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Note 4 - Receivables (Tables)
12 Months Ended
Sep. 30, 2012
Allowance for Credit Losses on Financing Receivables [Table Text Block]
September 30,
 
2012
   
2011
   
2010
 
Accounts Receivable:
                 
Beginning balance
  $ 17.6     $ 24.6     $ 23.4  
Charge-offs
    (2.8 )     (10.7 )     (5.5 )
Recoveries
    1.1       0.1       0.6  
Provisions
    3.2       3.6       6.1  
Ending balance
  $ 19.1     $ 17.6     $ 24.6  
                         
Customer Financing:
                       
Beginning balance
  $ 71.4     $ 78.4     $ 33.2  
Charge-offs
    (10.4 )     (9.3 )     (8.2 )
Recoveries
    -       -       0.6  
Provisions
    11.8       2.3       52.8  
Ending balance
  $ 72.8     $ 71.4     $ 78.4  
Current
  $ 51.6     $ 41.7     $ 39.8  
Non-current
  $ 21.2     $ 29.7     $ 38.6  
EstimatedFutureCollections
Estimated future collections
 
2013
   
2014
   
2015
   
2016
   
2017
   
Thereafter
   
Total
 
Notes
  $ 40.5     $ 20.6     $ -     $ -     $ -     $ -     $ 61.1  
Contracts
    177.7       77.2       38.7       2.3       0.5       -       296.4  
    $ 218.2     $ 97.8     $ 38.7     $ 2.3     $ 0.5     $ -     $ 357.5  
Schedule of Accounts, Notes, Loans and Financing Receivable [Table Text Block]
September 30,
 
 
 2012
   
 
 2011
 
Recorded Investment
           
principal and interest due, net of deferred interest and fees of $8.1 in 2012 and $11.6 in 2011
       
Individually evaluated for impairment
  $ 123.2     $ 104.2  
Collectively evaluated for impairment
    307.1       260.7  
Total
  $ 430.3     $ 364.9  
                 
Allowances for Credit Losses
               
Individually evaluated for impairment
  $ 59.9     $ 58.6  
Collectively evaluated for impairment
    12.9       12.8  
Total
  $ 72.8     $ 71.4  
Past Due Financing Receivables [Table Text Block]
Age Analysis of Recorded Investment
 
September 30, 2012
   
September 30, 2011
 
   
Contracts
   
Notes
   
Total
   
Contracts
   
Notes
   
Total
 
Past Due:
                                   
1-29 days
  $ 6.6     $ -     $ 6.6     $ 5.3     $ 2.0     $ 7.3  
30-59 days
    6.0       1.4       7.4       2.0       1.8       3.8  
60-89 days
    1.4       1.4       2.8       1.2       1.8       3.0  
Over 90 days
    6.3       40.0       46.3       6.3       31.0       37.3  
Total past due
  $ 20.3     $ 42.8     $ 63.1     $ 14.8     $ 36.6     $ 51.4  
Total current (1)
    288.1       79.1       367.2       188.1       125.4       313.5  
Grand total
  $ 308.4     $ 121.9     $ 430.3     $ 202.9     $ 162.0     $ 364.9  
                                                 
Over 90 days and accruing interest
  $ 1.4     $ 0.3     $ 1.7     $ 2.6     $ 0.1     $ 2.7  
Nonaccrual status (not accruing interest)
    13.8       75.0       88.8       24.2       84.0       108.2  
Financing Receivable Credit Quality Indicators [Table Text Block]
   
September 30, 2012
   
September 30, 2011
 
   
Contracts
   
Notes
   
Total
   
Contracts
   
Notes
   
Total
 
Low
  $ 87.8     $ -     $ 87.8     $ 43.9     $ -     $ 43.9  
Medium
    68.3       0.2       68.5       25.8       0.3       26.1  
High (2)
    152.3       121.7       274.0       133.2       161.7       294.9  
Total recorded investment
  $ 308.4     $ 121.9     $ 430.3     $ 202.9     $ 162.0     $ 364.9  
Impaired Financing Receivables [Table Text Block]
Impaired loans
 
September 30, 2012
   
September 30, 2011
 
   
Contracts
   
Notes
   
Total
   
Contracts
   
Notes
   
Total
 
Recorded investment
  $ 2.5     $ 75.0     $ 77.5     $ 5.2     $ 84.0     $ 89.2  
Unpaid principal face
    2.5       75.0       77.5       5.1       85.2       90.3  
Related allowance
    1.4       58.5       59.9       2.8       55.8       58.6  
Average recorded investment
    3.9       79.5       83.4       8.8       87.6       96.4  
                                                 
Interest income recognized on impaired loans:
                                               
Quarter-to-date
                                               
Total
  $ -     $ -     $ -     $ 0.2     $ -     $ 0.2  
Cash-basis
    -       -       -       -       -       -  
Year-to-date
                                               
Total
  $ -     $ -     $ -     $ 0.7     $ 0.3     $ 1.0  
Cash-basis
    -       -       -       -       0.3       0.3