Quarterly report pursuant to Section 13 or 15(d)

Condensed Consolidated Balance Sheets

v2.4.0.6
Condensed Consolidated Balance Sheets (USD $)
Mar. 31, 2012
Dec. 31, 2011
ASSETS    
Cash and cash equivalents $ 19,475,485 $ 22,515,710
Investments 18,307,407 18,635,601
Trade accounts receivable, less allowance for doubtful accounts of $206,000 and $175,000, respectively 14,345,504 14,461,168
Inventories 27,111,734 25,986,003
Prepaid income taxes 3,969,699 3,893,003
Other current assets 878,075 999,863
Deferred income taxes 3,421,569 3,455,047
TOTAL CURRENT ASSETS 87,509,473 89,946,395
PROPERTY, PLANT AND EQUIPMENT, net 14,097,633 14,019,019
OTHER ASSETS:    
Investments 2,872,418 4,883,510
Goodwill 5,990,571 5,990,571
Prepaid pensions 1,072,748 905,552
Other assets 904,503 913,869
TOTAL OTHER ASSETS 10,840,240 12,693,502
TOTAL ASSETS 112,447,346 116,658,916
LIABILITIES AND STOCKHOLDERS' EQUITY    
Current portion of long-term debt 465,320 427,345
Accounts payable 4,427,151 4,398,848
Accrued compensation and benefits 2,181,113 5,870,000
Accrued consideration 994,861 1,002,623
Other accrued liabilities 2,129,588 2,388,867
Dividends payable 1,402,331 1,299,963
TOTAL CURRENT LIABILITIES 11,600,364 15,387,646
LONG TERM LIABILITIES:    
Long-term compensation plans 327,958 283,075
Income taxes payable 413,960 405,673
Deferred income taxes 1,499,025 1,476,969
Long term debt - mortgage payable 1,432,895 1,574,993
TOTAL LONG-TERM LIABILITIES 3,673,838 3,740,710
COMMITMENTS AND CONTINGENCIES (Footnote 7)      
STOCKHOLDERS' EQUITY    
Preferred stock, par value $1.00 per share; 3,000,000 shares authorized; none issued      
Common stock, par value $.05 per share; 30,000,000 shares authorized; 8,506,734 and 8,466,774 shares issued and outstanding, respectively 425,337 423,339
Additional paid-in capital 36,204,926 35,533,273
Retained earnings 60,149,314 61,466,342
Accumulated other comprehensive income, net of tax 393,567 107,606
TOTAL STOCKHOLDERS' EQUITY 97,173,144 97,530,560
TOTAL LIABILITIES AND STOCKHOLDERS' EQUITY $ 112,447,346 $ 116,658,916