% of net consolidated receivables. The note receivable from CDF2 had an outstanding balance of $2.2 million at December 31, 2012.  Additionally, receivables from Belmont Capital Group represented approximately 17% of net consolidated receivables at December 31, 2012. While the Company believes its relationships with such customers are stable, most arrangements are made by purchase order and are terminable at will by either party. A significant decrease or interruption in business from the Company’s significant customers could have a material adverse effect on the Company’s business, financial condition and results of operations.

Self-Insurance

The Company is self-insured up to certain stop loss limits for group health insurance. Accruals for claims incurred but not paid as of December 31, 2012 and 2011 are included in accrued expenses in the accompanying consolidated balance sheets. The Company’s policy is to accrue the employee health benefit accruals based on historical information along with certain assumptions about future events.

Litigation

The Company is involved, from time to time, in certain legal disputes in the ordinary course of business. No such disputes, individually or in the aggregate, are expected to have a material effect on its business or financial condition at December 31, 2012.

XML 37 R50.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 2 - Summary of Significant Accounting Policies (Detail) - Quantitative Information About Company's Level 3 Fair Value Measurements (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2012
Prepayment rates [Member]
Unobservable Input [Member]
Dec. 31, 2012
Prepayment rates [Member]
Notes Receivable Range [Member]
Dec. 31, 2012
Loss severity [Member]
Unobservable Input [Member]
Dec. 31, 2012
Loss severity [Member]
Notes Receivable Range [Member]
Dec. 31, 2012
Discounted Cash Flow Valuation Technique [Member]
Dec. 31, 2012
Unobservable Input [Member]
Dec. 31, 2012
Notes Receivable Range [Member]
Notes Receivable Fair Value (in Dollars) $ 2,232 $ 2,062              
Notes Receivable Valuation Technique     Prepayment rates   Loss severity   Discounted cash flow Probability of Default  
Notes Receivable Unobservable input     Prepayment rates   Loss severity   Discounted cash flow Probability of Default  
Notes Receivable Range       0.00%   0.00%     0.00%
XML 38 R42.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 14 - Foreign Exchange Contracts (Tables)
12 Months Ended
Dec. 31, 2012
Schedule of Derivative Instruments in Statement of Financial Position, Fair Value [Table Text Block]
       
Asset Derivatives
 
(in thousands)
 
Classification
 
December 31,
2012
 
December 31,
2011
 
Foreign exchange forward contracts
 
Other current liabilities
  $   $ 4,723  
Schedule of Derivative Instruments, Gain (Loss) in Statement of Financial Performance [Table Text Block]
(in thousands)
 
Classification
 
2012
   
2011
   
2010
 
Foreign exchange forward contracts
 
Other Income (Loss)
  $ 145     $ (349 )   $ (49 )
XML 39 R75.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 13 - Stock Compensation (Detail) (USD $)
In Millions, except Share data, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Share-based Compensation Arrangement by Share-based Payment Award, Options, Grants in Period, Gross 139,000 2,200  
Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Grants in Period 28,210 20,959  
Share-based Compensation Arrangement by Share-based Payment Award, Expiration Term 10 years    
Share-based Compensation Arrangement by Share-based Payment Award, Options, Grants in Period, Weighted Average Grant Date Fair Value (in Dollars per share) $ 2.51 $ 2.00 $ 5.12
Share-based Compensation, Arrangement by Share-based Payment Award, Options, Nonvested Number 155,667    
Employee Service Share-based Compensation, Nonvested Awards, Total Compensation Cost Not yet Recognized, Stock Options (in Dollars) $ 0.4    
Share Based Compensation Nonvested Awards Total Cost Not Yet Recognized Share Based Awards Other Than Options (in Dollars) $ 0.3    
Restricted Stock [Member] | Management [Member]
     
Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Grants in Period, Weighted Average Grant Date Fair Value (in Dollars per share) $ 5.16 $ 6.92 $ 4.88
Restricted Stock [Member] | 2010 Plan [Member]
     
Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Grants in Period 56,000    
Restricted Stock [Member] | Non-Employee Plan [Member]
     
Share-based Goods and Nonemployee Services Transaction, Quantity of Securities Issued 28,200 12,600 10,200
Restricted Stock [Member] | Maximum [Member]
     
Share-based Goods and Nonemployee Services Transaction, Shares Approved for Issuance 250,000    
Restricted Stock [Member]
     
Share-based Compensation Arrangement by Share-based Payment Award, Number of Shares Authorized 250,000    
Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Grants in Period 112,410 33,559 51,230
Share Based Compensation Nonvested Awards Total Compensation Cost Not Yet Recognized Period For Recognition 2 years 146 days    
Share-based Compensation Arrangement by Share-based Payment Award, Equity Instruments Other than Options, Grants in Period, Weighted Average Grant Date Fair Value (in Dollars per share) $ 5.16    
Reserved [Member] | 2010 Plan [Member]
     
Share-based Compensation Arrangement by Share-based Payment Award, Number of Shares Available for Grant 405,000    
Stock Options [Member]
     
Share Based Compensation Nonvested Awards Total Compensation Cost Not Yet Recognized Period For Recognition 2 years 292 days    
Chief Executive Officer [Member]
     
Share-based Compensation Arrangement by Share-based Payment Award, Options, Grants in Period, Gross     50,000
Management [Member] | Minimum [Member]
     
Share-based Compensation Arrangement by Share-based Payment Award, Award Vesting Period 1 year    
Management [Member] | Maximum [Member]
     
Share-based Compensation Arrangement by Share-based Payment Award, Award Vesting Period 3 years    
2010 Plan [Member]
     
Share-based Compensation Arrangement by Share-based Payment Award, Number of Shares Authorized 600,000    
Share-based Compensation Arrangement by Share-based Payment Award, Options, Grants in Period, Gross 139,000    
Share-based Compensation Arrangement by Share-based Payment Award, Award Vesting Period 4 years    
Restricted Stock Plan 2005 [Member]
     
Share-based Compensation Arrangement by Share-based Payment Award, Number of Shares Available for Grant 41,310    
Non-Employee Plan [Member]
     
Share-based Compensation Arrangement by Share-based Payment Award, Number of Shares Available for Grant 148,876    
Employe Stock Purchase Plan [Member]
     
Share-based Compensation Arrangement by Share-based Payment Award, Number of Shares Available for Grant   65,753  
Share-based Compensation Arrangement by Share-based Payment Award, Discount from Market Price, Offering Date   85.00%  
Payroll Deduction Maximum   10.00%  
Shares Allowable to Purchase   2,000  
XML 40 R97.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 19 - Accumulated Other Comprehensive Income (Loss) (Detail) - Accumulated Other Comprehensive Income Loss (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Accumulated other comprehensive income (loss) at January 1 $ (56) $ 340 $ (175)
Accumulated other comprehensive income (loss) at December 31 315 (56) 340
Other comprehensive gain (loss) 371 (396) 515
Postretirement Benefit Obligation [Member]
     
Accumulated other comprehensive income (loss) at January 1 81 80 111
Accumulated other comprehensive income (loss) at December 31 46 81 80
Other comprehensive gain (loss) (35) 1 (31)
Foreign Currency Translation [Member]
     
Accumulated other comprehensive income (loss) at January 1 (137) 260 (286)
Accumulated other comprehensive income (loss) at December 31 269 (137) 260
Other comprehensive gain (loss) $ 406 $ (397) $ 546
XML 41 R37.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 7 - Intangible Assets (Tables)
12 Months Ended
Dec. 31, 2012
Schedule of Finite-Lived Intangible Assets [Table Text Block]
   
Useful life
   
Gross
   
Accumulated
amortization
   
Net
 
   
(Years)
   
( in thousands)
 
Intangible assets subject to amortization:
                           
Customer relationships
  4 - 9     $ 1,720     $ (1,615 )   $ 105  
Trademarks
    3         239       (239 )      
Non-competition agreement
  3 - 5       155       (155 )      
Total
            $ 2,114     $ (2,009 )   $ 105  
   
Useful life
   
Gross
   
Accumulated
amortization
   
Net
 
   
(Years)
   
( in thousands)
 
Intangible assets subject to amortization:
                           
Customer relationships
  4 - 9     $ 1,720     $ (1,476 )   $ 244  
Trademarks
    3         239       (222 )     17  
Non-competition agreement
  3 - 5       155       (154 )     1  
Total
            $ 2,114     $ (1,852 )   $ 262  
Schedule of Finite-Lived Intangible Assets, Future Amortization Expense [Table Text Block]
   
Amount
 
   
(in thousands)
 
2013
  $ 43  
2014
    43  
2015
    19  
XML 42 R52.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 2 - Summary of Significant Accounting Policies (Detail) - Basic and Diluted Earnings Per Share (USD $)
In Thousands, except Per Share data, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Earnings applicable to common stock (in Dollars) $ 5,542 $ 10,347 $ 8,434
Weighted average common shares outstanding 14,038 14,427 14,163
Assuming conversion of options and restricted stock awards outstanding 77 58 208
Weighted average common shares outstanding, as adjusted 14,115 14,485 14,371
Diluted earnings per share (in Dollars per share) $ 0.39 $ 0.71 $ 0.59
Basic earnings per share (in Dollars per share) $ 0.39 $ 0.72 $ 0.60
XML 43 R67.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 10 - Income Taxes (Detail) (USD $)
In Millions, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Undistributed Earnings of Foreign Subsidiaries $ 20.6  
Unrecognized Tax Benefits $ 0.2 $ 0.2
XML 44 R61.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 6 - Corporate-Wide Strategic Initiative (Detail) - Summary of the Assets Held For Sale (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2011
Assets Held For Sale $ 1,810
Land and Building [Member]
 
Assets Held For Sale 1,696
Machinery and Equipment [Member]
 
Assets Held For Sale $ 114
XML 45 R47.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 21 - Quarterly Financial Data (Tables)
12 Months Ended
Dec. 31, 2012
Schedule of Quarterly Financial Information [Table Text Block]
   
2012
   
2011
 
   
First
Quarter
   
Second
Quarter
   
Third
Quarter
   
Fourth
Quarter
   
First
Quarter
   
Second
Quarter
   
Third
Quarter
   
Fourth
Quarter
 
   
(in thousands, except per share data)
 
Net revenue
  $ 44,019     $ 46,708     $ 39,260     $ 39,097     $ 31,874     $ 37,595     $ 63,437     $ 51,527  
Gross profit
    6,339       6,358       3,721       6,176       6,053       6,784       10,050       7,326  
Net earnings (loss)
    2,447       1,803       (268 )     1,560       1,517       2,476       4,739       1,615  
Basic and diluted earnings (loss) per share:
                                                               
Basic(1)
    0.17       0.13       (0.02 )     0.11       0.11       0.17       0.33       0.11  
Diluted(1)
    0.17       0.13       (0.02 )     0.11       0.11       0.17       0.33       0.11  
Stock price:
                                                               
High
    5.37       6.48       6.02       4.54       8.01       7.28       4.77       4.23  
Low
    4.06       5.26       4.03       3.09       6.18       4.69       3.08       2.76  
XML 46 R9.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 1 - Nature of Operations
12 Months Ended
Dec. 31, 2012
Nature of Operations [Text Block]
1.  Basis of Presentation

Business Description

Ballantyne Strong, Inc. (“Ballantyne” or the “Company”), a Delaware corporation, and its wholly owned subsidiaries Strong Westrex, Inc., Strong Technical Services, Inc., Strong/MDI Screen Systems, Inc., and Strong Westrex (Beijing) Trading Inc., manufacture, distribute, integrate and service theatre and lighting systems on a worldwide basis.

The Company’s products are distributed to movie exhibition companies, sports arenas, auditoriums, amusement parks and special venues.

Principles of Consolidation

The consolidated financial statements include the accounts of the Company and all majority owned and controlled domestic and foreign subsidiaries. All significant intercompany balances and transactions have been eliminated in consolidation.

Use of Management Estimates

The preparation of consolidated financial statements in conformity with U.S. generally accepted accounting principles 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 consolidated financial statements and the reported amounts of revenues and expenses during the reporting period. Actual results and changes in facts and circumstances may alter such estimates and affect results of operations and financial position in future periods.

Reclassifications

Certain amounts in the accompanying consolidated financial statements and notes thereto have been reclassified to conform to the 2012 presentation.

XML 47 R62.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 7 - Intangible Assets (Detail) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Amortization $ 0.2 $ 0.4 $ 0.4
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Note 15 - Compensation and Benefit Plans (Tables)
12 Months Ended
Dec. 31, 2012
Schedule of Net Funded Status [Table Text Block]
   
2012
   
2011
 
   
(in thousands)
 
Reconciliation of benefit obligation
           
Benefit obligation at January 1
  $ 315     $ 318  
Interest cost
    13       14  
Benefits paid
    (17 )     (10 )
Contributions by plan participants
    4       2  
Actuarial (gain) loss
    32       (9 )
Benefit obligation at December 31
    347       315  
Fair value of plan assets at December 31
           
Funded status at end of year
  $ (347 )   $ (315 )
Amounts recognized in the balance sheet consist of:
               
Noncurrent assets
  $     $  
Current liabilities
    (19 )     (17 )
Noncurrent liabilities
    (328 )     (300 )
Accumulated other comprehensive income
    (46 )     (81 )
Net amount recognized
  $ (393 )   $ (398 )
Schedule of Accumulated Other Comprehensive Income (Loss) [Table Text Block]
   
2012
   
2011
 
   
(in thousands)
 
Net actuarial gain
  $ 46     $ 81  
Total accumulated other comprehensive income
  $ 46     $ 81  
Schedule of Net Benefit Costs [Table Text Block]
   
2012
   
2011
   
2010
 
   
(in thousands)
 
Interest cost
  $ 13     $ 14     $ 15  
Amortization of gain
    (3 )     (9 )     (9 )) )
Net periodic benefit cost recognized
  $ 10     $ 5     $ 6  
Schedule of Changes in Projected Benefit Obligations [Table Text Block]
   
2012
   
2011
   
2010
 
   
(in thousands)
 
Net actuarial gain (loss)
  $ (32 )   $ 10     $ (21 )
Amortization of (gain) loss
    (3 )     (9 )     (9 )
Total recognized in accumulated other comprehensive income (loss)
  $ (35 )   $ 1     $ (30 )
Total recognized in net periodic benefit cost and accumulated other comprehensive income
  $ 45     $ 4     $ (25 )
Schedule of Effect of One-Percentage-Point Change in Assumed Health Care Cost Trend Rates [Table Text Block]
   
1% Increase
   
1% Decrease
 
   
( in thousands)
 
Effect on total service and interest cost components of periodic postretirement health care benefit cost
  $ 2     $ (1 )
Effect on the health care component of the accumulated postretirement benefit obligation
  $ 42     $ (38 )
Schedule of Expected Benefit Payments [Table Text Block]
   
2013
   
2014
   
2015
   
2016
   
2017
    2018-2021  
   
(in thousands)
 
Benefits expected to be paid
  $ 19     $ 20     $ 21     $ 22     $ 23     $ 85  
Benefit Obligation [Member]
 
Schedule of Assumptions Used [Table Text Block]
   
December 31,
 
   
2012
   
2011
   
2010
 
Discount rate
    3.60 %     4.25 %     5.25 %
Rate of compensation increase
    N/A       N/A       N/A  
Health care cost trend rate
    7.0 %     8.0 %     9.0 %
Net Periodic Postretirement Benefit Cost [Member]
 
Schedule of Assumptions Used [Table Text Block]
   
2012
   
2011
   
2010
 
Discount rate
    4.25 %     5.25 %     5.75 %
Expected long-term rate of return on plan assets
    N/A       N/A       N/A  
Rate of compensation increase
    N/A       N/A       N/A  
Health care cost trend rate
    8.0 %     9.0 %     9.0 %

XML 50 R29.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 21 - Quarterly Financial Data
12 Months Ended
Dec. 31, 2012
Quarterly Financial Information [Text Block]
21.  Quarterly Financial Data (Unaudited)

The following is a summary of the unaudited quarterly results of operations for 2012 and 2011.

