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Supplemental Disclosure of Cash Flow Information (Supplemental disclosure for the Consolidated Statements of Cash Flows) (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2018
Dec. 31, 2017
Dec. 31, 2016
Business Segment [Line Items]      
Cash paid for interest and financing costs $ 18,858 $ 11,092 $ 10,366
Cash paid for taxes 3,543 5,902 10,874
Fair value of stock, stock options and performance awards issued to directors, officers, and certain other employees 6,563 6,854 3,275
Preneed Funeral Trust      
Business Segment [Line Items]      
Net deposits or withdrawals into or from preneed trust accounts 8,608 (1,442) (3,687)
Net deposits of receivables into preneed trusts (1,786) (1,069) (674)
Net deposits or withdrawals into or from preneed trust accounts, increasing or decreasing deferred preneed receipts (8,608) 1,442 3,687
Preneed Cemetery Trust      
Business Segment [Line Items]      
Net deposits or withdrawals into or from preneed trust accounts 11,421 (4,157) (6,405)
Net deposits or withdrawals into or from preneed trust accounts, increasing or decreasing deferred preneed receipts (15,608) 4,157 6,405
Perpetual Care Trust      
Business Segment [Line Items]      
Net deposits or withdrawals into or from preneed trust accounts 6,158 (3,340) (3,762)
Net (withdrawals) deposits from / into perpetual care trust accounts (decreasing) increasing care trusts’ corpus (5,651) 3,566 3,874
Preneed Funeral Receivables      
Business Segment [Line Items]      
Net increase or decrease in preneed receivables 1,819 (1,261) (2,385)
Net change in preneed receivables increasing or decreasing deferred revenue 2,327 1,387 1,450
Preneed Cemetery Receivables      
Business Segment [Line Items]      
Net change in preneed receivables increasing or decreasing deferred revenue $ 4,219 $ 59 $ (2,090)