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Consolidated Statements Of Cash Flows (USD $)
In Millions, unless otherwise specified
6 Months Ended
Mar. 31, 2014
Mar. 31, 2013
Operating    
Net income $ 105.0 $ 143.5
Adjustments:    
Depreciation and amortization 99.4 117.8
Acquisition-related contingent earn-out costs 6.6 16.2
Discounts and deferred issuance costs 23.7 22.1
Share-based compensation 16.5 18.6
Impairment 9.0 1.6
Excess tax benefits from employee stock plans (6.5) (0.9)
Other non-cash items 15.6 12.4
Changes in operating assets and liabilities, excluding acquisitions:    
Receivables 15.5 (21.1)
Inventories 13.4 9.4
Accounts payable and accrued liabilities (50.2) (78.0)
Jackpot liabilities (32.9) (40.7)
Income taxes, net of employee stock plans (43.9) (21.0)
Other assets and deferred costs (236.4) 2.6
Net operating cash flows (65.2) 182.5
Investing    
Capital expenditures (46.2) (56.4)
Proceeds from assets sold 7.8 8.3
Investment securities, net 13.9 0
Jackpot annuity investments, net 25.0 27.1
Changes in restricted cash 5.6 5.8
Loans receivable payments received 14.9 15.1
Net investing cash flows 21.0 (0.1)
Financing    
Debt proceeds 0 65.0
Debt repayments 0 (85.0)
Debt issuance costs (0.6) 0
Employee stock plan proceeds 5.5 7.4
Excess tax benefits from employee stock plans 6.5 0.9
Share repurchases, including net shares (211.3) (75.1)
Dividends paid (53.4) (34.7)
Acquisition-related contingent consideration (56.1) (27.9)
Net financing cash flows (309.4) (149.4)
Foreign exchange rates effect on cash and equivalents (3.9) (2.8)
Net change in cash and equivalents (357.5) 30.2
Beginning cash and equivalents 713.3 206.3
Ending cash and equivalents $ 355.8 $ 236.5