   
2012
   
2011
 
   
First
Quarter
   
Second
Quarter
   
Third
Quarter
   
Fourth
Quarter
   
First
Quarter
   
Second
Quarter
   
Third
Quarter
   
Fourth
Quarter
 
   
(in thousands, except per share data)
 
Net revenue
  $ 44,019     $ 46,708     $ 39,260     $ 39,097     $ 31,874     $ 37,595     $ 63,437     $ 51,527  
Gross profit
    6,339       6,358       3,721       6,176       6,053       6,784       10,050       7,326  
Net earnings (loss)
    2,447       1,803       (268 )     1,560       1,517       2,476       4,739       1,615  
Basic and diluted earnings (loss) per share:
                                                               
Basic(1)
    0.17       0.13       (0.02 )     0.11       0.11       0.17       0.33       0.11  
Diluted(1)
    0.17       0.13       (0.02 )     0.11       0.11       0.17       0.33       0.11  
Stock price:
                                                               
High
    5.37       6.48       6.02       4.54       8.01       7.28       4.77       4.23  
Low
    4.06       5.26       4.03       3.09       6.18       4.69       3.08       2.76  

(1)  Earnings per share is computed independently for each of the quarters. Therefore, the sum of the quarterly earnings per share may not equal the total for the year.

XML 51 R28.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 20 - Business Segment Information
12 Months Ended
Dec. 31, 2012
Segment Reporting Disclosure [Text Block]
20.   Business Segment Information

As of December 31, 2012, the Company’s operations were conducted principally through two business segments: Theatre and Lighting. Theatre operations include the sale and service of digital projection equipment, sound systems, xenon lamps, lenses and other accessories. The lighting segment operations include the design, assembly and sale of follow spotlights, stationary searchlights and computer operated lighting systems for the motion picture production, television, live entertainment, theme parks and architectural industries. The Company allocates resources to business segments and evaluates the performance of these segments based upon reported segment operating profit.  All significant intercompany sales are eliminated in consolidation.

Summary by Business Segments

   
Year ended December 31,
 
   
2012
   
2011
   
2010
 
   
(in thousands)
 
Net revenue
                 
Theatre
                 
Products
  $ 151,688     $ 167,017     $ 125,044  
Services
    14,591       14,157       7,882  
Total theatre
    166,279       181,174       132,926  
Lighting
    2,805       3,259       3,409  
Total revenue
  $ 169,084     $ 184,433     $ 136,335  

Summary by Business Segments

   
Year ended December 31,
 
   
2012
   
2011
   
2010
 
   
(in thousands)
 
Operating income (loss)
                 
Theatre
                 
Products
  $ 12,582     $ 20,394     $ 17,187  
Services
    2,116       2,430       612  
Total theatre
    14,698       22,824       17,799  
Lighting
    (227     165       40  
Total segment operating income
    14,471       22,989       17,839  
Unallocated general and administrative expenses
    (7,800 )     (7,817 )     (5,991 )
Gain on sale of assets
    1,332       11       150  
Income from operations      8,003        15,183        11,998  
Equity income (loss) of joint venture
    10       (189 )     582  
Other income (loss)
    137       71       (188 )
Income before income taxes
  $ 8,150     $ 15,065     $ 12,392  
                         
Expenditures on capital equipment:
                       
Theatre
                       
Products
  $ 1,437     $ 2,808     $ 6,193  
Services
    1,243       71       605  
Total theatre
  $ 2,680     $ 2,879       6,798  
Lighting
    48       7       14  
Total capital equipment expenditures
  $ 2,728     $ 2,886     $ 6,812  
                   
Depreciation, amortization and impairment:
                 
Theatre
                 
Products
  $ 1,066     $ 1,545     $ 1,249  
Services
    137       179       208  
Total theatre
    1,203       1,724       1,457  
Lighting
    65       33       33  
Total depreciation, amortization and impairment
  $ 1,268     $ 1,757     $ 1,490  
                         
Gain on disposal or transfer of long-lived assets:
                       
Theatre
                       
Products
  $ 1,245     $ 10     $ 138  
Services
    87       1       12  
Total theatre
    1,332       11       150  
Lighting
                 
Total gain on disposal or transfer of long-lived assets
  $ 1,332     $ 11     $ 150  

   
December 31,
 
   
2012
   
2011
 
   
(in thousands)
 
Identifiable assets
           
Theatre
           
Products
  $ 92,525     $ 107,016  
Services
    4,484       3,508  
Total theatre
    97,009       110,524  
Lighting
    2,537       2,932  
Total
  $ 99,546     $ 113,456  

Summary by Geographical Area

   
2012
   
2011
   
2010
 
   
(in thousands)
 
Net revenue
                 
United States
  $ 137,105     $ 143,353     $ 76,210  
China
    15,697       25,968       34,914  
South America
    7,250       4,485       10,073  
Canada
    3,883       2,376       4,448  
Asia (excluding China)
    2,341       3,453       1,678  
Mexico
    1,458       2,579       5,722  
Europe
    721       1,325       2,787  
Other
    629       894       503  
Total
  $ 169,084     $ 184,433     $ 136,335  

   
December 31
 
   
2012
   
2011
 
   
(in thousands)
 
Identifiable assets
           
United States
  $ 65,868     $ 80,885  
Canada
    21,092       17,671  
Asia (excluding China)
    7,337       6,963  
China
    5,249       7,937  
Total
  $ 99,546     $ 113,456  

Net revenues by business segment are to unaffiliated customers. Identifiable assets by geographical area are based on location of facilities. Net sales by geographical area are based on destination of sales.

XML 52 R100.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 20 - Business Segment Information (Detail) - Summary of Identifiable Assets By Business Segment (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Identifiable assets    
Identifiable assets $ 99,546 $ 113,456
Theatre [Member] | Products [Member]
   
Identifiable assets    
Identifiable assets 92,525 107,016
Theatre [Member] | Services [Member]
   
Identifiable assets    
Identifiable assets 4,484 3,508
Theatre [Member]
   
Identifiable assets    
Identifiable assets 97,009 110,524
Lighting [Member]
   
Identifiable assets    
Identifiable assets $ 2,537 $ 2,932
XML 53 R56.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 4 - Inventories (Detail) - Inventories (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Raw materials and components $ 3,247 $ 5,270
Work in process 1,018 301
Finished goods 6,706 9,349
$ 10,971 $ 14,920
XML 54 R44.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 16 - Leases (Tables)
12 Months Ended
Dec. 31, 2012
Schedule of Future Minimum Rental Payments for Operating Leases [Table Text Block]
   
Total
   
2013
   
2014
   
2015
   
2016
   
2017
   
Thereafter
 
   
(in thousands)
 
Operating lease payments due
  $ 4,052     $ 503     $ 524     $ 342     $ 353     $ 359     $ 1,971  
XML 55 R30.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 22 - Subsequent Events
12 Months Ended
Dec. 31, 2012
Subsequent Events [Text Block]
22.  Subsequent Events (Unaudited)

There were no subsequent events following the balance sheet date for which accounting and disclosure in these financial statements is required.

XML 56 R31.htm IDEA: XBRL DOCUMENT v2.4.0.6
Schedule II
12 Months Ended
Dec. 31, 2012
Schedule of Valuation and Qualifying Accounts Disclosure [Text Block]
Schedule II

Ballantyne Strong, Inc. and Subsidiaries

Valuation and Qualifying Accounts

(in thousands)

   
Balance at
beginning of
year
   
Charged to
costs and
expenses
   
Amounts
Written
off(1)
   
Foreign Exchange Translation
   
Balance at
end of
year
 
Allowance for doubtful accounts and notes:
                             
Year ended December 31, 2012
  $ 142     $ 626     $ (283 )   $ 2     $ 487  
Year ended December 31, 2011
    306       (14 )     (150 )           142  
Year ended December 31, 2010
    205       128       (27 )           306  
Inventory reserves:
                                       
Year ended December 31, 2012
  $ 2,542     $ (350 )   $ (942 )   $     $ 1,250  
Year ended December 31, 2011
    2,921       (216 )     (163 )           2,542  
Year ended December 31, 2010
    2,665       395       (139 )           2,921  

(1)  The deductions from reserves are net of recoveries.

XML 57 R8.htm IDEA: XBRL DOCUMENT v2.4.0.6
Consolidated Statements of Cash Flows (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Cash flows from operating activities:      
Net earnings $ 5,542 $ 10,347 $ 8,434
Adjustments to reconcile net earnings to net cash provided by operating activities:      
Provision for doubtful accounts 626 (14) 128
Provision for obsolete inventory (350) (216) 395
Provision for warranty 538 418 844
Depreciation and amortization 1,268 1,757 1,490
Equity in (income) loss of joint venture (10) 189 (582)
(Gain) loss on forward contracts (145) 306 106
(Gain) loss on disposal or transfer of assets (1,332) (11) (150)
Deferred income taxes 71 (1,211) 242
Share-based compensation expense 393 373 381
Excess tax benefits from share-based arrangements   (359) (156)
Changes in operating assets and liabilities:      
Accounts, unbilled and notes receivable 6,402 (12,009) (12,436)
Inventories 4,265 13,684 (15,656)
Other current assets 2,605 (2,761) (2,112)
Accounts payable (15,534) 1,418 20,774
Accrued expenses 572 197 (843)
Customer deposits/deferred revenue (88) 5,774 548
Current income taxes (5,382) 2,133 2,239
Other assets 130 37 (3)
Net cash (used in) provided by operating activities (429) 20,052 3,643
Cash flows from investing activities:      
Distribution from joint venture 2,509   888
Decrease in restricted investments     239
Capital expenditures (2,541) (2,886) (6,812)
Proceeds from sales of assets 3,334 88 26
Net cash provided by (used in) investing activities 3,302 (2,798) (5,659)
Cash flows from financing activities:      
Purchase of treasury stock (2,756)    
Proceeds from employee stock purchase plan 8 25 36
Proceeds from exercise of stock options   178 359
Excess tax benefits from share-based arrangements 2 359 156
Net cash (used in) provided by financing activities (2,746) 562 551
Effect of exchange rate changes on cash and cash equivalents 152 (177) 126
Net increase (decrease) in cash and cash equivalents 279 17,639 (1,339)
Cash and cash equivalents at beginning of year 39,889 22,250 23,589
Cash and cash equivalents at end of year 40,168 39,889 22,250
Supplemental disclosure of cash paid for:      
Interest 22 36 16
Income Taxes 4,469 4,233 3,117
Supplemental disclosure of non-cash activities:      
Common stock exchanged for stock options   $ 100  
XML 58 R32.htm IDEA: XBRL DOCUMENT v2.4.0.6
Accounting Policies, by Policy (Policies)
12 Months Ended
Dec. 31, 2012
Consolidation, Policy [Policy Text Block]
Principles of Consolidation

The consolidated financial statements include the accounts of the Company and all majority owned and controlled domestic and foreign subsidiaries. All significant intercompany balances and transactions have been eliminated in consolidation.
Use of Estimates, Policy [Policy Text Block]
Use of Management Estimates

The preparation of consolidated financial statements in conformity with U.S. generally accepted accounting principles 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 consolidated financial statements and the reported amounts of revenues and expenses during the reporting period. Actual results and changes in facts and circumstances may alter such estimates and affect results of operations and financial position in future periods.
Reclassification, Policy [Policy Text Block]
Reclassifications

Certain amounts in the accompanying consolidated financial statements and notes thereto have been reclassified to conform to the 2012 presentation.
Revenue Recognition, Policy [Policy Text Block]
Revenue Recognition

The Company recognizes revenue when all of the following circumstances are satisfied:

•           Persuasive evidence of an arrangement exists

•           Delivery has occurred or services have been rendered

•           The seller’s price to the buyer is fixed or determinable

•           Collectability is reasonably assured

The Company recognizes revenue when these criteria have been met and when title and risk of loss transfers to the customer. If an arrangement involves multiple deliverables, the items are considered separate units of accounting if the items have value on a stand-alone basis and there is objective and reliable evidence of their fair values. Revenues from the arrangement are allocated to the separate units of accounting based on their objectively determined fair value. For services, revenue is recognized when the services have been rendered. Revenues from service and support contracts is deferred and recognized as earned ratably over the service coverage periods. Unbilled revenue represents revenue recognized in accordance with the Company’s revenue recognition policy for which the invoice had not been processed and sent to the customer. Revenue is generally recognized upon shipment of the product, however, there are certain instances where revenue is deferred and recognized upon delivery or customer acceptance of the product as the Company legally retains the risk of loss on these transactions until such time. Estimates used in the recognition of revenues and cost of revenues include, but are not limited to, estimates for product warranties, price allowances and product returns.

Costs related to revenues are recognized in the same period in which the specific revenues are recorded. Shipping and handling fees billed to customers are reported in revenue. Shipping and handling costs incurred by the Company are included in cost of sales. Estimates used in the recognition of revenues and cost of revenues include, but are not limited to, estimates for product warranties, price allowances and product returns.
Receivables, Policy [Policy Text Block]
Accounts and Notes Receivable

Trade accounts receivable are recorded at the invoiced amount and do not bear interest. Amounts collected on trade accounts receivable are included in net cash provided by operating activities in the consolidated statements of cash flows. The Company determines the allowance for doubtful accounts based on several factors including overall customer credit quality, historical write-off experience and a specific analysis that projects the ultimate collectability of the account. As such, these factors may change over time causing the reserve level to adjust accordingly.

Notes receivables are recorded at estimated fair value at December 31, 2012 and accrue interest at 15%. The Company estimates allowances for doubtful accounts based on the Company’s best estimates of the amount of probable credit losses pertaining to the notes receivables, based on ongoing monitoring of the counterparty’s financial position and results of operations.

Changes in reserves for doubtful accounts are reflected in operating cash flows as an adjustment to net income. Past due accounts are written off for accounts and notes receivable when our efforts have been unsuccessful in collecting amounts due.
Inventory, Policy [Policy Text Block]
Inventories

Inventories are stated at the lower of cost (first-in, first-out) or market and include appropriate elements of material, labor and manufacturing overhead. Inventory balances are net of reserves of slow moving or obsolete inventory based on management’s review of inventories on hand compared to estimated future usage and sales, technological changes and product pricing.

Digital and film projection equipment is provided to potential customers for consignment and demonstration purposes under customer use agreements. Revenues are subsequently recorded in accordance with the Company’s normal revenue recognition policies. Consignment inventory is reviewed for impairment by comparing the inventory to the estimated future usage and sales. Digital and lighting equipment on consignment amounted to approximately $0.06 million and $0.5 million at December 31, 2012 and 2011, respectively.
Goodwill and Intangible Assets, Policy [Policy Text Block]
Intangible Assets

The Company’s amortizable intangibles which are subject to recovery consist of trademarks, customer relationships and non-competition agreements. We evaluate our intangible assets for impairment when there is evidence that events or circumstances indicate that the carrying amount of these assets may not be recoverable. Intangible assets with definite lives are amortized over their respective estimated useful lives to their estimated residual values. Significant judgments and assumptions are required in the impairment evaluations.
Property, Plant and Equipment, Policy [Policy Text Block]
Property, Plant and Equipment

Significant expenditures for the replacement or expansion of property, plant and equipment are capitalized. Depreciation of property, plant and equipment is provided over the estimated useful lives of the respective assets using the straight-line method. For financial reporting purposes, assets are depreciated over the estimated useful lives of 20 years for buildings and improvements, life of the related lease for leasehold improvements, 3 to 10 years for machinery and equipment, 7 years for furniture and fixtures and 3 years for computers and accessories. The Company generally uses accelerated methods of depreciation for income tax purposes. The Company reviews long-lived assets for impairment whenever events or changes in circumstances indicate that the carrying amount of an asset may not be recoverable. The recoverability of property, plant and equipment is based on management’s estimates of future undiscounted cash flows and these estimates may vary due to a number of factors, some of which may be outside of management’s control. To the extent that the Company is unable to achieve management’s forecasts of future income, it may become necessary to record impairment losses for any excess of the net book value of property, plant and equipment over their fair value.

The Company incurs maintenance costs on all of its major equipment. Repair and maintenance costs are expensed as incurred.
Assets Held For Sale [Policy Text Block]
Assets Held For Sale

The Company classifies certain assets as held for sale. Upon classification as held for sale, the asset is measured at the lower of the carrying amount or fair value less costs to sell, and depreciation ceases. To the extent the Company is unable to sell the assets at or above the carrying amount, an impairment loss is recorded for the excess of the carrying amount over the fair value less costs to sell.
Income Tax, Policy [Policy Text Block]
Income Taxes

Income taxes are accounted for under the asset and liability method. The Company uses an estimate of its annual effective rate at each interim period based on the facts and circumstances at the time while the actual effective rate is calculated at year-end. Deferred tax assets and liabilities are recognized for the future tax consequences attributable to differences between the financial statement carrying amounts of existing assets and liabilities and their respective tax bases and operating loss and tax credit carry forwards. Deferred tax assets and liabilities are measured using enacted tax rates expected to apply to taxable income in the years in which those temporary differences are expected to be recovered or settled. The effect on deferred tax assets and liabilities of a change in tax rates is recognized in income in the period that includes the enactment date. In assessing whether the deferred tax assets are realizable management considers whether it is more likely than not that some portion or all of the deferred tax assets will not be realized.

