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Segment Information (Tables)
12 Months Ended
Sep. 30, 2022
Segment Reporting [Abstract]  
Schedules of Concentration of Risk, by Risk Factor [Table Text Block] The Company has two significant customers that comprise greater than 10% of our gross sales. One customer comprised 21%, 18%, and 17% of consolidated revenues for the fiscal years ended September 30, 2022, 2021, and 2020, respectively. The Company has outstanding accounts receivable from this customer of $52.1 million and $48.1 million as of September 30, 2022 and 2021, respectively. Another customer comprised 20%, 19%, and 17% of consolidated revenues for the fiscal years ended September 30, 2022, 2021, and 2020, respectively. The Company has outstanding accounts receivable from this customer of $38.6 million and $32.1 million as of September 30, 2022 and 2021, respectively. The Company reports revenue for these customers in both reportable segments, Water Flow Solutions and Water Management Solutions.
Schedule of Revenue from External Customers and Long-Lived Assets, by Geographical Areas
Geographical area information is presented below.

United StatesIsraelOtherTotal
 (in millions)
Property, plant and equipment, net:
September 30, 2022$284.9 $12.6 $4.1 $301.6 
September 30, 2021263.9 13.8 5.7 283.4 
Year ended
September 30,
202220212020
(in millions)
Water Flow Solutions disaggregated net revenues:
Central$190.9 $155.1 $133.6 
   Northeast125.3 110.4 95.1 
Southeast154.3 125.7 108.3 
West182.8 172.4 148.5 
   United States$653.3 $563.6 $485.5 
Canada55.0 45.7 39.4 
Other international locations5.8 8.5 7.3 
$714.1 $617.8 $532.2 
Water Management Solutions disaggregated net revenues:
Central$142.9 $125.6 $107.3 
Northeast115.1 100.2 112.1 
Southeast109.4 106.5 76.3 
West102.9 99.1 81.8 
    United States$470.3 $431.4 $377.5 
Canada39.2 38.1 33.4 
   Other international locations23.8 23.7 21.0 
$533.3 $493.2 $431.9 
Schedule Of Selected Supplemental Balance Sheet Information Summarized financial information for our segments is presented below.
Water Flow
Solutions
Water Management
Solutions
CorporateTotal
 (in millions)
Net revenue:
2022$714.1 $533.3 $— $1,247.4 
2021617.8 493.2 — 1,111.0 
2020532.2 431.9 — 964.1 
Operating income (loss):
2022$118.3 $48.7 $(55.4)$111.6 
2021120.9 70.3 (59.5)131.7 
2020104.9 68.7 (56.8)116.8 
Depreciation and amortization:
2022$30.0 $30.3 $0.2 $60.5 
202130.5 28.9 0.2 59.6 
202028.9 28.7 0.2 57.8 
Strategic reorganization and other charges:
2022$0.2 $0.4 $6.6 $7.2 
20210.1 (0.4)8.3 8.0 
2020— 0.7 12.3 13.0 
Capital expenditures:
2022$43.4 $11.3 $— $54.7 
202151.0 11.6 0.1 62.7 
202057.3 10.1 0.3 67.7 
Intangible assets, net and goodwill
September 30, 2022$302.6 $157.2 $— $459.8 
September 30, 2021324.1 183.5 — 507.6 
Inventories, net:
September 30, 2022$160.5 $118.2 $— 278.7 
September 30, 2021$104.5 $80.2 $— 184.7