View: Annual
Data | Quarterly
Data
|
All
numbers in thousands
|
Period
Ending
|
Dec
31, 2013
|
Dec
31, 2012
|
Dec
31, 2011
|
|
Total
revenue Выручка
|
146,917,000
|
133,559,000
|
135,605,000
|
|
Cost
of revenue Себестоимость
|
128,094,000
|
116,107,000
|
117,225,000
|
|
|
|
Gross
Profit
|
18,823,000
|
17,452,000
|
18,380,000
|
|
|
|
|
Operating
Expenses Операционные расходы
|
|
|
Selling
General and Administrative Коммерческие,
общие,
административные
|
13,176,000
|
11,494,000
|
10,884,000
|
|
|
Non
Recurring непериодические расходы
|
208,000
|
77,000
|
(36,000)
|
|
|
|
|
|
|
|
Operating
Income or Loss Операционные доходы/расходы
|
5,439,000
|
5,881,000
|
7,532,000
|
|
|
|
|
Income
from Continuing Operations
|
|
|
Total
Other Income/Expenses Net Итого прочие
доходы/расходы
|
1,322,000
|
1,964,000
|
1,466,000
|
|
|
Earnings
Before Interest And Taxes
|
7,830,000
|
8,433,000
|
9,498,000
|
|
|
Interest
Expense Расходы по выплате процентов
|
829,000
|
713,000
|
817,000
|
|
|
Income
Before Tax Прибыль до налогообложения
|
7,001,000
|
7,720,000
|
8,681,000
|
|
|
Income
Tax Expense Налог на прибыль
|
(147,000)
|
2,056,000
|
(11,541,000)
|
|
|
Minority
Interest Миноритарные обязательства
|
7,000
|
1,000
|
(9,000)
|
|
|
|
|
Net
Income Чистая прибыль From Continuing Ops
|
8,224,000
|
6,253,000
|
20,713,000
|
|
|
|
|
Non-recurring
Events Случайные
события
|
|
|
Discontinued
Operations Временная деятельность
|
-
|
-
|
-
|
|
|
Extraordinary
Items
|
-
|
-
|
-
|
|
|
Effect
Of Accounting Changes
|
-
|
-
|
-
|
|
|
Other
Items
|
-
|
-
|
-
|
|
|
|
|
|
Net
Income Чистая прибыль
|
7,155,000
|
5,665,000
|
20,213,000
|
|
Preferred
Stock And Other Adjustments
|
-
|
-
|
-
|
|
|
|
|
|
|
|
|
|
|
|
|
View: Annual
Data | Quarterly
Data
|
All
numbers in thousands
|
Period
Ending
|
Dec
31, 2013
|
Dec
31, 2012
|
Dec
31, 2011
|
|
Assets
|
Current
Assets Текущие активы
|
|
Cash
And Cash Equivalents Денежные
средства
|
14,468,000
|
15,659,000
|
17,148,000
|
|
Short
Term Investments Краткосрочные
инвестиции
|
22,100,000
|
20,284,000
|
18,618,000
|
|
Net
Receivables Дебиторская задолженность
|
87,309,000
|
81,869,000
|
78,541,000
|
|
Inventory
запасы
|
7,708,000
|
7,362,000
|
5,901,000
|
|
Total
Current Assets Текущие
активы
|
131,585,000
|
125,174,000
|
120,208,000
|
Long
Term Investments Долгосрочные
инвестиции
|
3,679,000
|
3,246,000
|
2,936,000
|
Property
Plant and Equipment Основные
средства
|
47,600,000
|
40,245,000
|
35,209,000
|
Intangible
Assets Нематериальны активы
|
-
|
-
|
100,000
|
Other
Assets прочие активы
|
5,847,000
|
5,556,000
|
4,770,000
|
Deferred
Long Term Asset Charges Отложенные долгосрочные
платежи
|
13,315,000
|
15,185,000
|
15,125,000
|
|
Total
Assets Итого активы
|
202,026,000
|
189,406,000
|
178,348,000
|
|
Liabilities
|
Current
Liabilities Текущие обязательства
|
|
Accounts
Payable Кредиторская задолженность
|
19,531,000
|
19,308,000
|
63,093,000
|
|
Total
Current Liabilities Текущие
обязательства
|
19,531,000
|
19,308,000
|
63,093,000
|
Long
Term Debt Долгосрочные кредиты
|
114,688,000
|
105,058,000
|
99,488,000
|
Other
Liabilities Прочие обязательства
|
40,462,000
|
48,259,000
|
-
|
Deferred
Long Term Liability Charges
|
598,000
|
470,000
|
696,000
|
Minority
Interest Миноритарные обязательства
|
33,000
|
42,000
|
43,000
|
|
Total
Liabilities Итого обязательства
|
175,312,000
|
173,137,000
|
163,320,000
|
|
Stockholders’
Equity Собственный капитал
|
Misc
Stocks Options Warrants
|
331,000
|
322,000
|
-
|
Redeemable
Preferred Stock
|
-
|
-
|
-
|
Preferred
Stock
|
-
|
-
|
-
|
Common
Stock Обыкновенные акции
|
40,000
|
40,000
|
38,000
|
Retained
Earnings Нераспределенная прибыль
|
23,658,000
|
18,077,000
|
12,985,000
|
Treasury
Stock Казначейские облигации
|
(506,000)
|
(292,000)
|
(166,000)
|
Capital
Surplus
|
21,422,000
|
20,976,000
|
20,905,000
|
Other
Stockholder Equity Прочий собственный
капитал
|
(18,231,000)
|
(22,854,000)
|
(18,734,000)
|
|
Total
Stockholder Equity Итого собстенный капитал
|
26,383,000
|
15,947,000
|
15,028,000
|
|
Net
Tangible Assets Чистые внеоборотные
активы
|
26,383,000
|
15,947,000
|
14,928,000
|
|
|
|
|
|
|