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Supplemental Disclosure of Cash Flow Information (Supplemental disclosure for the Consolidated Statements of Cash Flows) (Details) (USD $)
In Thousands, unless otherwise specified
9 Months Ended
Sep. 30, 2014
Sep. 30, 2013
Business Segment [Line Items]    
Cash paid for interest and financing costs $ 7,588 $ 9,444
Cash paid (refunded) for income taxes 830 506
Fair value of stock, stock options and performance awards issued to directors, officers and certain employees 8,219 3,822
Restricted common stock withheld for payroll taxes 1,305 1,601
Preneed Funeral Trust [Member]
   
Business Segment [Line Items]    
Net (deposits)/withdrawals into/from trust accounts (1,336) (1,400)
Net (deposits)/withdrawals of receivables into/from preneed trusts (1,086) (424)
Net deposits/(withdrawals) into/from preneed trust accounts, increasing/(decreasing) deferred preneed receipts 1,336 1,400
Preneed Cemetery Trust [Member]
   
Business Segment [Line Items]    
Net (deposits)/withdrawals into/from trust accounts (1,099) 181
Net deposits/(withdrawals) into/from preneed trust accounts, increasing/(decreasing) deferred preneed receipts 1,099 (181)
Perpetual Care Trust [Member]
   
Business Segment [Line Items]    
Net (deposits)/withdrawals into/from trust accounts 293 5,209
Net deposits/(withdrawals) in perpetual care trust accounts increasing/(decreasing) perpetual care trusts’ corpus 160 (4,820)
Preneed Funeral Receivables [Member]
   
Business Segment [Line Items]    
Net (increase)/decrease in preneed receivables (1,500) (1,530)
Net change in preneed receivables (increasing)/decreasing deferred revenue 245 1,869
Preneed Cemetery Receivables [Member]
   
Business Segment [Line Items]    
Net change in preneed receivables (increasing)/decreasing deferred revenue $ 90 $ 621