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RECEIVABLES (Tables)
9 Months Ended
Jun. 30, 2014
RECEIVABLES  
Schedule of Credit Losses for Financing Receivables, Current
3.  RECEIVABLES

ACCOUNTS RECEIVABLE
 
 
June 30, 2014
  
September 30, 2013
 
Allowances for Credit Losses
 
$
27.1
  
$
22.3
 

Schedule of Accounts, Notes, Loans and Financing Receivable
 
Recorded Investment 
 
June 30, 2014
  
September 30, 2013
 
(principal and interest due, net of deferred interest and fees)
 
Contracts
  
Notes
  
Total
  
Contracts
  
Notes
  
Total
 
Individually evaluated for impairment
 
$
23.1
  
$
75.5
  
$
98.6
  
$
7.4
  
$
75.0
  
$
82.4
 
Collectively evaluated for impairment
  
317.6
   
0.1
   
317.7
   
375.8
   
15.2
   
391.0
 
Total
 
$
340.7
  
$
75.6
  
$
416.3
  
$
383.2
  
$
90.2
  
$
473.4
 
 
                        
Allowances for Credit Losses
 
June 30, 2014
  
September 30, 2013
 
 
 
Contracts
  
Notes
  
Total
  
Contracts
  
Notes
  
Total
 
Individually evaluated for impairment
 
$
10.8
  
$
56.5
  
$
67.3
  
$
2.6
  
$
60.8
  
$
63.4
 
Collectively evaluated for impairment
  
18.1
   
0.0
   
18.1
   
14.4
   
0.7
   
15.1
 
Total
 
$
28.9
  
$
56.5
  
$
85.4
  
$
17.0
  
$
61.5
  
$
78.5
 
 
                        

Allowance for Credit Losses on Financing Receivables [Table Text Block]
CUSTOMER FINANCING—CONTRACTS AND NOTES

Reconciliation of Allowances for Credit Losses
 
  
 
 
 
Third Quarters
  
Nine Months
 
Periods Ended June 30,
 
2014
  
2013
  
2014
  
2013
 
Beginning balance
 
$
88.4
  
$
80.6
  
$
78.5
  
$
72.8
 
Charge-offs and other adjustments
  
(5.3
)
  
-
   
(5.3
)
  
-
 
Recoveries
  
-
   
-
   
-
   
-
 
Provisions
  
2.3
   
(4.5
)
  
12.2
   
3.3
 
Ending balance
 
$
85.4
  
$
76.1
  
$
85.4
  
$
76.1
 
Current portion
 
$
78.2
  
$
61.4
  
$
78.2
  
$
61.4
 
Noncurrent portion
  
7.2
   
14.7
   
7.2
   
14.7
 

Past Due Financing Receivables
Recorded Investment Aging Analysis
 
June 30, 2014
  
September 30, 2013
 
 
 
Contracts
  
Notes
  
Total
  
Contracts
  
Notes
  
Total
 
Past Due
 
  
  
  
  
  
 
1-29 days
 
$
7.5
  
$
1.3
  
$
8.8
  
$
18.4
  
$
1.5
  
$
19.9
 
30-59 days
  
4.2
   
1.3
   
5.5
   
5.1
   
1.4
   
6.5
 
60-89 days
  
3.3
   
1.3
   
4.6
   
4.5
   
1.3
   
5.8
 
Over 90 days
  
21.8
   
62.8
   
84.6
   
16.1
   
54.9
   
71.0
 
Total(1)
 
$
36.8
  
$
66.7
  
$
103.5
  
$
44.1
  
$
59.1
  
$
103.2
 
 
                        
Amount not past due (2)
  
303.9
   
8.9
   
312.8
   
339.1
   
31.1
   
370.2
 
Grand total
 
$
340.7
  
$
75.6
  
$
416.3
  
$
383.2
  
$
90.2
  
$
473.4
 
(1)Alabama impaired note included in total past due
     
$
66.3
  
$
66.3
      
$
56.2
  
$
56.2
 
(2)Alabama impaired note included in amount not past due
      
8.7
   
8.7
       
18.8
   
18.8
 
 
                        
Over 90 days, accruing interest
 
$
0.5
  
$
-
  
$
0.5
  
$
-
  
$
1.3
  
$
1.3
 
Nonaccrual status
  
22.2
   
75.5
   
97.7
   
13.5
   
76.2
   
89.7
 

Financing Receivable Credit Quality Indicators
Recorded Investment by Credit Quality Indicator
 
June 30, 2014
  
September 30, 2013
 
(Using Credit Profile by Internally Assigned Risk Grade)
 
Contracts
  
Notes
  
Total
  
Contracts
  
Notes
  
Total
 
Low
 
$
142.8
  
$
-
  
$
142.8
  
$
126.1
  
$
-
  
$
126.1
 
Medium
  
77.6
   
0.1
   
77.7
   
100.2
   
0.1
   
100.3
 
High (3)
  
120.3
   
75.5
   
195.8
   
156.9
   
90.1
   
247.0
 
Total
 
$
340.7
  
$
75.6
  
$
416.3
  
$
383.2
  
$
90.2
  
$
473.4
 
(3) Alabama impaired note included
     
$
75.0
  
$
75.0
      
$
75.0
  
$
75.0
 

Impaired Financing Receivables
 
Impaired Loans
 
June 30, 2014
  
September 30, 2013
 
 
 
Contracts
  
Notes
  
Total
  
Contracts
  
Notes
  
Total
 
Recorded investment
 
$
223.6
  
$
75.6
  
$
299.2
  
$
5.7
  
$
75.0
  
$
80.7
 
Unpaid principal face
  
17.5
   
75.5
   
93.0
   
5.8
   
75.0
   
80.8
 
Related allowance
  
10.6
   
56.5
   
67.1
   
2.6
   
60.8
   
63.4
 
Average recorded investment
  
11.4
   
75.3
   
86.7
   
4.1
   
75.0
   
79.1