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Supplemental Cash Flows Information (USD $)
In Millions, unless otherwise specified
9 Months Ended
Jun. 30, 2014
Jun. 30, 2013
Investment securities    
Purchases $ (115.0) $ 0
Proceeds from sales 143.9 0
Net 28.9 0
Jackpot funding    
Change in jackpot liabilities (41.3) (58.2)
Jackpot annuity purchases (5.1) (3.8)
Jackpot annuity proceeds 39.7 43.1
Net change in jackpot annuity investments 34.6 39.3
Net jackpot funding (6.7) (18.9)
Capital expenditures    
Property, plant and equipment (20.5) (18.7)
Gaming operations equipment (45.8) (78.1)
Intellectual property (2.8) (0.3)
Total (69.1) (97.1)
Payments    
Interest 71.4 57.7
Income taxes 79.3 116.6
Acquisition-related retention bonuses 58.3 29.7
Release of Indemnification holdback 22.0 0
Acquisition related contingent earn out consideration [Abstract]    
Operating cash flows 26.0 17.2
Financing cash flows 34.1 27.9
Acquisition related contingent earn out consideration, total 60.1 45.1
Total all acquisition-related payments 140.4 74.8
Non-cash investing and financing items:    
Accrued capital asset additions 1.9 (1.0)
Interest accretion for jackpot annuity investments 12.0 13.5
Business acquisitions/purchase price adjustments    
Fair value of assets 2.4 0
Fair value of liabilities $ 0.9 $ 0