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BUSINESS SEGMENTS (Tables)
6 Months Ended
Mar. 30, 2013
Business Segments Tables  
Schedule of Segment Reporting

   (in thousands) 
   Thirteen Weeks
Ending
March 30, 2013
   Thirteen Weeks
Ending
March 31, 2012
 
Operating Revenues:          
   Restaurants  $18,001   $16,529 
   Package stores   3,716    3,575 
   Other revenues   538    514 
      Total operating revenues  $22,255   $20,618 
           
Income from Operations Reconciled to Income Before Income Taxes
and Net Income Attributable to Noncontrolling Interests
          
    Restaurants  $1,796   $1,572 
    Package stores   313    278 
    2,109    1,850 
Corporate expenses, net of other Revenues   (704)   (737)
    Operating income   1,405    1,113 
    Other income (expense)   (72)   (208)
Income Before Income Taxes and Net Income Attributable to
Noncontrolling Interests
  $1,333   $905 
           
Depreciation and Amortization:          
   Restaurants  $451   $451 
   Package stores   97    58 
    548    509 
   Corporate   117    125 
Total Depreciation and Amortization  $665   $634 
           
Capital Expenditures:          
   Restaurants  $307   $329 
   Package stores   34    30 
    341    359 
   Corporate   98    125 
Total Capital Expenditures  $439   $484 

 

   Twenty Six Weeks
Ending
March 30, 2013
   Twenty Six Weeks
Ending
March 31, 2012
 
Operating Revenues:          
   Restaurants  $33,520   $31,313 
   Package stores   7,266    7,357 
   Other revenues   1,082    900 
      Total operating revenues  $41,868   $39,570 
           
Income from Operations Reconciled to Income Before Income Taxes
and Net Income Attributable to Noncontrolling Interests
          
    Restaurants  $2,734   $2,694 
    Package stores   599    492 
    3,333    3,186 
Corporate expenses, net of other Revenues   (1,292)   (1,413)
    Operating income   2,041    1,773 
    Other income (expense)   (272)   (365)
Income Before Income Taxes and Net Income Attributable to
Noncontrolling Interests
  $1,769   $1,408 
           
Depreciation and Amortization:          
   Restaurants  $869   $944 
   Package stores   193    116 
    1,062    1,060 
   Corporate   231    209 
Total Depreciation and Amortization  $1,293   $1,269 
           
Capital Expenditures:          
   Restaurants  $1,941   $1,805 
   Package stores   45    49 
    1,986    1,854 
   Corporate   2,682    5,220 
Total Capital Expenditures  $4,668   $7,072 

 

   March 30,   September 29, 
   2013   2012 
Identifiable Assets:          
   Restaurants  $25,810   $22,133 
   Package store   4,987    4,952 
    30,797    27,085 
   Corporate   18,628    19,659 
Consolidated Totals  $49,425   $46,744