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Supplemental Statements of Cash Flows Information (Schedule of Cash Flow Supplemental Disclosures) (Details) (USD $)
In Thousands, unless otherwise specified
12 Months Ended
Sep. 30, 2013
Sep. 30, 2012
Sep. 30, 2011
Supplemental Statements of Cash Flows Information      
Interest paid, net of amounts capitalized $ 26,627 $ 25,665 $ 26,140
Income taxes paid 52,355 52,705 50,360
Income tax refunds received 6,336 3,183 9,496
Purchases of property, plant and equipment on account 5,345 6,065 6,333
Common shares issued from treasury stock for benefit plans (Note 18) 9,780 9,335 0
Notes receivable from municipality for economic development incentives 8,114 0 0
Cashless exercise of stock options 2,645 0 1,982
Settlement of receivable through purchase of treasury shares in connection with the cashless exercise of stock options 3,447 0 881
Reduction of accounts receivable and short-term borrowing due to the settlement of accounts receivable previously sold with recourse 0 0 3,228
Reduction of accounts payable due to the assignment of accounts receivable with recourse 0 0 570
Reduction to goodwill due to favorable resolution of lease termination recorded in restructuring reserve 0 0 103
Payment of director fees through issuance of treasury stock $ 0 $ 0 $ 52