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Supplemental Disclosure Of Cash Flow Information
12 Months Ended
Sep. 30, 2011
Supplemental Disclosure Of Cash Flow Information [Abstract]  
Supplemental Disclosure Of Cash Flow Information

 

15) Supplemental Disclosure of Cash Flow Information

 

     Years Ended September 30,  

(in thousands)

   2011      2010     2009  

Cash paid during the period for:

       

Income taxes, net

   $ 9,215       $ 2,061      $ 2,091   

Interest

   $ 12,994       $ 14,836      $ 18,221   

Debt redemption premium

   $ 1,409       $ 854      $ —     

Non-cash financing activities:

       

Increase (decrease) in interest expense—amortization of net debt premium on the 10.25% Senior Notes and debt discount on the 8.875% Senior Notes

   $ 52       $ (132   $ (226

Decrease in net debt premium attributable to redemption of debt

   $ 247       $ 203      $ 172   

Decrease in deferred charges attributable to revolving credit facility amendment

   $ —         $ —        $ 322