The Company’s uncertain tax positions are evaluated in a two-step process, whereby 1) the Company determines whether it is more likely than not that the tax positions will be sustained based on the technical merits of the position and 2) for those tax positions that meet the more likely than not recognition threshold, the Company would recognize the largest amount of tax benefit that is greater than fifty percent likely to be realized upon ultimate settlement with the related tax authority.  The Company accrues interest and penalties related to uncertain tax positions in the statements of income as income tax expense.
Other Taxes [Policy Text Block]
Other Taxes

Sales taxes assessed by governmental authorities including sales, use, and excise taxes are on a net basis and therefore the presentation of these taxes is excluded from revenues and is shown as a liability on the balance sheet until remitted to the appropriate taxing authorities.
Research, Development, and Computer Software, Policy [Policy Text Block]
Research and Development

Research and development related costs are charged to operations in the period incurred. Such costs amounted to approximately $0.01 million, $0.5 million and $0.9 million for the years ended December 31, 2012, 2011 and 2010, respectively.
Advertising Costs, Policy [Policy Text Block]
Advertising Costs

Advertising and promotional costs are expensed as incurred and amounted to approximately $0.7 million, $0.9 million and $0.8 million for the years ended December 31, 2012, 2011 and 2010, respectively.
Fair Value of Financial Instruments, Policy [Policy Text Block]
Fair Value of Financial and Derivative Instruments

The Company follows the Financial Accounting Standards Board (FASB) issued authoritative guidance, which defines fair value, establishes a framework for measuring fair value, and expands disclosures about fair value measurements. As defined in the FASB guidance, fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date.

The FASB guidance establishes a three-level hierarchy for fair value measurements based upon the transparency of inputs to the valuation of an asset or liability as of the measurement date. Inputs refers broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk. The categorization within the valuation hierarchy is based upon the lowest level of input that is significant to the fair value measurement. Financial assets and liabilities carried at fair value will be classified and disclosed in one of the following three categories:

●    Level 1 — inputs to the valuation techniques are quoted prices in active markets for identical assets or liabilities

●    Level 2 — inputs to the valuation techniques are other than quoted prices but are observable for the assets or liabilities, either directly or indirectly

    Level 3 — inputs to the valuation techniques are unobservable for the assets or liabilities

The following tables present the Company's financial assets and liabilities measured at fair value based upon the level within the fair value hierarchy in which the fair value measurements fall, as of December 31, 2012 and 2011.

Fair Values Measured on a Recurring Basis at December 31, 2012:

   
Level 1
   
Level 2
   
Level 3
   
Total
 
   
(in thousands)
 
Cash and cash equivalents
 
$
40,168
   
$
   
$
   
$
40,168
 
Notes Receivable
 
$
   
$
   
$
2,232
   
$
2,232
 

Fair Values Measured on a Recurring Basis at December 31, 2011:

   
Level 1
   
Level 2
   
Level 3
   
Total
 
   
( in thousands)
 
Cash and cash equivalents
 
$
39,889
   
$
   
$
   
$
39,889
 
Foreign currency forward contracts
 
$
   
$
4,723
   
$
   
$
4,723
 
Notes Receivable
 
$
   
$
   
$
2,062
   
$
2,062
 

Quantitative information about the Company's level 3 fair value measurements at December 31, 2012 is set forth below:

   
Fair Value
 
Valuation Technique
 
Unobservable input
 
Range
 
   
(in thousands)
             
Notes Receivable
 
$
2,232
 
Discounted cash flow
 
Probability of Default
   
0
%
             
Prepayment rates
   
0
%
             
Loss severity
   
0
%

The significant unobservable inputs used in the fair value measurement of the Company's notes receivable are prepayment rates, probability of default and loss severity in the event of default.  Significant increases (decreases) in any of these inputs in isolation would result in a significantly lower (higher) fair value measurement.  Generally, a change in the assumption used for the probability of default is accompanied by a directionally similar change in the assumption used for the loss severity and directionally opposite change in the assumption used for prepayment rates. 

 The following table reconciles the beginning and ending balance of the Company's Notes Receivable fair value:

   
2012
   
2011
 
   
(in thousands)
 
Notes Receivable balance, beginning of period
  $ 2,062     $  
Issuance of new notes
    170       2,062  
Notes Receivable balance, end of period
  $ 2,232     $ 2,062  

The fair value of the foreign currency forward exchange contracts is measured based on the total amount of currency to be purchased and forward exchange rates as of the period end. See footnote 14 for additional information on the Company's foreign exchange contracts.

 The carrying values of all other financial assets and liabilities including accounts receivable, accounts payable and accrued expenses reported in the consolidated balance sheets equal or approximate their fair values due to the short-term nature of these instruments.  All non-financial assets that are not recognized or disclosed at fair value in the financial statements on a recurring basis, which includes non-financial long-lived assets, are measured at fair value in certain circumstances (for example, when there is evidence of impairment).  During 2012 we did not have any significant non-recurring measurements of nonfinancial assets or liabilities.

The carrying values of all other financial assets and liabilities including accounts receivable, accounts payable and accrued expenses reported in the consolidated balance sheets equal or approximate their fair values due to the short-term nature of these instruments.
Cash and Cash Equivalents, Policy [Policy Text Block]
Cash and Cash Equivalents

All short-term, highly liquid financial instruments are classified as cash equivalents in the consolidated balance sheets and statements of cash flows. Generally, these instruments have maturities of three months or less from date of purchase.
Earnings Per Share, Policy [Policy Text Block]
Earnings Per Common Share

Basic earnings per share have been computed on the basis of the weighted average number of shares of common stock outstanding. Diluted earnings per share has been computed on the basis of the weighted average number of shares of common stock outstanding after giving effect to potential common shares from dilutive stock options and certain non-vested shares of restricted stock. The following table provides reconciliation between basic and diluted earnings per share:

   
2012
   
2011
   
2010
 
   
( in thousands, except per share amounts)
 
Basic earnings per share:
                 
Earnings applicable to common stock
  $ 5,542     $ 10,347     $ 8,434  
Weighted average common shares outstanding
    14,038       14,427       14,163  
Basic earnings per share
  $ 0.39     $ 0.72     $ 0.60  
                         
Diluted earnings per share:
                       
Earnings applicable to common stock
  $ 5,542     $ 10,347     $ 8,434  
Weighted average common shares outstanding
    14,038       14,427       14,163  
Assuming conversion of options and restricted stock awards outstanding
    77       58       208  
Weighted average common shares outstanding, as adjusted
    14,115       14,485       14,371  
Diluted earnings per share
  $ 0.39     $ 0.71     $ 0.59  

 Options to purchase 189,025, 52,200 and 50,000 shares of common stock were outstanding as of December 31, 2012, 2011 and 2010, respectively, but were not included in the computation of diluted earnings per shares as the option’s exercise price was greater than the average market price of the common shares for the respective periods.
Share-based Compensation, Option and Incentive Plans Policy [Policy Text Block]
Stock Compensation Plans

The Company recognizes compensation expense for all share-based payment awards made to employees and directors based on estimated values on the date of grant. The Company uses the straight-line amortization method over the vesting period of the awards. The Company has historically issued shares upon exercise of stock options or vesting of restricted stock from new stock issuances. The Company estimates the fair value of restricted stock awards based upon the market price of the underlying common stock on the date of grant. The fair value of stock options granted and shares issued under the employee stock purchase plan is calculated using the Black-Scholes option pricing model. No share-based compensation cost was capitalized as a part of inventory as of December 31, 2012 and 2011.
Pension and Other Postretirement Plans, Policy [Policy Text Block]
Post-Retirement Benefits

The Company recognizes the overfunded or underfunded position of a defined benefit postretirement plan as an asset or liability in the balance sheet, measures the plan’s assets and its obligations that determine its funded status as of December 31, and recognizes the changes in the funded status through comprehensive income in the year in which the changes occur.
Foreign Currency Transactions and Translations Policy [Policy Text Block]
Foreign Currency Translation

For foreign subsidiaries, the environment in which the business conducts operations is considered the functional currency, generally the local currency. The assets and liabilities of foreign subsidiaries are translated into the United States dollar at the foreign exchange rates in effect at the end of the period. Revenue and expenses of foreign subsidiaries are translated using an average of the foreign exchange rates in effect during the period. Translation adjustments are not included in determining net earnings but are presented in comprehensive income within the consolidated statements of comprehensive income. Transaction gains and losses that arise from foreign exchange rate fluctuations on transactions denominated in a currency other than the functional currency are included in the statements of operations as incurred.  Since the undistributed earnings of the Company’s foreign subsidiaries are considered to be indefinitely reinvested, the components of accumulated other comprehensive income (loss) have not been tax effected.
Guarantees, Indemnifications and Warranties Policies [Policy Text Block]
Warranty Reserves

Historically, the Company has generally granted a warranty to its customers for a one-year period following the sale of manufactured film projection equipment and on selected repaired equipment for a one-year period.  In most instances, the digital products are covered by the manufacturing firm's OEM warranty; however, there are certain customers where the Company may grant warranties in excess of the manufacturer's warranty for digital products.  The Company accrues for these costs at the time of sale or repair.  The following table summarizes warranty activity for the three years ended December 31, 2012.

    2012     2011     2011  
   
(in thousands)
 
Warranty accrual at beginning of period
  $ 1,028     $ 848     $ 378  
     Charged to expense
    416       546       841  
     Amounts written off, net of recoveries
    (688 )     (379 )     (378 )
     Foreign currency translation adjustment
    14       13       7  
Warranty accrual at end of period
  $ 770     $ 1,028     $ 848
Commitments and Contingencies, Policy [Policy Text Block]
Contingencies

The Company accrues for contingencies when its assessments indicate that it is probable that a liability has been incurred and an amount can be reasonably estimated. The Company’s estimates are based on currently available facts and its estimates of the ultimate outcome or resolution. Actual results may differ from the Company’s estimates resulting in an impact, positive or negative, on earnings.
New Accounting Pronouncements, Policy [Policy Text Block]
Current-Year Adoption of Accounting Pronouncements

In June 2011, the FASB issued Accounting Standards Update (ASU) No. 2011-05, Presentation of Comprehensive Income, which amends ASC 220, Comprehensive Income, by requiring all non-owner changes in shareholders' equity be presented either in a single continuous statement of comprehensive income or in two separate but consecutive statements. The guidance was effective retrospectively for fiscal years and interim periods within those years beginning after December 15, 2011. In December 2011, the FASB issued ASU No. 2011-12, Deferral of the Effective Date for Amendments to the Presentation of Reclassifications of Items Out of Accumulated Other Comprehensive Income in Accounting Standards Update No. 2011-05, which defers certain portions of ASU No. 2011-05 indefinitely and will be further deliberated by the FASB at a future date. The Company adopted the requirements of ASU 2011-05 by presenting a single Condensed Consolidated Statement of Comprehensive Income immediately following the Statement of Income.  There was no other impact on the Company's condensed consolidated financial statements.

In May 2011, the FASB issued ASU No. 2011-04, Fair Value Measurement (Topic 820): Amendments to Achieve Common Fair Value Measurement and Disclosure Requirements in U.S. GAAP and IFRSs.  This update is intended to develop common fair value measurement and disclosure requirements and improve understandability.  The Company prospectively adopted the requirements of ASU 2011-04 with expanded disclosures related to its fair value measurements.  This update did not have a material effect on the condensed consolidated financial statements.
Description of New Accounting Pronouncements Not yet Adopted [Text Block]
Recently Issued Accounting Pronouncements

There are no recently issued accounting pronouncements which the Company believes will materially impact its consolidated financial statements.
XML 59 R83.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 14 - Foreign Exchange Contracts (Detail) - Realized and Unrealized Gains From Foreign Currency Forward Exchange Contracts (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Foreign exchange forward contracts Other Income (Loss)    
Foreign exchange forward contracts $ 145 $ (349) $ (49)
XML 60 R40.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 12 - Deferred Revenue (Tables)
12 Months Ended
Dec. 31, 2012
Deferred Revenue, by Arrangement, Disclosure [Table Text Block]
   
December 31,
2012
   
December 31,
2011
 
   
(in thousands)
 
Extended warranty deferrals expected to be recognized within one year
  $ 221     $ 74  
Extended warranty deferrals expected to be recognized after one year
    3,347       3,568  
Total revenue deferred for extended warranty
  $ 3,568     $ 3,642  
XML 61 R53.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 2 - Summary of Significant Accounting Policies (Detail) - Warranty Activity (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Warranty accrual $ 1,028 $ 848 $ 378
Charged to expense 416 546 841
Amounts written off, net of recoveries (688) (379) (378)
Foreign currency translation adjustment 14 13 7
Warranty accrual $ 770 $ 1,028 $ 848
XML 62 R72.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 11 - Note Receivable (Detail)
12 Months Ended
Dec. 31, 2012
Debt Instrument, Interest Rate During Period 15.00%
Unpaid Interest Accrual Rate [Member]
 
Debt Instrument, Interest Rate During Period 15.00%
XML 63 R2.htm IDEA: XBRL DOCUMENT v2.4.0.6
Consolidated Balance Sheets (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Current assets:    
Cash and cash equivalents $ 40,168 $ 39,889
Accounts receivable (less allowance for doubtful accounts of $487 in 2012 and $142 in 2011) 26,227 30,579
Unbilled revenue   2,586
Inventories, net 10,971 14,920
Recoverable income taxes 2,069 793
Deferred income taxes 1,724 1,961
Other current assets 2,948 5,692
Total current assets 84,107 96,420
Investment in joint venture   1,849
Property, plant and equipment, net 11,105 9,419
Property held for sale   1,810
Intangible assets, net 105 262
Notes receivable 2,232 2,062
Deferred income taxes 1,936 1,596
Other assets 61 38
Total assets 99,546 113,456
Current liabilities:    
Accounts payable 16,646 31,924
Accrued expenses 5,313 4,820
Customer deposits/deferred revenue 5,251 5,037
Income tax payable   4,135
Total current liabilities 27,210 45,916
Deferred revenue 3,302 3,569
Deferred income taxes 580 397
Other accrued expenses, net of current portion 1,538 351
Total liabilities 32,630 50,233
Stockholders’ equity:    
Common stock, par value $.01 per share; Authorized 25,000 shares; issued 16,782 and 16,667 shares at December 31, 2012 and December 31, 2011, respectively; 14,051 and 14,512 shares outstanding at December 31, 2012 and 2011, respectively 167 167
Additional paid-in capital 37,770 37,234
Accumulated other comprehensive income (loss):    
Foreign currency translation 269 (137)
Postretirement benefit obligation 46 81
Retained earnings 46,903 41,361
85,155 78,706
Less 2,731 and 2,155 of common shares in treasury, at December 31, 2012 and 2011, respectively, at cost (18,239) (15,483)
Total stockholders’ equity 66,916 63,223
Total liabilities and stockholders’ equity $ 99,546 $ 113,456
XML 64 R45.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 19 - Accumulated Other Comprehensive Income (Loss) (Tables)
12 Months Ended
Dec. 31, 2012
Schedule of Accumulated Other Comprehensive Income (Loss) [Table Text Block]
   
2012
   
2011
 
   
(in thousands)
 
Net actuarial gain
  $ 46     $ 81  
Total accumulated other comprehensive income
  $ 46     $ 81  
Other Comprehensive Income (Loss) [Member]
 
Schedule of Accumulated Other Comprehensive Income (Loss) [Table Text Block]
   
Postretirement Benefit Obligation
   
Foreign Currency Translation
   
Total
 
   
(in thousands)
 
