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Supplemental Disclosure of Cash Flow Information (Tables)
6 Months Ended
Jun. 30, 2013
Supplemental Cash Flow Information [Abstract]  
Supplemental Disclosure for the Consolidated Statements of Cash Flows
The following information is supplemental disclosure for the Consolidated Statements of Cash Flows (in thousands):

For the Six Months Ended
June 30,

2012
 
2013
Cash paid for interest and financing costs
$
8,968

 
$
6,455

Cash paid for income taxes
818

 
154

Fair value of stock, stock options and performance awards issued to directors, officers and certain employees
2,650

 
3,350

Restricted common stock withheld for payroll taxes
303

 
1,383

Net deposits from preneed funeral trusts
(285
)
 
(10,337
)
Net deposits from preneed cemetery trusts
(856
)
 
(3,535
)
Net withdrawals from perpetual care trusts
874

 
186

Net increase in preneed receivables
(450
)
 
(2,108
)
Net withdrawals of receivables from preneed trusts
121

 
12,323

Net change in preneed funeral receivables decreasing deferred revenue
(279
)
 
(6,963
)
Net change in preneed cemetery receivables increasing/(decreasing) deferred revenue
102

 
(2,792
)
Net deposits into preneed funeral trust accounts increasing deferred preneed funeral receipts held in trust
285

 
10,337

Net deposits into cemetery trust accounts increasing deferred cemetery receipts held in trust
856

 
3,535

Net deposits (withdrawals) into (from) perpetual care trust accounts decreasing perpetual care trusts’ corpus
(973
)
 
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