SECURITIES
AND EXCHANGE COMMISSION
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WASHINGTON,
D.C.
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FORM
8-K
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CURRENT
REPORT PURSUANT
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TO
SECTION 13 OR 15(d) OF THE
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SECURITIES
EXCHANGE ACT OF 1934
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Date
of report (Date of earliest event reported):
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August
1, 2005
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Tandy
Leather Factory, Inc.
(Exact
Name of Registrant as Specified in Its Charter)
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Delaware
(State
or Other Jurisdiction of Incorporation)
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1-12368
(Commission
File Number)
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75-2543540
(IRS
Employer Identification Number)
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3847
East Loop 820 South, Fort Worth, Texas
(Address
of Principal Executive Offices)
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76119
(Zip
Code)
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(817)
496-4414
(Registrant’s
Telephone Number, Including Area Code)
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THE
LEATHER FACTORY, INC.
(Former
Name or Former Address, if Changed Since Last
Report
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(a) |
Financial
statements of businesses acquired.
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(b) |
Pro
forma financial information.
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(c) |
Exhibits.
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Quarter
Ended 06/30/05
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Quarter
Ended 06/30/04
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||||||
Sales
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Operating
Income
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Sales
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Operating
Income
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Wholesale
Leathercraft
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$7,665,067
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$861,178
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$7,423,795
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$645,145
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Retail
Leathercraft
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4,094,303
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414,733
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2,972,746
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190,756
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Other
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422,329
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45,704
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563,272
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17,935
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Total
Operations
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$12,181,699
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$1,321,615
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$10,959,813
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$853,836
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Six
Months Ended 06/30/05
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Six
Months Ended 06/30/04
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Sales
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Operating
Income
|
Sales
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Operating
Income
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||||
Wholesale
Leathercraft
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$15,578,959
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$2,030,159
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$15,866,885
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$1,718,178
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Retail
Leathercraft
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8,379,909
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801,452
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6,139,484
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492,322
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Other
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930,347
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59,551
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1,134,320
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90,470
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Total
Operations
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$24,889,215
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$2,891,162
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$23,140,689
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$2,300,970
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Wholesale
Leathercraft
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Quarter
Ended 06/30/05
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Quarter
Ended 06/30/04
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Sales
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Sales
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Distribution
centers
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$6,381,865
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$5,993,624
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National
account group
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1,283,202
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1,430,171
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Total
Sales - Wholesale Leathercraft
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$7,665,067
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$7,423,795
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Wholesale
Leathercraft
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Six
Months Ended 06/30/05
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Six
Months Ended 06/30/04
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Sales
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Sales
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Distribution
centers
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$13,030,817
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$12,734,918
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National
account group
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2,548,142
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3,131,967
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Total
Sales - Wholesale Leathercraft
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$15,578,959
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$15,866,885
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Retail
Leathercraft
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Quarter
Ended 06/30/05
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Quarter
Ended 06/30/04
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#
of stores
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Sales
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#
of stores
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Sales
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Same
store sales
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32
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$3,203,196
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32
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$2,972,746
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New
store sales
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14
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891,107
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-
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-
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Total
Sales - Retail Leathercraft
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$4,094,303
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$2,972,746
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Retail
Leathercraft
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Six
Months Ended 06/30/05
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Six
Months Ended 06/30/04
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#
of stores
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Sales
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#
of stores
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Sales
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Same
store sales
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29
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$6,191,872
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29
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$6,011,473
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New
store sales
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17
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2,188,037
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3
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128,011
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Total
Sales - Retail Leathercraft
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$8,379,909
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$6,139,484
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Three
Months
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Six
Months
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2005
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2004
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2005
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2004
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NET
SALES
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$12,181,699
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$10,959,813
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$24,889,215
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$23,140,689
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COST
OF SALES
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5,281,828
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4,978,754
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10,832,061
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10,434,717
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Gross
Profit
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6,899,871
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5,981,059
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14,057,154
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12,705,972
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OPERATING
EXPENSES
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5,578,256
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5,127,223
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11,165,992
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10,405,002
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INCOME
FROM OPERATIONS
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1,321,615
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853,836
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2,891,162
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2,300,970
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Interest
expense
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-
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12,471
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3,188
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26,109
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Other,
net
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(39,684)
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25,353
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(24,219)
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27,089
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Total
other expense
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(39,684)
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37,824
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(21,031)
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53,198