Accumulated other comprehensive income (loss) at December 31, 2009
  $ 111     $ (286 )   $ (175 )
Other comprehensive gain (loss)
    (31 )     546       515  
Accumulated other comprehensive income at December 31, 2010
    80       260       340  
Other comprehensive gain (loss)
    1       (397 )     (396 )
Accumulated other comprehensive income (loss) at December 31, 2011
    81       (137 )     (56 )
Other comprehensive gain (loss)
    (35 )     406       371  
Accumulated other comprehensive income at December 31, 2012
  $ 46     $ 269     $ 315  
XML 65 R96.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 18 - Stock Repurchase Program (Detail) (USD $)
In Millions, unless otherwise specified
1 Months Ended
Dec. 22, 2011
Stock Repurchase Program, Authorized Amount $ 8
XML 66 R6.htm IDEA: XBRL DOCUMENT v2.4.0.6
Consolidated Statements of Stockholders' Equity (USD $)
In Thousands
Common Stock [Member]
Additional Paid-in Capital [Member]
Retained Earnings [Member]
Treasury Stock [Member]
Accumulated Other Comprehensive Income (Loss) [Member]
Total
Balance at Dec. 31, 2009 $ 163 $ 35,333 $ 22,580 $ (15,383) $ (175) $ 42,518
Net income     8,434     8,434
Other comprehensive gain (loss)         515 515
Issuance of shares of common stock uupon exercise of stock options 1 358       359
Issuance of shares of common stock under the restricted stock plans   151       151
Issuance of shares of common stock under the employees stock purchase plan   36       36
Income tax benefit related to stock option plans   156       156
Stock compensation expense   207       207
Balance at Dec. 31, 2010 164 36,241 31,014 (15,383) 340 52,376
Net income     10,347     10,347
Other comprehensive gain (loss)         (396) (396)
Treasury share purchase       (100)   (100)
Issuance of shares of common stock uupon exercise of stock options 2 276       278
Issuance of shares of common stock under the restricted stock plans 1 163       164
Issuance of shares of common stock under the employees stock purchase plan   25       25
Income tax benefit related to stock option plans   359       359
Stock compensation expense   170       170
Balance at Dec. 31, 2011 167 37,234 41,361 (15,483) (56) 63,223
Net income     5,542     5,542
Other comprehensive gain (loss)         371 371
Treasury share purchase       (2,756)   (2,756)
Issuance of shares of common stock under the restricted stock plans   213       213
Issuance of shares of common stock under the employees stock purchase plan   7       7
Stock compensation expense   316       316
Balance at Dec. 31, 2012 $ 167 $ 37,770 $ 46,903 $ (18,239) $ 315 $ 66,916
XML 67 R94.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 16 - Leases (Detail) - Operating Leases Future Minimium Lease Payments (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Operating lease payments due $ 4,052
Operating lease payments due 503
Operating lease payments due 524
Operating lease payments due 342
Operating lease payments due 353
Operating lease payments due 359
Operating lease payments due $ 1,971
XML 68 R59.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 6 - Corporate-Wide Strategic Initiative (Detail) (USD $)
12 Months Ended 24 Months Ended
Dec. 31, 2012
Dec. 31, 2012
May 31, 2012
Dec. 31, 2011
Severance Costs $ 100,000 $ 1,400,000    
Assets Held-for-sale, Long Lived       1,810,000
Long Lived Assets Held-for-sale, Proceeds from Sale     2,000,000  
Sale Leaseback Transaction, Rent Expense 200,000      
Sale Leaseback Transaction, Current Period Gain Recognized 500,000      
Analog Projector Manufacturing Equipment [Member]
       
Long Lived Assets Held-for-sale, Proceeds from Sale 1,000,000 1,000,000    
Long Lived Assets Held-for-sale, Gain (Loss) on Sale $ 900,000 $ 900,000    
XML 69 R99.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 20 - Business Segment Information (Detail) - Summary of Business Segments (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Net revenue      
Net Revenue $ 169,084 $ 184,433 $ 136,335
Operating income (loss)      
Operating Income 8,003 15,183 11,998
Unallocated general and administrative expenses (7,800) (7,817) (5,991)
Gain (loss) on disposal or transfer of long-lived assets 1,332 11 150
Equity income (loss) of joint venture 10 (189) 582
Other income (loss) 137 71 (188)
Income before income taxes 8,150 15,065 12,392
Depreciation, amortization and impairment:      
Depreciation, amortization and impairment 1,268 1,757 1,490
Theatre [Member] | Product [Member]
     
Net revenue      
Net Revenue 151,688 167,017 125,044
Operating income (loss)      
Operating Income 12,582 20,394 17,187
Gain (loss) on disposal or transfer of long-lived assets 1,245 10 138
Expenditures on capital equipment:      
Expenditures on capital equipment 1,437 2,808 6,193
Depreciation, amortization and impairment:      
Depreciation, amortization and impairment 1,066 1,545 1,249
Theatre [Member] | Services [Member]
     
Net revenue      
Net Revenue 14,591 14,157 7,882
Operating income (loss)      
Operating Income 2,116 2,430 612
Gain (loss) on disposal or transfer of long-lived assets 87 1 12
Expenditures on capital equipment:      
Expenditures on capital equipment 1,243 71 605
Depreciation, amortization and impairment:      
Depreciation, amortization and impairment 137 179 208
Theatre [Member]
     
Net revenue      
Net Revenue 166,279 181,174 132,926
Operating income (loss)      
Operating Income 14,698 22,824 17,799
Gain (loss) on disposal or transfer of long-lived assets 1,332 11 150
Expenditures on capital equipment:      
Expenditures on capital equipment 2,680 2,879 6,798
Depreciation, amortization and impairment:      
Depreciation, amortization and impairment 1,203 1,724 1,457
Lighting [Member]
     
Net revenue      
Net Revenue 2,805 3,259 3,409
Operating income (loss)      
Operating Income (227) 165 40
Expenditures on capital equipment:      
Expenditures on capital equipment 48 7 14
Depreciation, amortization and impairment:      
Depreciation, amortization and impairment 65 33 33
Operating Segments [Member]
     
Net revenue      
Net Revenue 169,084 184,433 136,335
Operating income (loss)      
Operating Income 14,471 22,989 17,839
Gain (loss) on disposal or transfer of long-lived assets 1,332 11 150
Expenditures on capital equipment:      
Expenditures on capital equipment 2,728 2,886 6,812
Depreciation, amortization and impairment:      
Depreciation, amortization and impairment $ 1,268 $ 1,757 $ 1,490
XML 70 R35.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 5 - Property, Plant and Equipment (Tables)
12 Months Ended
Dec. 31, 2012
Property, Plant and Equipment [Table Text Block]
   
December 31,
2012
   
December 31,
2011
 
   
(in thousands)
 
Land
  $ 65     $ 63  
Buildings and improvements
    7,528       5,896  
Machinery and equipment
    4,858       4,680  
Office furniture and fixtures
    2,404       1,988  
Total properties cost
    14,855       12,627  
Less accumulated depreciation
    (3,750 )     (3,208 )
Net property, plant and equipment
  $ 11,105     $ 9,419  
XML 71 R65.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 8 - Other Accrued Expenses (Detail) - Other Accrued Expenses (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Employee related $ 2,091 $ 1,775
Legal and professional fees 293 117
Outside commissions 471 26
Warranty obligation 770 1,028
Joint venture excess distributions 650  
Interest and taxes 734 789
Post-retirement benefit obligation 19 17
Severance and benefits 88 963
Other 197 105
Total 5,313 4,820
Post-retirement benefit obligation 328 300
Employee related 212  
Rent and leasehold improvements 972  
Other 26 51
Total $ 1,538 $ 351
XML 72 R22.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 14 - Foreign Exchange Contracts
12 Months Ended
Dec. 31, 2012
Foreign Currency Disclosure [Text Block]
14.  Foreign Exchange Contracts

The Company’s primary exposure to foreign currency fluctuations pertains to its subsidiaries in Canada and China. In certain instances the Company may enter into foreign exchange forward contracts to manage a portion of this risk. The Company has not designated its foreign exchange forward contracts as hedges.

The gross fair value of derivative instruments, none of which are designated as hedging instruments consisted of:

       
Asset Derivatives
 
(in thousands)
 
Classification
 
December 31,
2012
 
December 31,
2011
 
Foreign exchange forward contracts
 
Other current liabilities
  $   $ 4,723  

The above fair value at December 31, 2011 is offset against $4.7 million in other current liabilities, resulting in an immaterial net liability.  All cash flows related to our foreign currency exchange contracts are classified as operating cash flows.  We recognized in other income, the following realized and unrealized gains from foreign currency forward exchange contracts:

(in thousands)
 
Classification
 
2012
   
2011
   
2010
 
Foreign exchange forward contracts
 
Other Income (Loss)
  $ 145     $ (349 )   $ (49 )

See Note 1 for further information related to the Company’s foreign exchange forward contracts.

XML 73 R36.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 6 - Corporate-Wide Strategic Initiative (Tables)
12 Months Ended
Dec. 31, 2012
Schedule of Restructuring Reserve by Type of Cost [Table Text Block]
   
2012
   
2011
 
   
(in thousands)
 
Accrued severance, beginning of period
  $ 963     $  
     Severance expense included in Administrative Expenses
    107       1,261  
     Severance paid
    (982 )     (298 )
Accrued severance, end of period
  $ 88     $ 963  
Disclosure of Long Lived Assets Held-for-sale [Table Text Block]
   
December 31,
 2012
   
December 31, 
2011
 
   
(In thousands)
 
Real Estate
  $     $ 1,696  
Machinery and Equipment
          114  
Total
  $     $ 1,810  
XML 74 R98.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 20 - Business Segment Information (Detail)
12 Months Ended
Dec. 31, 2012
Number of Operating Segments 2
XML 75 R24.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 16 - Leases
12 Months Ended
Dec. 31, 2012
Leases of Lessee Disclosure [Text Block]
16.  Leases

The Company and its subsidiaries lease plant and office facilities, autos and equipment under operating leases expiring through 2023. These leases generally contain renewal options and the Company expects to renew or replace certain of these leases in the ordinary course of business. Rent expense under operating lease agreements amounted to approximately $0.6 million, $0.4 million and $0.4 million for the years ended December 31, 2012, 2011 and 2010, respectively.

The Company’s future minimum lease payments for operating leases are as follows:

   
Total
   
2013
   
2014
   
2015
   
2016
   
2017
   
Thereafter
 
   
(in thousands)
 
Operating lease payments due
  $ 4,052     $ 503     $ 524     $ 342     $ 353     $ 359     $ 1,971  

XML 76 R68.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 10 - Income Taxes (Detail) - Income (Loss) Before Income Taxes (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
United States $ 4,783 $ 7,351 $ 1,022
Foreign 3,367 7,714 11,370
$ 8,150 $ 15,065 $ 12,392
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XML 78 R7.htm IDEA: XBRL DOCUMENT v2.4.0.6
Consolidated Statements of Stockholders' Equity (Parentheticals)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Issuance of common stock upon exercise of stock options, shares issued   172 106
Issuance of common stock under the restricted stock plans, shares issued 112 34 51
Issuance of common stock under the employees stock purchase plan, shares issued 2 8 12
Treasury share purchase, shares 576 15  
XML 79 R3.htm IDEA: XBRL DOCUMENT v2.4.0.6
Consolidated Balance Sheets (Parentheticals) (USD $)
In Thousands, except Per Share data, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Accounts receivable, allowance for doubtful accounts (in Dollars) (in Dollars) $ 487 $ 142
Preferred stock par value (in Dollars per share) (in Dollars per share) $ 0.01 $ 0.01
Preferred stock, shares authorized 1,000 1,000
Preferred stock, shares outstanding 0 0
Common stock, par value (in Dollars per share) (in Dollars per share) $ 0.01 $ 0.01
Common stock, authorized shares 25,000 25,000
Common stock, issued shares 16,782 16,667
Common stock, outstanding shares 14,051 14,512
Common shares in treasury, shares 2,731 2,155
XML 80 R17.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 9 - Debt
12 Months Ended
Dec. 31, 2012
Debt Disclosure [Text Block]
9.  Debt

The Company is a party to a $20 million Revolving Credit Agreement and Note (collectively, the “Credit Agreement”) with Wells Fargo Bank, N.A. (“Wells Fargo”). The Company may request an increase in the Credit Agreement of up to an additional $5 million; however, any advances on the additional $5 million are subject to approval of Wells Fargo. The borrowings from the Credit Agreement are to be used for working capital purposes and for other general corporate purposes. The Company’s accounts receivable, general intangibles and inventory secure the Credit Agreement.

Borrowings under the Credit Agreement bear interest at a rate equal to LIBOR plus 125 basis points (1.53% at December 31, 2012). Interest is paid on a monthly basis. The Company pays a fee of 0.15% per annum on any unused portion. The Credit Agreement expires on June 30, 2014 at which time all unpaid principal and interest is due. Borrowings available under the Credit Agreement were temporarily reduced to $19.6 million at December 31, 2012 due to outstanding letters of credit of $0.4 million.

The Credit Agreement contains certain covenants, including those relating to our financial condition. The primary financial condition covenants pertain to the Company maintaining a ratio of total liabilities to tangible net worth of less than 2 to 1 and net income before taxes of $1 on a rolling 4-quarter basis, as defined in the Credit Agreement. Other covenants pertain to items such as certain limits on incurring additional debt or lease obligations, certain limits on issuing guarantees and certain limits on loans, advances and investments with third parties. Upon the occurrence of any event of default specified in the Credit Agreement, including a change in control of the Company (as defined in the Credit Agreement), all amounts due there under may be declared to be immediately due and payable. Since the inception of the Credit Agreement, no amounts have been borrowed.

XML 81 R103.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 21 - Quarterly Financial Data (Detail) - Summary of Quarterly Results (USD $)
In Thousands, except Per Share data, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Net revenue (in Dollars) $ 169,084 $ 184,433 $ 136,335
Gross profit (in Dollars) 22,594 30,213 24,739
Net earnings (loss) (in Dollars) 5,542 10,347 8,434
Basic and diluted earnings (loss) per share:      
Basic(1) $ 0.39 $ 0.72 $ 0.60
Diluted(1) $ 0.39 $ 0.71 $ 0.59
Maximum [Member] | First Quarter [Member]
     
Stock price:      
Stock Price $ 5.37 $ 8.01  
Maximum [Member] | Second Quarter [Member]
     
Stock price:      
Stock Price $ 6.48 $ 7.28  
Maximum [Member] | Third Quarter [Member]
     
Stock price:      
Stock Price $ 6.02 $ 4.77  
Maximum [Member] | Fourth Quarter [Member]
     
Stock price:      
Stock Price $ 4.54 $ 4.23  
Minimum [Member] | First Quarter [Member]
     
Stock price:      
Stock Price $ 4.06 $ 6.18  
Minimum [Member] | Second Quarter [Member]
     
Stock price:      
Stock Price $ 5.26 $ 4.69  
Minimum [Member] | Third Quarter [Member]
     
Stock price:      
Stock Price $ 4.03 $ 3.08  
Minimum [Member] | Fourth Quarter [Member]
     
Stock price:      
Stock Price $ 3.09 $ 2.76  
First Quarter [Member]
     
Net revenue (in Dollars) 44,019 31,874  
Gross profit (in Dollars) 6,339 6,053  
Net earnings (loss) (in Dollars) 2,447 1,517  
Basic and diluted earnings (loss) per share:      
Basic(1) $ 0.17 [1] $ 0.11 [1]  
Diluted(1) $ 0.17 [1] $ 0.11 [1]  
Second Quarter [Member]
     
Net revenue (in Dollars) 46,708 37,595  
Gross profit (in Dollars) 6,358 6,784  
Net earnings (loss) (in Dollars) 1,803 2,476  
Basic and diluted earnings (loss) per share:      
Basic(1) $ 0.13 [1] $ 0.17 [1]  
Diluted(1) $ 0.13 [1] $ 0.17 [1]  
Third Quarter [Member]
     
Net revenue (in Dollars) 39,260 63,437  
Gross profit (in Dollars) 3,721 10,050  
Net earnings (loss) (in Dollars) (268) 4,739  
Basic and diluted earnings (loss) per share:      
Basic(1) $ (0.02) [1] $ 0.33 [1]  
Diluted(1) $ (0.02) [1] $ 0.33 [1]  
Fourth Quarter [Member]
     
