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Interest Rate Swaps (Fair Value Of Cash Flow Hedge Derivative Contracts Included In The Consolidated Balance Sheets) (Details) (Interest Rate Swap [Member], USD $)
In Thousands, unless otherwise specified
Mar. 31, 2013
Sep. 30, 2012
Summary of Derivative Instruments by Risk Exposure [Line Items]    
Total derivative contracts, net $ 2,300 $ 3,119
Accrued liabilities [Member]
   
Summary of Derivative Instruments by Risk Exposure [Line Items]    
Total derivative contracts, net 1,665 1,705
Other long-term liabilities [Member]
   
Summary of Derivative Instruments by Risk Exposure [Line Items]    
Total derivative contracts, net $ 635 $ 1,414