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FAIR VALUE MEASUREMENTS (Tables)
12 Months Ended
Sep. 30, 2012
FAIR VALUE MEASUREMENTS [Abstract]  
Schedule of Financial Assets Measured at Fair Value on a Recurring Basis
 



Quoted Prices in


Significant Other


Significant

 



Active Markets for


Observable


Unobservable

 
Balance at


Identical Assets


Inputs


Inputs

 
September 30, 2012


(Level 1)


(Level 2)


(Level 3)

 











Cash and cash equivalents

$ 84.3

$ 84.3

$ -

$ -
Available-for-sale marketable securities


7.3


-


-


7.3
Total assets at fair value

$ 91.6

$ 84.3

$ -

$ 7.3






Quoted Prices in


Significant Other


Significant

 



Active Markets for


Observable


Unobservable

 
Balance at


Identical Assets


Inputs


Inputs

 
September 30, 2011


(Level 1)


(Level 2)


(Level 3)

 











Cash and cash equivalents

$ 224.6

$ 224.6

$ -

$ -
Available-for-sale marketable securities


11.1


-


-


11.1
Total assets at fair value

$ 235.7

$ 224.6

$ -

$ 11.1
Reconciliation of Level 3 Assets
 
Available-For-Sale


AOCL


(Gain)/Loss

 








Balance at October 1, 2011

$ 11.1

$ 1.3

$ -
Change in fair value


-


-


-
Sales or redemptions


(3.8 )

(0.8 )

0.1
Balance at September 30, 2012

$ 7.3

$ 0.5

$ 0.1
Schedule of Changes in Unrealized Gains (Losses)
 
Years Ended September 30

 
2012


2011


2010

Unrealized gains (losses) on available-for sale securities:









Unrealized holding gains (losses) arising during period, net-of-tax

$ 0.7

$ (0.2 )
$ 0.2
Less: Reclassification adjustment for losses (gains) realized in net income, net-of-tax


0.1


-


(0.1 )
Net change in unrealized gains (losses), net-of-tax

$ 0.8

$ (0.2 )
$ 0.1