Net revenue (in Dollars) 39,097 51,527  
Gross profit (in Dollars) 6,176 7,326  
Net earnings (loss) (in Dollars) $ 1,560 $ 1,615  
Basic and diluted earnings (loss) per share:      
Basic(1) $ 0.11 [1] $ 0.11 [1]  
Diluted(1) $ 0.11 [1] $ 0.11 [1]  
[1] Earnings per share is computed independently for each of the quarters. Therefore, the sum of the quarterly earnings per share may not equal the total for the year.
XML 82 R93.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 16 - Leases (Detail) (USD $)
In Millions, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Operating Leases, Rent Expense $ 0.6 $ 0.4 $ 0.4
XML 83 R91.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 15 - Compensation and Benefit Plans (Detail) - Effect of 1% Change in Assumed Health Care Cost Trend Rates (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Effect on total service and interest cost components of periodic postretirement health care benefit cost $ 2
Effect on total service and interest cost components of periodic postretirement health care benefit cost (1)
Effect on the health care component of the accumulated postretirement benefit obligation 42
Effect on the health care component of the accumulated postretirement benefit obligation $ (38)
XML 84 R1.htm IDEA: XBRL DOCUMENT v2.4.0.6
Document And Entity Information (USD $)
12 Months Ended
Dec. 31, 2012
Mar. 04, 2013
Jun. 30, 2012
Document and Entity Information [Abstract]      
Entity Registrant Name BALLANTYNE STRONG, INC.    
Document Type 10-K    
Current Fiscal Year End Date --12-31    
Entity Common Stock, Shares Outstanding   14,050,797  
Entity Public Float     $ 83,974,933
Amendment Flag false    
Entity Central Index Key 0000946454    
Entity Current Reporting Status Yes    
Entity Voluntary Filers No    
Entity Filer Category Accelerated Filer    
Entity Well-known Seasoned Issuer No    
Document Period End Date Dec. 31, 2012    
Document Fiscal Year Focus 2012    
Document Fiscal Period Focus FY    
XML 85 R18.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 10 - Income Taxes
12 Months Ended
Dec. 31, 2012
Income Tax Disclosure [Text Block]
10.  Income Taxes

Income (loss) before income taxes consists of:

   
2012
   
2011
   
2010
 
   
(in thousands)
 
United States
  $ 4,783     $ 7,351     $ 1,022  
Foreign
    3,367       7,714       11,370  
    $ 8,150     $ 15,065     $ 12,392  

Income tax expense (benefit) attributable to income from continuing operations consists of:

   
2012
   
2011
   
2010
 
   
(in thousands)
 
Federal:
                 
Current
  $ 1,257     $ 3,802     $ 544  
Deferred
    317       (1,338 )     233  
Total
    1,574     $ 2,464       777  
State:
                       
Current
    153       324       11  
Deferred
    29       (104 )     32  
Total
    182       220       43  
Foreign:
                       
Current
    1,118       1,814       3,151  
Deferred
    (266 )     220      
(13
)
Total
    852       2,034       3,138  
    $ 2,608     $ 4,718     $ 3,958  

Income tax expense attributable to income (loss) from continuing operations differed from the amounts computed by applying the U.S. Federal income tax rate to pretax income from continuing operations as follows:

   
2012
   
2011
   
2010
 
   
Amount
   
%
   
Amount
   
%
   
Amount
   
%
 
   
(amounts in thousands)
 
Expected federal income tax expense
  $ 2,771       34.0     $ 5,122       34.0     $ 4,213       34.0  
State income taxes, net of federal benefit
    120       1.5       145       0.9       28       0.2  
Foreign tax rates varying from 34%
    (204 )     (2.5 )     (589 )     (3.9 )     (373 )     (3.0 )
Other
    (79 )     (1.0 )     40       0.3       90       0.7  
Total
  $ 2,608       32.0     $ 4,718       31.3     $ 3,958       31.9  

Deferred tax assets and liabilities were comprised of the following:

   
December 31
 
   
2012
   
2011
 
   
(in thousands)
 
Deferred tax assets:
     
Deferred revenue
  $ 1,462     $ 1,495  
Non-deductible accruals
    621       290  
Inventory reserves
    573       1,050  
Stock compensation expense
    243       49  
Warranty reserves
    220       102  
Uncollectible receivable reserves
    211       404  
Accrued group health insurance claims
    150       86  
Restructuring reserves
    32       337  
Net operating losses
          219  
Depreciation and amortization
    148       86  
     Net deferred tax assets
    3,660       4,118  
Deferred tax liabilities:
               
Depreciation and amortization
    578        
Equity in loss of joint venture
    2       914  
Other
          44  
     Net deferred tax liabilities
    580       958  
     Net deferred tax assets
  $ 3,080     $ 3,160  

Federal and state income taxes have not been provided on accumulated but undistributed earnings of foreign subsidiaries aggregating approximately $20.6 million at December 31, 2012 as these earnings have been permanently reinvested in the business. The determination of the amount of the unrecognized deferred tax liability related to the undistributed earnings is not practicable.

The Company has examinations not yet initiated for Federal purposes for fiscal years 2005 through 2012. In most cases, the Company has examinations open for State or local jurisdictions based on the particular jurisdiction’s statute of limitations. The Company does not currently have any examinations in process.

Estimated amounts related to estimated underpayment of income taxes, including interest and penalties, are classified as a component of tax expense in the consolidated statements of operations and were not material for the years ended December 31, 2012, 2011 and 2010. Amounts accrued for estimated underpayment of income taxes amounted to $0.2 million as of December 31, 2012 and 2011. The accruals largely relate to state tax matters.

XML 86 R80.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 13 - Stock Compensation (Detail) - Restricted Stock Activity (USD $)
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Granted 28,210 20,959  
Restricted Stock [Member]
     
Number of Restricted Stock Shares 12,600    
Weighted Average Grant Price Fair Value (in Dollars per share) $ 5.93    
Granted 112,410 33,559 51,230
Granted (in Dollars per share) $ 5.16    
Shares vested (40,810)    
Shares vested (in Dollars per share) $ 5.22    
Number of Restricted Stock Shares 84,200 12,600  
Weighted Average Grant Price Fair Value (in Dollars per share) $ 5.24 $ 5.93  
XML 87 R90.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 15 - Compensation and Benefit Plans (Detail) - Weighted Average Assumptions to Determine Net Periodic Postretirement Benefit Cost
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Discount rate 4.25% 5.25% 5.75%
Health care cost trend rate 8.00% 9.00% 9.00%
XML 88 R4.htm IDEA: XBRL DOCUMENT v2.4.0.6
Consolidated Statements of Operations (USD $)
In Thousands, except Per Share data, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Net revenues $ 169,084 $ 184,433 $ 136,335
Cost of revenues 146,490 154,220 111,596
Gross profit 22,594 30,213 24,739
Selling and administrative expenses:      
Selling 4,467 3,935 3,822
Administrative 11,456 11,106 9,069
Total selling and administrative expenses 15,923 15,041 12,891
Gain on transfer of assets     172
Gain (loss) on sale or disposal of assets 1,332 11 (22)
Income from operations 8,003 15,183 11,998
Equity in income (loss) of joint venture 10 (189) 582
Other income (expense), net 137 71 (188)
Earnings before income taxes 8,150 15,065 12,392
Income tax expense (2,608) (4,718) (3,958)
Net earnings $ 5,542 $ 10,347 $ 8,434
Basic earnings per share (in Dollars per share) $ 0.39 $ 0.72 $ 0.60
Diluted earnings per share (in Dollars per share) $ 0.39 $ 0.71 $ 0.59
Weighted average shares outstanding:      
Basic (in Shares) 14,038 14,427 14,163
Diluted (in Shares) 14,115 14,485 14,371
XML 89 R12.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 4 - Inventories
12 Months Ended
Dec. 31, 2012
Inventory Disclosure [Text Block]
4.  Inventories

Inventories consist of the following:

   
December 31,
2012
   
December 31,
2011
 
   
(in thousands)
 
Raw materials and components
  $ 3,247     $ 5,270  
Work in process
    1,018       301  
Finished goods
    6,706       9,349  
    $ 10,971     $ 14,920  

The inventory balances are net of reserves of approximately $1.3 million and $2.5 million as of December 31, 2012 and 2011, respectively.

XML 90 R11.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 3 - Digital Link II Joint Venture
12 Months Ended
Dec. 31, 2012
Equity Method Investments and Joint Ventures Disclosure [Text Block]
3.  Digital Link II Joint Venture

Investment in Digital Link II

On March 6, 2007, the Company entered into an agreement with RealD to form an operating entity Digital Link II, LLC (the “LLC”). Under the agreement, the LLC was formed with the Company and RealD as the only two members with membership interests of 44.4% and 55.6%, respectively. The LLC was formed for purposes of commercializing certain 3D technology and to fund the deployment of digital projector systems and servers to exhibitors.

The Company accounts for its investment by the equity method. Under this method, the Company recorded its proportionate share of LLC net income or loss based on the LLC’s financial statements as of December 31, 2012, December 23, 2011 and December 24, 2010. The LLC uses four 13-week periods for a total of 52 weeks to align its fiscal year end with that of its majority interest holder, RealD.

The Company’s portion of gain (loss), including the income described below, of the LLC was $0.01 million, $(0.2) million and $0.6 million for the years ended December 31, 2012, 2011and 2010, respectively.

In the past, the Company sold digital theatre projection equipment, in the normal course of business, to the LLC.  The LLC in turn provides and sells the digital projection equipment to third party customers under system use agreements or through sales agreements. Revenue recognized by the Company on the sale transaction to the LLC is limited by its 44.4% ownership in the joint venture which will be recognized upon sale of the equipment to the third parties. Sales to the LLC approximated $4.7 million during 2010.  There were no sales to the LLC during 2012 and 2011.  However, the Company recognized $0.05 million of gross margin during 2012 related to the LLC's sale of equipment to third parties.  Revenue recognized by the Company was $4.1 million during 2010. Revenue recognized by the Company on the sale transaction to the LLC is limited by its 44.4% ownership in the joint venture which will be recognized upon sale of the equipment to the third parties. The total receivable balance due from the LLC was insignificant at December 31, 2012 and 2011.

During the third quarter of 2011, the LLC made a significant sale of equipment to certain third party customers that resulted in a pre-tax gain of approximately $0.8 million. During the second quarter of 2010, the LLC made a significant sale of equipment to a third party customer that resulted in the LLC recording a pre-tax gain on the sale of assets of approximately $2.8 million.

During the first quarter of 2012 the Company received a $1.5 million return of investment in the LLC. During the third quarter of 2012 the Company received a $1.0 million distribution from the LLC. The excess of the distribution received in the third quarter over the Company's carrying value in the LLC of approximately $0.7 million is included in accrued expenses. The distribution in excess of the carrying value will be deferred until the Company determines that future contributions to the LLC will not be required. The Company received no distributions from the LLC in 2011.  During the third quarter of 2010 the Company received a $0.9 million return of the investment in the LLC.

XML 91 R23.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 15 - Compensation and Benefit Plans
12 Months Ended
Dec. 31, 2012
Pension and Other Postretirement Benefits Disclosure [Text Block]
15.  Compensation and Benefit Plans

Bonus Plans

The Compensation Committee of the Board of Directors administers a Short-Term Incentive Plan (the “Plan”). The Plan is an annual incentive program that provides certain officers and key employee’s bonuses in the form of cash or restricted stock or a combination of both if the Company achieves certain financial goals. Each payout is further subject to the achievement of certain individual goals, as defined in the Plan. The Company has recorded expenses related to the Plan of approximately $0.6 million, $0.5 million and $0.6 million in 2012, 2011 and 2010, respectively. The bonuses are generally paid through a distribution of cash and restricted stock.

Retirement Plan

The Company sponsors a defined contribution 401-K plan (the “Plan”) for all eligible employees. Pursuant to the provisions of the Plan, employees may defer up to 100% of their compensation. The Company will match 50% of the amount deferred up to 6% of their compensation. The contributions made to the Plan by the Company was approximately $0.2 million for each of the years ended December 31, 2012, 2011 and 2010.

Postretirement Health Care

The Company sponsors a postretirement health care plan (the “Plan”) for two former executives and their spouses. The Company’s policy is to fund the cost of the Plan as expenses are incurred. The costs of the postretirement benefits were accrued over the employees’ service lives. The following table sets forth the Plan’s benefit obligations, fair value of plan assets, and funded status at December 31, 2012 and 2011:

   
2012
   
2011
 
   
(in thousands)
 
Reconciliation of benefit obligation
           
Benefit obligation at January 1
  $ 315     $ 318  
Interest cost
    13       14  
Benefits paid
    (17 )     (10 )
Contributions by plan participants
    4       2  
Actuarial (gain) loss
    32       (9 )
Benefit obligation at December 31
    347       315  
Fair value of plan assets at December 31
           
Funded status at end of year
  $ (347 )   $ (315 )
Amounts recognized in the balance sheet consist of:
               
Noncurrent assets
  $     $  
Current liabilities
    (19 )     (17 )
Noncurrent liabilities
    (328 )     (300 )
Accumulated other comprehensive income
    (46 )     (81 )
Net amount recognized
  $ (393 )   $ (398 )

Amounts recognized in accumulated other comprehensive income at December 31 2012 and 2011 consists of:

   
2012
   
2011
 
   
(in thousands)
 
Net actuarial gain
  $ 46     $ 81  
Total accumulated other comprehensive income
  $ 46     $ 81  

Net periodic benefit cost recognized in the years ended December 31, 2012, 2011 and 2010 was:

   
2012
   
2011
   
2010
 
   
(in thousands)
 
Interest cost
  $ 13     $ 14     $ 15  
Amortization of gain
    (3 )     (9 )     (9 )) )
Net periodic benefit cost recognized
  $ 10     $ 5     $ 6  

Other changes in plan assets and benefit obligations recognized in accumulated other comprehensive income in the years ended December 31, 2012, 2011 and 2010 are as follows:

   
2012
   
2011
   
2010
 
   
(in thousands)
 
Net actuarial gain (loss)
  $ (32 )   $ 10     $ (21 )
Amortization of (gain) loss
    (3 )     (9 )     (9 )
Total recognized in accumulated other comprehensive income (loss)
  $ (35 )   $ 1     $ (30 )
Total recognized in net periodic benefit cost and accumulated other comprehensive income
  $ 45     $ 4     $ (25 )

For the defined postretirement benefits plan, amortization of the net gain from accumulated other comprehensive income into net periodic benefit cost to be recognized in the next fiscal year is expected to be insignificant.

Weighted average assumptions used to determine benefit obligations at December 31, 2012, 2011 and 2010 were as follows:

   
December 31,
 
   
2012
   
2011
   
2010
 
Discount rate
    3.60 %     4.25 %     5.25 %
Rate of compensation increase
    N/A       N/A       N/A  
Health care cost trend rate
    7.0 %     8.0 %     9.0 %

Weighted average assumptions used to determine net periodic postretirement benefit cost for the years ended December 31, 2012, 2011 and 2010 were as follows:

   
2012
   
2011
   
2010
 
Discount rate
    4.25 %     5.25 %     5.75 %
Expected long-term rate of return on plan assets
    N/A       N/A       N/A  
Rate of compensation increase
    N/A       N/A       N/A  
Health care cost trend rate
    8.0 %     9.0 %     9.0 %

Assumed health care trend rates have a significant effect on the amounts reported for health care plans. A 1% change in assumed health care cost trend rates would have the following effects:

   
1% Increase
   
1% Decrease
 
   
( in thousands)
 
Effect on total service and interest cost components of periodic postretirement health care benefit cost
  $ 2     $ (1 )
Effect on the health care component of the accumulated postretirement benefit obligation
  $ 42     $ (38 )

For measurement purposes, a 7.0% annual rate of increase in the per capita cost of covered health care benefits was assumed for 2012. The rate was assumed to decrease gradually to 6.0% through 2014 and remain at that level thereafter.  The Company expects to contribute $0.02 million to its postretirement benefit plan in 2013.

The benefits expected to be paid from the postretirement benefit plan are as follows:

   
2013
   
2014
   
2015
   
2016
   
2017
    2018-2021  
   
(in thousands)
 
Benefits expected to be paid
  $ 19     $ 20     $ 21     $ 22     $ 23     $ 85  

The expected benefits are based on the same assumptions used to measure the Company’s benefit obligation at December 31, 2012 and include estimated future employee service, if any.