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INCOME
BEFORE INCOME TAXES
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1,361,299
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816,012
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2,912,193
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2,247,772
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PROVISION
FOR INCOME TAXES
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573,630
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299,799
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1,075,301
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760,594
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NET
INCOME
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$
787,669
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$
516,213
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$1,836,892
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$1,487,178
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NET
INCOME PER COMMON SHARE - BASIC
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$
0.07
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$
0.05
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$
0.17
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$
0.14
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NET
INCOME PER COMMON SHARE - DILUTED
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$
0.07
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$
0.05
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$
0.17
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$
0.14
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Weighted
Average Number of Shares Outstanding:
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Basic
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10,615,711
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10,553,243
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10,600,065
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10,530,119
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Diluted
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10,955,191
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11,006,638
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10,933,342
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11,011,525
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06/30/05
(unaudited)
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12/31/04
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Cash
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$2,815,421
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$2,560,202
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Accounts
receivable, net of allowance for doubtful accounts
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2,520,900
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2,032,289
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Inventory
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14,956,985
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12,749,709
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Income
tax receivable
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44,440
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-
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Deferred
income taxes
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222,564
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199,308
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Other
current assets
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946,644
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629,723
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Total
current assets
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21,506,954
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18,171,231
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Property
and equipment, net
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1,771,648
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1,904,565
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Goodwill
and other intangibles, net
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1,158,825
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1,180,618
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Other
assets
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1,049,474
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910,749
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$25,486,901
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$22,167,163
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Accounts
payable
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$2,010,616
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$1,954,146
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Accrued
expenses and other liabilities
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3,410,518
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1,682,003
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Income
taxes payable
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262,248
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22,764
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Current
maturities of capital lease obligations and long-term debt
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134,067
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134,067
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Total
current liabilities
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5,817,449
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3,792,980
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Deferred
income taxes
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227,216
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313,006
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Capital
lease obligations and long-term debt, net of current
maturities
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178,756
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750,944
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Total
Liabilities
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6,223,421
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4,856,930
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Common
stock
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25,576
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25,345
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Paid-in
capital
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4,912,931
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4,796,999
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Retained
earnings
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14,295,651
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12,458,760
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Treasury
stock
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(25,487)
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(25,487)
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Accumulated
other comprehensive loss
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54,809
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54,616
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Total
Stockholders' Equity
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19,263,480
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17,310,233
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$25,486,901
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$22,167,163
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2005
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2004
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CASH
FLOWS FROM OPERATING ACTIVITIES:
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Net
income
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$1,836,892
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$1,487,178
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Adjustments
to reconcile net income to net cash provided by operating
activities:
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Depreciation
& amortization
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235,678
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252,701
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Gain
on disposal of assets
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(7,703)
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-
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Deferred
income taxes
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(109,046)
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(66,398)
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Other
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2,341
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(19,240)
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Net
changes in assets and liabilities:
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Accounts
receivable-trade, net
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(488,612)
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(867,259)
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Inventory
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(2,207,276)
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(1,064,766)
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Income
taxes
|
195,044
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201,635
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Other
current assets
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(316,922)
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(106,548)
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Accounts
payable
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56,470
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342,974
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Accrued
expenses and other liabilities
|
1,728,515
|
102,301
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|
Total
adjustments
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(911,510)
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(1,224,599)
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Net
cash provided by operating activities
|
925,381
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262,578
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CASH
FLOWS FROM INVESTING ACTIVITIES:
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Purchase
of property and equipment
|
(83,115)
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(131,050)
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Payments
in connection with businesses acquired
|
-
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(125,452)
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Proceeds
from sale of assets
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7,703
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-
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Increase
in other assets
|
(138,724)
|
12,287
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|
Net
cash used in investing activities
|
(214,137)
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(244,215)
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CASH
FLOWS FROM FINANCING ACTIVITIES:
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Net
increase (decrease) in revolving credit loans
|
(505,154)
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(692,984)
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Payments
on notes payable and long-term debt
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(67,034)
|
(1,134)
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|
Payments
received on notes secured by common stock
|
-
|
5,000
|
|
Repurchase
of common stock (treasury stock)
|
-
|
-
|
|
Proceeds
from issuance of common stock
|
116,163
|
124,015
|
|
Net
cash used in financing activities
|
(456,025)
|
(565,103)
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|
NET
CHANGE IN CASH
|
255,219
|
(546,740)
|
|
CASH,
beginning of period
|
2,560,202
|
1,728,344
|
|
CASH,
end of period
|
$2,815,421
|
$1,181,604
|
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SUPPLEMENTAL
DISCLOSURES OF CASH FLOW INFORMATION:
|
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Interest
paid during the period
|
$
3,188
|
$29,639
|
|
Income
taxes paid during the period, net of (refunds)
|
972,205
|
577,678
|