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CONSOLIDATED STATEMENT OF EQUITY (USD $)
In Thousands, unless otherwise specified
Shares of Beneficial Interest
Additional Paid-In Capital
Accumulated Other Comprehensive Income
(Accumulated Deficit)
Treasury Shares
Non Controlling Interests
Comprehensive Income
Total
Balances at Sep. 30, 2011 $ 44,981 $ 171,889 $ 278 $ (77,015) $ (11,070) $ 6,666   $ 135,729
Increase (Decrease) in Stockholders' Equity                
Restricted stock vesting   (319)     319      
Compensation expense-restricted stock   758           758
Contributions from non-controlling interests           11,243   11,243
Distributions to non-controlling interests           (1,460)   (1,460)
Shares repurchased (139,507 shares) (419) (461)           (880)
Retirement of treasury shares (1,380,978 shares) (4,142) (6,609)     10,751      
Net (loss) income       4,430   (2,880) 1,550 1,550
Other comprehensive income (loss)     78       78 78
Comprehensive (loss) income             1,628 1,628
Balances at Sep. 30, 2012 40,420 165,258 356 (72,585) 0 13,569   147,018
Increase (Decrease) in Stockholders' Equity                
Restricted stock vesting 186 (186)            
Compensation expense-restricted stock   691           691
Contributions from non-controlling interests           17,192   17,192
Distributions to non-controlling interests           (1,370)   (1,370)
Net (loss) income       5,013   (2,924) 2,089 2,089
Other comprehensive income (loss)     (362)       (362) (362)
Comprehensive (loss) income             1,727 1,727
Balances at Sep. 30, 2013 40,606 165,763 (6) (67,572) 0 26,467   165,258
Increase (Decrease) in Stockholders' Equity                
Restricted stock vesting 359 (359)            
Compensation expense-restricted stock   805           805
Contributions from non-controlling interests           22,062   22,062
Distributions to non-controlling interests           (3,318)   (3,318)
Net (loss) income       (9,454)   (6,712) (16,166) (16,166)
Other comprehensive income (loss)     (2)       (2) (2)
Comprehensive (loss) income             (16,168) (16,168)
Balances at Sep. 30, 2014 $ 40,965 $ 166,209 $ (8) $ (77,026) $ 0 $ 38,499   $ 168,639