XML 92 R19.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 11 - Note Receivable
12 Months Ended
Dec. 31, 2012
Loans, Notes, Trade and Other Receivables Disclosure [Text Block]
11.  Note Receivable

During 2011, the Company entered into certain unsecured notes receivable arrangements with CDF2 Holdings, LLC pertaining to the sale and installation of digital projection equipment. The notes receivable accrue interest at a rate of 15% per annum which is to be paid in accordance with an agreed-upon cash flow schedule, as defined. Interest not paid in any particular year is added to the principal and accrues interest at 15%. The Company has recorded the notes receivable at their fair value.  See note 2 for additional information on the fair value of the notes.

XML 93 R84.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 15 - Compensation and Benefit Plans (Detail) (USD $)
In Millions, unless otherwise specified
12 Months Ended 48 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Dec. 31, 2014
Short-term Incentive Plan, Cost Recognized $ 0.6 $ 0.5 $ 0.6  
Compensation Deferrable 100.00%      
Defined Contribution Plan, Employer Matching Contribution, Percent 50.00%      
Defined Contribution Plan, Maximum Annual Contribution Per Employee, Percent 6.00%      
Defined Benefit Plan, Contributions by Employer 0.2 0.2 0.2  
Defined Benefit Plan, Health Care Cost Trend Rate Assumed for Next Fiscal Year 7.00%      
Defined Benefit Plan, Ultimate Health Care Cost Trend Rate       6.00%
Defined Benefit Plan, Estimated Future Employer Contributions in Next Fiscal Year $ 0.02      
XML 94 R15.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 7 - Intangible Assets
12 Months Ended
Dec. 31, 2012
Goodwill and Intangible Assets Disclosure [Text Block]
7.  Intangible Assets

Intangible assets consisted of the following at December 31, 2012:

   
Useful life
   
Gross
   
Accumulated
amortization
   
Net
 
   
(Years)
   
( in thousands)
 
Intangible assets subject to amortization:
                           
Customer relationships
  4 - 9     $ 1,720     $ (1,615 )   $ 105  
Trademarks
    3         239       (239 )      
Non-competition agreement
  3 - 5       155       (155 )      
Total
            $ 2,114     $ (2,009 )   $ 105  

Intangible assets consisted of the following at December 31, 2011:

   
Useful life
   
Gross
   
Accumulated
amortization
   
Net
 
   
(Years)
   
( in thousands)
 
Intangible assets subject to amortization:
                           
Customer relationships
  4 - 9     $ 1,720     $ (1,476 )   $ 244  
Trademarks
    3         239       (222 )     17  
Non-competition agreement
  3 - 5       155       (154 )     1  
Total
            $ 2,114     $ (1,852 )   $ 262  

During 2011, the Company wrote-off certain intangibles pertaining to the Technobeam product line which was discontinued during the year. There was no impact to earnings as the intangibles were fully amortized and had no net book value. Any other change in the cost and accumulated amortization of the identifiable assets was due to certain intangibles recorded in a foreign currency and therefore affected by fluctuations in the exchange rate. Intangible assets, other than goodwill, with definitive lives are amortized over their useful lives.

The Company recorded amortization expense relating to other identifiable intangible assets of $0.2 million, $0.4 million and $0.4 million during each of the years ended December 31, 2012, 2011 and 2010, respectively.

The following table shows the Company’s estimated future amortization expense related to intangible assets for the next three years at which time the assets are expected to be fully amortized. All amounts in thousands.

   
Amount
 
   
(in thousands)
 
2013
  $ 43  
2014
    43  
2015
    19  

XML 95 R60.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 6 - Corporate-Wide Strategic Initiative (Detail) - Restructuring Balance Reconciliation (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Accrued severance, beginning of period $ 963  
Accrued severance, end of period 88 963
Severance expense included in Administrative Expenses 107 1,261
Severance paid $ (982) $ (298)
XML 96 R13.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 5 - Property, Plant and Equipment
12 Months Ended
Dec. 31, 2012
Property, Plant and Equipment Disclosure [Text Block]
5.  Property, Plant and Equipment

Property, plant and equipment include the following:

   
December 31,
2012
   
December 31,
2011
 
   
(in thousands)
 
Land
  $ 65     $ 63  
Buildings and improvements
    7,528       5,896  
Machinery and equipment
    4,858       4,680  
Office furniture and fixtures
    2,404       1,988  
Total properties cost
    14,855       12,627  
Less accumulated depreciation
    (3,750 )     (3,208 )
Net property, plant and equipment
  $ 11,105     $ 9,419  

Depreciation expense approximated $1.0 million, $1.1 million and $0.9 million for the years ended December 31, 2012, 2011 and 2010, respectively. For a discussion regarding reclassifying certain assets as held for sale, refer to Note 6.

XML 97 R14.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 6 - Corporate-Wide Strategic Initiative
12 Months Ended
Dec. 31, 2012
Restructuring and Related Activities Disclosure [Text Block]
6.  Corporate-wide strategic initiative

Restructuring

In the fourth quarter of 2011, the Board of Directors and management of the Company approved a corporate-wide strategic initiative to refocus its worldwide digital equipment distribution business, services platform and cinema screen manufacturing business and exit the analog projector manufacturing business. The strategic initiative consisted of selling the Company's Omaha, Nebraska-based analog projector facility and manufacturing equipment and relocating its corporate headquarters to a new, smaller location in Omaha, which also houses its Network Operations Center.  Total life to date severance charges for the strategic initiative that began in 2011 are approximately $1.4 million, including $0.1 million in 2012.  The strategic initiative is expected to be completed by the end of the second quarter of 2013.

The following reconciles the activity in the restructuring related severance accruals for the years ended December 31, 2012 and 2011, which are included in accrued expenses:

   
2012
   
2011
 
   
(in thousands)
 
Accrued severance, beginning of period
  $ 963     $  
     Severance expense included in Administrative Expenses
    107       1,261  
     Severance paid
    (982 )     (298 )
Accrued severance, end of period
  $ 88     $ 963  

Assets Held For Sale

In connection with the strategic initiative, the Company reclassified its Nebraska-based analog projector facility, corporate headquarters and manufacturing equipment to held for sale. The assets were recorded at their carrying value of $1.8 million at December 31, 2011 as it was lower than the assets fair value, less costs to sell. The following table summarizes assets held for sale.

   
December 31,
 2012
   
December 31, 
2011
 
   
(In thousands)
 
Real Estate
  $     $ 1,696  
Machinery and Equipment
          114  
Total
  $     $ 1,810  

During the first quarter of 2012, the Company sold the analog projector manufacturing machinery and equipment previously classified as held for sale.  The equipment was sold in March 2012 for approximately $1.0 million, resulting in a gain of approximately $0.9 million.  In May 2012, the Company completed a sale leaseback transaction for the analog projector and corporate headquarters facility.  The net cash proceeds from the transaction were $2.0 million.  The Company leased the facility back at no cash rent through November 2012.  However, the $0.2 million estimated fair value of the lease was recognized as rent expense over the lease period and was included in the net proceeds to calculate the $0.5 million gain resulting from the sale of the facility. 

XML 98 R16.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 8 - Other Accrued Expenses
12 Months Ended
Dec. 31, 2012
Accounts Payable and Accrued Liabilities Disclosure [Text Block]
8.  Accrued Expenses

The major components of current accrued expenses are as follows:

   
December 31,
2012
   
December 31,
2011
 
   
(in thousands)
 
Employee related
  $ 2,091     $ 1,775  
Legal and professional fees
    293       117  
Outside commissions
    471       26  
Warranty obligation
    770       1,028  
Joint venture excess distributions
    650        
Interest and taxes
    734       789  
Post-retirement benefit obligation
    19       17  
Severance and benefits
    88       963  
Other
    197       105  
Total
  $ 5,313     $ 4,820  

The major components of long-term accrued expenses are as follows:

   
December 31,
2012
   
December 31,
 2011
 
   
(in thousands)
 
Post-retirement benefit obligation
  $ 328     $ 300  
Employee related
    212        
Rent and leasehold improvements
    972        
Other
    26       51  
Total
  $ 1,538     $ 351  

XML 99 R64.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 7 - Intangible Assets (Detail) - Future Amortization Expense for Intangible Assets (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
2013 $ 43
2014 43
2015 $ 19
XML 100 R85.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 15 - Compensation and Benefit Plans (Detail) - Plan's Benefit Obligations, Fair Value of Plan Assets, and Funded Status (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Reconciliation of benefit obligation      
Benefit obligation at January 1 $ 315 $ 318  
Interest cost 13 14 15
Benefits paid (17) (10)  
Contributions by plan participants 4 2  
Actuarial (gain) loss 32 (9)  
Benefit obligation at December 31 347 315 318
Amounts recognized in the balance sheet consist of:      
Current liabilities (19) (17)  
Noncurrent liabilities (328) (300)  
Accumulated other comprehensive income (46) (81)  
Net amount recognized (393) (398)  
Funded status at end of year $ (347) $ (315)  
XML 101 R66.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 9 - Debt (Detail) (USD $)
12 Months Ended
Dec. 31, 2012
Line of Credit Facility, Additional Borrowing Capacity $ 5,000,000
Debt Instrument, Basis Spread on Variable Rate (in Basis Points) 1.25%
Line of Credit Facility, Interest Rate at Period End 1.53%
Line of Credit Facility, Commitment Fee Percentage 0.15%
Line of Credit Facility, Remaining Borrowing Capacity 19,600,000
Letters of Credit Outstanding, Amount 400,000
Minimum [Member]
 
Line of Credit Facility, Restriction, Income Before Taxes 1
Revolving Credit Facility [Member]
 
Line of Credit Facility, Maximum Borrowing Capacity $ 20,000,000
XML 102 R102.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 20 - Business Segment Information (Detail) - Summary of Identifiable Assets By Geographical Area (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Identifiable assets    
Identifiable Assets $ 99,546 $ 113,456
United States [Member]
   
Identifiable assets    
Identifiable Assets 65,868 80,885
Canada [Member]
   
Identifiable assets    
Identifiable Assets 21,092 17,671
Asia Excluding China [Member]
   
Identifiable assets    
Identifiable Assets 7,337 6,963
China [Member]
   
Identifiable assets    
Identifiable Assets $ 5,249 $ 7,937
XML 103 R63.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 7 - Intangible Assets (Detail) - Unamortized Intangible Assets (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Intangible assets subject to amortization:    
Gross 2,114 2,114
Accumulated Amortization (2,009) (1,852)
Net 105 262
Minimum [Member] | Customer Relationships [Member]
   
Intangible assets subject to amortization:    
Useful Life 4 years 4 years
Minimum [Member] | Noncompete Agreements [Member]
   
Intangible assets subject to amortization:    
Useful Life 3 years 3 years
Maximum [Member] | Customer Relationships [Member]
   
Intangible assets subject to amortization:    
Useful Life 9 years 9 years
Maximum [Member] | Noncompete Agreements [Member]
   
Intangible assets subject to amortization:    
Useful Life 5 years 5 years
Customer Relationships [Member]
   
Intangible assets subject to amortization:    
Gross 1,720 1,720
Accumulated Amortization (1,615) (1,476)
Net 105 244
Trademarks [Member]
   
Intangible assets subject to amortization:    
Useful Life 3 years 3 years
Gross 239 239
Accumulated Amortization (239) (222)
Net   17
Noncompete Agreements [Member]
   
Intangible assets subject to amortization:    
Gross 155 155
Accumulated Amortization (155) (154)
Net   1
XML 104 R92.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 15 - Compensation and Benefit Plans (Detail) - Benefits Expected to be Paid from Postretirement Benefit Plan are as follows (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Benefits expected to be paid $ 19
Benefits expected to be paid 20
Benefits expected to be paid 21
Benefits expected to be paid 22
Benefits expected to be paid 23
Benefits expected to be paid $ 85
XML 105 R34.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 4 - Inventories (Tables)
12 Months Ended
Dec. 31, 2012
Schedule of Inventory, Current [Table Text Block]
   
December 31,
2012
   
December 31,
2011
 
   
(in thousands)
 
Raw materials and components
  $ 3,247     $ 5,270  
Work in process
    1,018       301  
Finished goods
    6,706       9,349  
    $ 10,971     $ 14,920  
XML 106 R51.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 2 - Summary of Significant Accounting Policies (Detail) - Notes Receivable Reconciliation (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Notes Receivable balance, beginning of period $ 2,062  
Notes Receivable balance, end of period 2,232 2,062
Issuance of new notes $ 170 $ 2,062
XML 107 R21.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 13 - Stock Compensation
12 Months Ended
Dec. 31, 2012
Disclosure of Compensation Related Costs, Share-based Payments [Text Block]
13.  Stock Compensation

The Company recognizes compensation expense for all share-based payment awards made to employees and directors based on estimated fair values. Share-based compensation expense included in selling and administrative expenses approximates the following:

   
2012
   
2011
   
2010
 
   
(in thousands)
 
Share based compensation expense
  $ 393     $ 373     $ 381  

Long-Term Incentive Plan

 The Company's 2010 Long-Term Incentive Plan (“2010 Plan”) provides the Compensation Committee of the Board of Directors with the discretion to grant stock options, stock appreciation rights, restricted shares, restricted stock units, performance shares, or performance units.  Vesting terms vary with each grant and may be subject to vesting upon a “change in control” of the Company. The total number of shares reserved for issuance under the 2010 Plan was 600,000 shares.  During 2012, the Company awarded 139,000 options and 56,000 restricted stock shares under the 2010 Plan.  No shares were granted during 2011 or 2010.  At December 31, 2012, 405,000 shares were reserved for granting under the 2010 Plan.

Options

As noted above, under the 2010 Plan, the Company granted options to purchase 139,000 shares of the Company's common stock during the year ended December 31, 2012.  Options to purchase shares of common stock were granted with exercise prices equal to the fair value of the common stock on the date of grant and vest over a four-year period. 

During 2011 and 2010, the Board of Directors granted non-qualified stock options to purchase 2,200 shares and 50,000 shares, respectively of the Company’s common stock upon hiring members of management.  The options vest over periods of one to three years.   The options were issued at an exercise price based on the fair market value of the Company’s common stock on the date of grant and expire 10 years after the date of grant. These options were granted outside of the Company’s existing stock compensation plans pursuant to applicable regulations allowing for such a grant.

The weighted average grant date fair value of stock options granted in 2012, 2011 and 2010 was $2.51, $2.00 and $5.12, respectively.  The fair value of each stock option granted is estimated on the date of grant using a Black-Scholes valuation model with the following weighted average assumptions:

   
2012
   
2011
   
2010
 
Expected dividend yield at date of grant
    0.00 %     0.00 %     0.00 %
Risk-free interest rate
    1.30 %     1.09 %     0.50 %
Expected stock price volatility
    57.00 %     64.51 %     67.30 %
Expected life of options (in years)
    6.0       4.0       6.5  

The risk-free interest rate assumptions were based on the U.S. Treasury yield curve in effect at the time of the grant.  The expected volatility was based on historical monthly price changes of the Company's stock based on the expected life of the options at the date of grant.  The expected life of options is the average number of years the Company estimates that options will be outstanding.  The Company considers groups of associates that have similar historical exercise behavior separately for valuation purposes.

The following table summarizes the Company’s activities with respect to its stock options:

   
Number of
Options
   
Weighted
Average
Exercise Price
Per Share
   
Weighted
Average
Remaining
Contractual
Term
   
Aggregate
Intrinsic
Value
 
               
(in years)
   
(in thousands)
 
Outstanding at December 31, 2011
    52,200       8.14       8.86        
Granted
    139,000       4.70                  
Exercised
                           
Forfeited
                           
Outstanding at December 31, 2012
    191,200     $ 5.64       8.69        
Exercisable at December 31, 2012
    35,533     $ 8.06       7.88        

The aggregate intrinsic value in the table above represents the total that would have been received by the option holders if all in-the-money options had been exercised on the date indicated.

The following table summarizes information about stock options outstanding and exercisable at December 31, 2012:

         
Options Outstanding at
December 31, 2012
   
Options Exercisable at
December 31, 2012
 
Range of option exercise price
   
Number of
options
   
Weighted
average
remaining
contractual
life in years
   
Weighted
average
exercise price
per option
   
Number of
options
   
Weighted
average
remaining
contractual
life in years
   
Weighted
average
exercise price
per option
 
$4.07 to $8.32       191,200       8.69     $ 5.64       35,533       7.88     $ 8.06  

As of December 31, 2012, 155,667 stock option awards were non-vested. Unrecognized compensation costs related to all stock options outstanding amounted to $0.4 million at December 31, 2012, which is expected to be recognized over a weighted-average period of 2.8 years.

Restricted Stock Plans

The Company’s 2005 Restricted Stock Plan (the “2005 Plan”) provides for the grant of restricted stock awards. A total of 250,000 shares were reserved for issuance under the 2005 Plan, which is set to expire at September 1, 2013.  These shares are subject to restrictions on transferability and other restrictions, if any, as the Compensation Committee may impose.  During 2012 the Company awarded 28,210 restricted shares under the 2005 Plan as partial payment under the Company’s 2010 Short-Term Incentive Plan.  During 2011, 20,959 shares of restricted stock were granted under this Plan as partial payment under the Company’s 2010 Short-Term Incentive Plan.  The shares issued in 2012 and 2011 under the 2005 Plan vested and became unrestricted immediately.  At December 31, 2012, 41,310 shares remain available for issuance under the 2005 Plan.

The Ballantyne Strong, Inc. Non-Employee Director’s Restricted Stock Plan (the “Non-Employee Plan”) provides for the award of restricted shares to outside directors.  A total of 250,000 shares are reserved for issuance under the Non-Employee Plan.  During 2012, 2011 and 2010, the Company granted 28,200, 12,600 and 10,200 shares under the Non-Employee Plan. Shares issued under the Non-Employee Plan vest the day preceding the Company’s Annual Meeting of Stockholders in the year following issuance.  At December 31, 2012, 148,876 shares remain available for issuance under the Plan.

In connection with the restricted stock granted to certain employees and non-employee directors, the Company accrues compensation expense based on the estimated number of shares expected to be issued utilizing the most current information available to the Company at the date of the financial statements. The Company estimates the fair value of restricted stock awards based upon the market price of the underlying common stock on the date of grant.

As noted above, the Company awarded a total of 112,410, 33,559 and 51,230 restricted shares under the 2010 Plan, the 2005 Plan and the Non-Employee Plan during 2012, 2011 and 2010, respectively.  The weighted average grant date fair value of restricted stock awarded in 2012, 2011 and 2010 was $5.16, $6.92 and $4.88, respectively.  In connection with the restricted stock granted to certain employees and non-employee directors, the Company accrues compensation expense based on the estimated number of shares expected to be issued utilizing the most current information available to the Company at the date of the financial statements.  The Company estimates the fair value of the restricted stock awards based upon the market price of the underlying common stock on the date of grant.

As of December 31, 2012, the total unrecognized compensation cost related to non-vested restricted stock awarded was approximately $0.3 million which is expected to be recognized over a weighted average period of 2.4 years.

The following table summarizes restricted stock activity:

   
Number of
Restricted Stock
Shares
   
Weighted
 Average
 Grant Date
 Fair Value
 
Nonvested at December 31, 2011
    12,600     $ 5.93  
   Granted
    112,410       5.16  
   Shares vested
    (40,810 )     5.22  
   Shares forfeited
           
Nonvested at December 31, 2012
    84,200     $ 5.24  

Employee Stock Purchase Plan

The Company’s Employee Stock Purchase Plan provides for the purchase of shares of Company common stock by eligible employees at a per share purchase price equal to 85% of the fair market value of a share of Company common stock at either the beginning or end of the offering period, as defined, whichever is lower. Purchases are made through payroll deductions of up to 10% of each participating employee’s salary. The maximum number of shares that can be purchased by participants in any offering period is 2,000 shares. Additionally, the Plan has set certain limits, as defined, in regard to the number of shares that may be purchased by all eligible employees during an offering period. At December 31, 2012, 65,753 shares of common stock remained available for issuance under the Plan, which is set to expire in October 2013.

The estimated grant date fair value of purchase rights outstanding under the Employee Stock Purchase Plan was calculated using the Black- Scholes option pricing model using weighted average assumptions as follows:

   
2012
   
2011
   
2010
 
Expected dividend yield at date of grant
    0.00 %     0.00 %     0.00 %
Expected stock price volatility
    15.90 %     39.72 %     56.94 %
Risk-free interest rate
    0.15 %     0.12 %     0.30 %
Expected term (in years)
    1.0       1.0       1.0  
Estimated grant date fair value
  $ 0.88     $ 1.81     $ 4.04  

Compensation expense recorded during 2012, 2011 and 2010 related to the Employee Stock Purchase Plan was insignificant.  At December 31, 2012, the total unrecognized estimated compensation cost was insignificant.

XML 108 R26.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 18 - Stock Repurchase Program
12 Months Ended
Dec. 31, 2012
Long-term Contracts or Programs Disclosure [Text Block]
18.  Stock Repurchase Program

On December 22, 2011, the Company announced that its Board of Directors adopted a stock repurchase program authorizing the repurchase of up to $8 million of the Company’s outstanding common stock pursuant to a plan adopted under Rule 10b5-1 of the Securities Exchange Act of 1934 (as amended). On August 7, 2012, the Company announced that its Board discontinued the repurchase program prior to having repurchased the full amount of common stock originally authorized.

XML 109 R95.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 17 - Contingencies and Concentrations (Detail) (USD $)
In Thousands, unless otherwise specified
12 Months Ended 12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2012
Sales [Member]
CDF2 Holdings LLC [Member]
Dec. 31, 2012
Theatre Segment Net Revenues [Member]
Dec. 31, 2012
Trade accounts receivable [Member]
Dec. 31, 2012
CDF2 Holdings LLC [Member]
Receivables [Member]
Dec. 31, 2012
CDF2 Holdings LLC [Member]
Dec. 31, 2012
Belmont Capital Group [Member]
Concentration Risk, Number of Customers 10              
Concentration Risk, Percentage     12.00% 47.00% 36.00% 5.00%   17.00%
Notes Receivable, Fair Value Disclosure (in Dollars) $ 2,232 $ 2,062         $ 2,200  
XML 110 R49.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 2 - Summary of Significant Accounting Policies (Detail) - Fair Value Measured Financial Assets and Liabilities (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Cash and cash equivalents $ 40,168 $ 39,889
Foreign currency forward contracts   4,723
Notes Receivable 2,232 2,062
Fair Value, Inputs, Level 1 [Member]
   
Cash and cash equivalents 40,168 39,889
Fair Value, Inputs, Level 2 [Member]
   
Foreign currency forward contracts   4,723
Fair Value, Inputs, Level 3 [Member]
   
Notes Receivable $ 2,232 $ 2,062
XML 111 R41.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 13 - Stock Compensation (Tables)
12 Months Ended
Dec. 31, 2012
Schedule of Compensation Cost for Share-based Payment Arrangements, Allocation of Share-based Compensation Costs by Plan [Table Text Block]
   
2012
   
2011
   
2010
 
   
(in thousands)
 
Share based compensation expense
  $ 393     $ 373     $ 381  
Schedule of Share-based Payment Award, Employee Stock Purchase Plan, Valuation Assumptions [Table Text Block]
   
2012
   
2011
   
2010
 
Expected dividend yield at date of grant
    0.00 %     0.00 %     0.00 %
Risk-free interest rate
    1.30 %     1.09 %     0.50 %
Expected stock price volatility
    57.00 %     64.51 %     67.30 %
Expected life of options (in years)
    6.0       4.0       6.5  
   
2012
   
2011
   
2010
 
Expected dividend yield at date of grant
    0.00 %     0.00 %     0.00 %
Expected stock price volatility
    15.90 %     39.72 %     56.94 %
Risk-free interest rate
    0.15 %     0.12 %     0.30 %
Expected term (in years)
    1.0       1.0       1.0  
Estimated grant date fair value
  $ 0.88     $ 1.81     $ 4.04  
Schedule of Share-based Compensation, Stock Options, Activity [Table Text Block]
   
Number of
Options
   
Weighted
Average
Exercise Price
Per Share
   
Weighted
Average
Remaining
Contractual
Term
   
Aggregate
Intrinsic
Value
 
               
(in years)
   
(in thousands)
 
Outstanding at December 31, 2011
    52,200       8.14       8.86        
Granted
    139,000       4.70                  
Exercised
                           
Forfeited
                           
Outstanding at December 31, 2012
    191,200     $ 5.64       8.69        
Exercisable at December 31, 2012
    35,533     $ 8.06       7.88        
Schedule of Share-based Compensation, Shares Authorized under Stock Option Plans, by Exercise Price Range [Table Text Block]
         
Options Outstanding at
December 31, 2012
   
Options Exercisable at
December 31, 2012
 
Range of option exercise price
   
Number of
options
   
Weighted
average
remaining
contractual
life in years
   
Weighted
average
exercise price
per option
   
Number of
options
   
Weighted
average
remaining
contractual
life in years
   
Weighted
average
exercise price
per option
 
$4.07 to $8.32       191,200       8.69     $ 5.64       35,533       7.88     $ 8.06  
Schedule of Nonvested Restricted Stock Units Activity [Table Text Block]
   
Number of
Restricted Stock
Shares
   
Weighted
 Average
 Grant Date
 Fair Value
 
Nonvested at December 31, 2011
    12,600     $ 5.93  
   Granted
    112,410       5.16  
   Shares vested
    (40,810 )     5.22  
   Shares forfeited
           
Nonvested at December 31, 2012
    84,200     $ 5.24  
XML 112 R5.htm IDEA: XBRL DOCUMENT v2.4.0.6
Consolidated Statements of Comprehensive Income (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Net earnings $ 5,542 $ 10,347 $ 8,434
Adjustment to postretirement benefit obligation:      
Net actuarial gain (loss) (35) 1 (31)
Currency translation adjustment:      
Unrealized net change arising during period 406 (397) 546
Other comprehensive gain (loss) 371 (396) 515
Comprehensive income $ 5,913 $ 9,951 $ 8,949
XML 113 R88.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 15 - Compensation and Benefit Plans (Detail) - Changes in Plan Assets and Benefit Obligations (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Net actuarial gain (loss) $ (32) $ 10 $ (21)
Amortization of (gain) loss (3) (9) (9)
Total recognized in accumulated other comprehensive income (loss) (35) 1 (30)
Total recognized in net periodic benefit cost and accumulated other comprehensive income $ 45 $ 4 $ (25)
XML 114 R10.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 2 - Summary of Significant Accounting Policies
12 Months Ended
Dec. 31, 2012
Basis of Presentation and Significant Accounting Policies [Text Block]
2.  Summary of Significant Accounting Policies

Revenue Recognition

The Company recognizes revenue when all of the following circumstances are satisfied:

•           Persuasive evidence of an arrangement exists

•           Delivery has occurred or services have been rendered

•           The seller’s price to the buyer is fixed or determinable

•           Collectability is reasonably assured

The Company recognizes revenue when these criteria have been met and when title and risk of loss transfers to the customer. If an arrangement involves multiple deliverables, the items are considered separate units of accounting if the items have value on a stand-alone basis and there is objective and reliable evidence of their fair values. Revenues from the arrangement are allocated to the separate units of accounting based on their objectively determined fair value. For services, revenue is recognized when the services have been rendered. Revenues from service and support contracts is deferred and recognized as earned ratably over the service coverage periods. Unbilled revenue represents revenue recognized in accordance with the Company’s revenue recognition policy for which the invoice had not been processed and sent to the customer. Revenue is generally recognized upon shipment of the product, however, there are certain instances where revenue is deferred and recognized upon delivery or customer acceptance of the product as the Company legally retains the risk of loss on these transactions until such time. Estimates used in the recognition of revenues and cost of revenues include, but are not limited to, estimates for product warranties, price allowances and product returns.

Costs related to revenues are recognized in the same period in which the specific revenues are recorded. Shipping and handling fees billed to customers are reported in revenue. Shipping and handling costs incurred by the Company are included in cost of sales. Estimates used in the recognition of revenues and cost of revenues include, but are not limited to, estimates for product warranties, price allowances and product returns.

Accounts and Notes Receivable

Trade accounts receivable are recorded at the invoiced amount and do not bear interest. Amounts collected on trade accounts receivable are included in net cash provided by operating activities in the consolidated statements of cash flows. The Company determines the allowance for doubtful accounts based on several factors including overall customer credit quality, historical write-off experience and a specific analysis that projects the ultimate collectability of the account. As such, these factors may change over time causing the reserve level to adjust accordingly.

Notes receivables are recorded at estimated fair value at December 31, 2012 and accrue interest at 15%. The Company estimates allowances for doubtful accounts based on the Company’s best estimates of the amount of probable credit losses pertaining to the notes receivables, based on ongoing monitoring of the counterparty’s financial position and results of operations.

Changes in reserves for doubtful accounts are reflected in operating cash flows as an adjustment to net income. Past due accounts are written off for accounts and notes receivable when our efforts have been unsuccessful in collecting amounts due.

Inventories

Inventories are stated at the lower of cost (first-in, first-out) or market and include appropriate elements of material, labor and manufacturing overhead. Inventory balances are net of reserves of slow moving or obsolete inventory based on management’s review of inventories on hand compared to estimated future usage and sales, technological changes and product pricing.

Digital and film projection equipment is provided to potential customers for consignment and demonstration purposes under customer use agreements. Revenues are subsequently recorded in accordance with the Company’s normal revenue recognition policies. Consignment inventory is reviewed for impairment by comparing the inventory to the estimated future usage and sales. Digital and lighting equipment on consignment amounted to approximately $0.06 million and $0.5 million at December 31, 2012 and 2011, respectively.

Intangible Assets

The Company’s amortizable intangibles which are subject to recovery consist of trademarks, customer relationships and non-competition agreements. We evaluate our intangible assets for impairment when there is evidence that events or circumstances indicate that the carrying amount of these assets may not be recoverable. Intangible assets with definite lives are amortized over their respective estimated useful lives to their estimated residual values. Significant judgments and assumptions are required in the impairment evaluations.

Property, Plant and Equipment

Significant expenditures for the replacement or expansion of property, plant and equipment are capitalized. Depreciation of property, plant and equipment is provided over the estimated useful lives of the respective assets using the straight-line method. For financial reporting purposes, assets are depreciated over the estimated useful lives of 20 years for buildings and improvements, life of the related lease for leasehold improvements, 3 to 10 years for machinery and equipment, 7 years for furniture and fixtures and 3 years for computers and accessories. The Company generally uses accelerated methods of depreciation for income tax purposes. The Company reviews long-lived assets for impairment whenever events or changes in circumstances indicate that the carrying amount of an asset may not be recoverable. The recoverability of property, plant and equipment is based on management’s estimates of future undiscounted cash flows and these estimates may vary due to a number of factors, some of which may be outside of management’s control. To the extent that the Company is unable to achieve management’s forecasts of future income, it may become necessary to record impairment losses for any excess of the net book value of property, plant and equipment over their fair value.

The Company incurs maintenance costs on all of its major equipment. Repair and maintenance costs are expensed as incurred.

Assets Held For Sale

The Company classifies certain assets as held for sale. Upon classification as held for sale, the asset is measured at the lower of the carrying amount or fair value less costs to sell, and depreciation ceases. To the extent the Company is unable to sell the assets at or above the carrying amount, an impairment loss is recorded for the excess of the carrying amount over the fair value less costs to sell.

Income Taxes

Income taxes are accounted for under the asset and liability method. The Company uses an estimate of its annual effective rate at each interim period based on the facts and circumstances at the time while the actual effective rate is calculated at year-end. Deferred tax assets and liabilities are recognized for the future tax consequences attributable to differences between the financial statement carrying amounts of existing assets and liabilities and their respective tax bases and operating loss and tax credit carry forwards. Deferred tax assets and liabilities are measured using enacted tax rates expected to apply to taxable income in the years in which those temporary differences are expected to be recovered or settled. The effect on deferred tax assets and liabilities of a change in tax rates is recognized in income in the period that includes the enactment date. In assessing whether the deferred tax assets are realizable management considers whether it is more likely than not that some portion or all of the deferred tax assets will not be realized.

The Company’s uncertain tax positions are evaluated in a two-step process, whereby 1) the Company determines whether it is more likely than not that the tax positions will be sustained based on the technical merits of the position and 2) for those tax positions that meet the more likely than not recognition threshold, the Company would recognize the largest amount of tax benefit that is greater than fifty percent likely to be realized upon ultimate settlement with the related tax authority.  The Company accrues interest and penalties related to uncertain tax positions in the statements of income as income tax expense.

Other Taxes

Sales taxes assessed by governmental authorities including sales, use, and excise taxes are on a net basis and therefore the presentation of these taxes is excluded from revenues and is shown as a liability on the balance sheet until remitted to the appropriate taxing authorities.

Research and Development

Research and development related costs are charged to operations in the period incurred. Such costs amounted to approximately $0.01 million, $0.5 million and $0.9 million for the years ended December 31, 2012, 2011 and 2010, respectively.

Advertising Costs

Advertising and promotional costs are expensed as incurred and amounted to approximately $0.7 million, $0.9 million and $0.8 million for the years ended December 31, 2012, 2011 and 2010, respectively.

Fair Value of Financial and Derivative Instruments

The Company follows the Financial Accounting Standards Board (FASB) issued authoritative guidance, which defines fair value, establishes a framework for measuring fair value, and expands disclosures about fair value measurements. As defined in the FASB guidance, fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date.

The FASB guidance establishes a three-level hierarchy for fair value measurements based upon the transparency of inputs to the valuation of an asset or liability as of the measurement date. Inputs refers broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk. The categorization within the valuation hierarchy is based upon the lowest level of input that is significant to the fair value measurement. Financial assets and liabilities carried at fair value will be classified and disclosed in one of the following three categories:

●    Level 1 — inputs to the valuation techniques are quoted prices in active markets for identical assets or liabilities

●    Level 2 — inputs to the valuation techniques are other than quoted prices but are observable for the assets or liabilities, either directly or indirectly

    Level 3 — inputs to the valuation techniques are unobservable for the assets or liabilities

The following tables present the Company's financial assets and liabilities measured at fair value based upon the level within the fair value hierarchy in which the fair value measurements fall, as of December 31, 2012 and 2011.

Fair Values Measured on a Recurring Basis at December 31, 2012:

   
Level 1
   
Level 2
   
Level 3
   
Total
 
   
(in thousands)
 
Cash and cash equivalents
 
$
40,168
   
$
   
$
   
$
40,168
 
Notes Receivable
 
$
   
$
   
$
2,232
   
$
2,232
 

Fair Values Measured on a Recurring Basis at December 31, 2011:

   
Level 1
   
Level 2
   
Level 3
   
Total
 
   
( in thousands)
 
Cash and cash equivalents
 
$
39,889
   
$
   
$
   
$
39,889
 
Foreign currency forward contracts
 
$
   
$
4,723
   
$
   
$
4,723
 
Notes Receivable
 
$
   
$
   
$
2,062
   
$
2,062
 

Quantitative information about the Company's level 3 fair value measurements at December 31, 2012 is set forth below:

   
Fair Value
 
Valuation Technique
 
Unobservable input
 
Range
 
   
(in thousands)
             
Notes Receivable
 
$
2,232
 
Discounted cash flow
 
Probability of Default
   
0
%
             
Prepayment rates
   
0
%
             
Loss severity
   
0
%

The significant unobservable inputs used in the fair value measurement of the Company's notes receivable are prepayment rates, probability of default and loss severity in the event of default.  Significant increases (decreases) in any of these inputs in isolation would result in a significantly lower (higher) fair value measurement.  Generally, a change in the assumption used for the probability of default is accompanied by a directionally similar change in the assumption used for the loss severity and directionally opposite change in the assumption used for prepayment rates. 

 The following table reconciles the beginning and ending balance of the Company's Notes Receivable fair value:

   
2012
   
2011
 
   
(in thousands)
 
Notes Receivable balance, beginning of period
  $ 2,062     $  
Issuance of new notes
    170       2,062  
Notes Receivable balance, end of period
  $ 2,232     $ 2,062  

The fair value of the foreign currency forward exchange contracts is measured based on the total amount of currency to be purchased and forward exchange rates as of the period end. See footnote 14 for additional information on the Company's foreign exchange contracts.

 The carrying values of all other financial assets and liabilities including accounts receivable, accounts payable and accrued expenses reported in the consolidated balance sheets equal or approximate their fair values due to the short-term nature of these instruments.  All non-financial assets that are not recognized or disclosed at fair value in the financial statements on a recurring basis, which includes non-financial long-lived assets, are measured at fair value in certain circumstances (for example, when there is evidence of impairment).  During 2012 we did not have any significant non-recurring measurements of nonfinancial assets or liabilities.

The carrying values of all other financial assets and liabilities including accounts receivable, accounts payable and accrued expenses reported in the consolidated balance sheets equal or approximate their fair values due to the short-term nature of these instruments.

Cash and Cash Equivalents

All short-term, highly liquid financial instruments are classified as cash equivalents in the consolidated balance sheets and statements of cash flows. Generally, these instruments have maturities of three months or less from date of purchase.

Earnings Per Common Share

Basic earnings per share have been computed on the basis of the weighted average number of shares of common stock outstanding. Diluted earnings per share has been computed on the basis of the weighted average number of shares of common stock outstanding after giving effect to potential common shares from dilutive stock options and certain non-vested shares of restricted stock. The following table provides reconciliation between basic and diluted earnings per share:

   
2012
   
2011
   
2010
 
   
( in thousands, except per share amounts)
 
Basic earnings per share:
                 
Earnings applicable to common stock
  $ 5,542     $ 10,347     $ 8,434  
Weighted average common shares outstanding
    14,038       14,427       14,163  
Basic earnings per share
  $ 0.39     $ 0.72     $ 0.60  
                         
Diluted earnings per share:
                       
Earnings applicable to common stock
  $ 5,542     $ 10,347     $ 8,434  
Weighted average common shares outstanding
    14,038       14,427       14,163  
Assuming conversion of options and restricted stock awards outstanding
    77       58       208  
Weighted average common shares outstanding, as adjusted
    14,115       14,485       14,371  
Diluted earnings per share
  $ 0.39     $ 0.71     $ 0.59  

 Options to purchase 189,025, 52,200 and 50,000 shares of common stock were outstanding as of December 31, 2012, 2011 and 2010, respectively, but were not included in the computation of diluted earnings per shares as the option’s exercise price was greater than the average market price of the common shares for the respective periods.

Stock Compensation Plans

The Company recognizes compensation expense for all share-based payment awards made to employees and directors based on estimated values on the date of grant. The Company uses the straight-line amortization method over the vesting period of the awards. The Company has historically issued shares upon exercise of stock options or vesting of restricted stock from new stock issuances. The Company estimates the fair value of restricted stock awards based upon the market price of the underlying common stock on the date of grant. The fair value of stock options granted and shares issued under the employee stock purchase plan is calculated using the Black-Scholes option pricing model. No share-based compensation cost was capitalized as a part of inventory as of December 31, 2012 and 2011.

Post-Retirement Benefits

The Company recognizes the overfunded or underfunded position of a defined benefit postretirement plan as an asset or liability in the balance sheet, measures the plan’s assets and its obligations that determine its funded status as of December 31, and recognizes the changes in the funded status through comprehensive income in the year in which the changes occur.

Foreign Currency Translation

For foreign subsidiaries, the environment in which the business conducts operations is considered the functional currency, generally the local currency. The assets and liabilities of foreign subsidiaries are translated into the United States dollar at the foreign exchange rates in effect at the end of the period. Revenue and expenses of foreign subsidiaries are translated using an average of the foreign exchange rates in effect during the period. Translation adjustments are not included in determining net earnings but are presented in comprehensive income within the consolidated statements of comprehensive income. Transaction gains and losses that arise from foreign exchange rate fluctuations on transactions denominated in a currency other than the functional currency are included in the statements of operations as incurred.  Since the undistributed earnings of the Company’s foreign subsidiaries are considered to be indefinitely reinvested, the components of accumulated other comprehensive income (loss) have not been tax effected.

Warranty Reserves

Historically, the Company has generally granted a warranty to its customers for a one-year period following the sale of manufactured film projection equipment and on selected repaired equipment for a one-year period.  In most instances, the digital products are covered by the manufacturing firm's OEM warranty; however, there are certain customers where the Company may grant warranties in excess of the manufacturer's warranty for digital products.  The Company accrues for these costs at the time of sale or repair.  The following table summarizes warranty activity for the three years ended December 31, 2012.

    2012     2011     2011  
   
(in thousands)
 
Warranty accrual at beginning of period
  $ 1,028     $ 848     $ 378  
     Charged to expense
    416       546       841  
     Amounts written off, net of recoveries
    (688 )     (379 )     (378 )
     Foreign currency translation adjustment
    14       13       7  
Warranty accrual at end of period
  $ 770     $ 1,028     $ 848  

Contingencies

The Company accrues for contingencies when its assessments indicate that it is probable that a liability has been incurred and an amount can be reasonably estimated. The Company’s estimates are based on currently available facts and its estimates of the ultimate outcome or resolution. Actual results may differ from the Company’s estimates resulting in an impact, positive or negative, on earnings.

Current-Year Adoption of Accounting Pronouncements

In June 2011, the FASB issued Accounting Standards Update (ASU) No. 2011-05, Presentation of Comprehensive Income, which amends ASC 220, Comprehensive Income, by requiring all non-owner changes in shareholders' equity be presented either in a single continuous statement of comprehensive income or in two separate but consecutive statements. The guidance was effective retrospectively for fiscal years and interim periods within those years beginning after December 15, 2011. In December 2011, the FASB issued ASU No. 2011-12, Deferral of the Effective Date for Amendments to the Presentation of Reclassifications of Items Out of Accumulated Other Comprehensive Income in Accounting Standards Update No. 2011-05, which defers certain portions of ASU No. 2011-05 indefinitely and will be further deliberated by the FASB at a future date. The Company adopted the requirements of ASU 2011-05 by presenting a single Condensed Consolidated Statement of Comprehensive Income immediately following the Statement of Income.  There was no other impact on the Company's condensed consolidated financial statements.

In May 2011, the FASB issued ASU No. 2011-04, Fair Value Measurement (Topic 820): Amendments to Achieve Common Fair Value Measurement and Disclosure Requirements in U.S. GAAP and IFRSs.  This update is intended to develop common fair value measurement and disclosure requirements and improve understandability.  The Company prospectively adopted the requirements of ASU 2011-04 with expanded disclosures related to its fair value measurements.  This update did not have a material effect on the condensed consolidated financial statements.

Recently Issued Accounting Pronouncements

There are no recently issued accounting pronouncements which the Company believes will materially impact its consolidated financial statements.

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Note 5 - Property, Plant and Equipment (Detail) - Property, Plant and Equipment (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Land $ 65 $ 63
Buildings and improvements 7,528 5,896
Machinery and equipment 4,858 4,680
Office furniture and fixtures 2,404 1,988
Total properties cost 14,855 12,627
Less accumulated depreciation (3,750) (3,208)
Net property, plant and equipment $ 11,105 $ 9,419
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Note 14 - Foreign Exchange Contracts (Detail) - Gross Fair Value of Derivative Instruments Not Designated As Hedging (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Foreign exchange forward contracts Other current liabilities  
Foreign exchange forward contracts   $ 4,723
XML 117 R69.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 10 - Income Taxes (Detail) - Income Tax Expense (Benefit) Attributable to Income from Continuing Operations (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Federal:      
Current $ 1,257 $ 3,802 $ 544
Deferred 317 (1,338) 233
Total 1,574 2,464 777
State:      
Current 153 324 11
Deferred 29 (104) 32
Total 182 220 43
Foreign:      
Current 1,118 1,814 3,151
Deferred (266) 220 (13)
Total 852 2,034 3,138
$ 2,608 $ 4,718 $ 3,958
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Note 19 - Accumulated Other Comprehensive Income (Loss)
12 Months Ended
Dec. 31, 2012
Comprehensive Income (Loss) Note [Text Block]
19.   Accumulated Other Comprehensive Income (Loss)

The following table summarizes the activity in the different components of Accumulated Other Comprehensive Income (loss) for the three years ended December 31, 2012.

   
Postretirement Benefit Obligation
   
Foreign Currency Translation
   
Total
 
   
(in thousands)
 
Accumulated other comprehensive income (loss) at December 31, 2009
  $ 111     $ (286 )   $ (175 )
Other comprehensive gain (loss)
    (31 )     546       515  
Accumulated other comprehensive income at December 31, 2010
    80       260       340  
Other comprehensive gain (loss)
    1       (397 )     (396 )
Accumulated other comprehensive income (loss) at December 31, 2011
    81       (137 )     (56 )
Other comprehensive gain (loss)
    (35 )     406       371  
Accumulated other comprehensive income at December 31, 2012
  $ 46     $ 269     $ 315  

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Process Flow-Through: 001 - Statement - Consolidated Balance Sheets Process Flow-Through: Removing column 'Dec. 31, 2010' Process Flow-Through: Removing column 'Dec. 31, 2009' Process Flow-Through: 002 - Statement - Consolidated Balance Sheets (Parentheticals) Process Flow-Through: 003 - Statement - Consolidated Statements of Operations Process Flow-Through: 004 - Statement - Consolidated Statements of Comprehensive Income Process Flow-Through: 006 - Statement - Consolidated Statements of Stockholders' Equity (Parentheticals) Process Flow-Through: 007 - Statement - Consolidated Statements of Cash Flows btn-20121231.xml btn-20121231.xsd btn-20121231_cal.xml btn-20121231_def.xml btn-20121231_lab.xml btn-20121231_pre.xml true true XML 120 R74.htm IDEA: XBRL DOCUMENT v2.4.0.6
Note 12 - Deferred Revenue (Detail) - Deferred Revenue Associated with Extended Warranties (USD $)
In Thousands, unless otherwise specified
Dec. 31, 2012
Dec. 31, 2011
Extended warranty deferrals expected to be recognized within one year $ 221 $ 74
Extended warranty deferrals expected to be recognized after one year 3,347 3,568
Total revenue deferred for extended warranty $ 3,568 $ 3,642
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Note 8 - Other Accrued Expenses (Tables)
12 Months Ended
Dec. 31, 2012
Schedule of Accrued Liabilities [Table Text Block]
   
December 31,
2012
   
December 31,
2011
 
   
(in thousands)
 
Employee related
  $ 2,091     $ 1,775  
Legal and professional fees
    293       117  
Outside commissions
    471       26  
Warranty obligation
    770       1,028  
Joint venture excess distributions
    650        
Interest and taxes
    734       789  
Post-retirement benefit obligation
    19       17  
Severance and benefits
    88       963  
Other
    197       105  
Total
  $ 5,313     $ 4,820  
   
December 31,
2012
   
December 31,
 2011
 
   
(in thousands)
 
Post-retirement benefit obligation
  $ 328     $ 300  
Employee related
    212        
Rent and leasehold improvements
    972        
Other
    26       51  
Total
  $ 1,538     $ 351  
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Note 12 - Deferred Revenue
12 Months Ended
Dec. 31, 2012
Deferred Revenue Disclosure [Text Block]
12.  Deferred Revenue

The Company deferred revenue associated with extended warranties provided to a third party exhibitor in 2011.  The Company expects to recognize the majority of the revenue over a period of approximately 5 years when all conditions of revenue recognition have been met.  The following summarizes the amounts included in deferred revenue related to extended warranties.

   
December 31,
2012
   
December 31,
2011
 
   
(in thousands)
 
Extended warranty deferrals expected to be recognized within one year
  $ 221     $ 74  
Extended warranty deferrals expected to be recognized after one year
    3,347       3,568  
Total revenue deferred for extended warranty
  $ 3,568     $ 3,642  

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Note 20 - Business Segment Information (Detail) - Summary of Net Revenue by Geographical Area (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Dec. 31, 2012
Dec. 31, 2011
Dec. 31, 2010
Net revenue      
Net Revenue $ 169,084 $ 184,433 $ 136,335
United States [Member]
     
Net revenue      
Net Revenue 137,105 143,353 76,210
China [Member]
     
Net revenue      
Net Revenue 15,697 25,968 34,914
South America [Member]
     
Net revenue      
Net Revenue 7,250 4,485 10,073
Canada [Member]
     
Net revenue      
Net Revenue 3,883 2,376 4,448
Asia Excluding China [Member]
     
Net revenue      
Net Revenue 2,341 3,453 1,678
Mexico [Member]
     
Net revenue      
Net Revenue 1,458 2,579 5,722
Europe [Member]
     
Net revenue      
Net Revenue 721 1,325 2,787
Other Countries [Member]
     
Net revenue      
Net Revenue $ 629 $ 894 $ 503