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Leases (Tables)
12 Months Ended
Sep. 30, 2025
Leases [Abstract]  
Schedule of Operating & Finance Lease Assets and Liabilities
The following table presents the lease balances within the accompanying consolidated balance sheets as of September 30, 2025 and 2024:
Balance Sheet LocationSeptember 30,
20252024
(In thousands)
Assets
   Operating leasesOperating lease right-of-use assets$26,213 $29,580 
   Finance leases (*)Property and equipment, net6,946 9,881 
       Total lease assets$33,159 $39,461 
Liabilities
Current:
   Operating leasesOther accrued liabilities$9,615 $11,555 
   Finance leasesOther accrued liabilities3,266 3,144 
Non-current:
   Operating leasesOperating lease liabilities19,187 21,963 
   Finance leasesOther liabilities3,941 7,263 
       Total lease liabilities$36,009 $43,925 
(*) Finance leases were recorded net of accumulated depreciation of $4.8 million and $1.9 million at September 30, 2025 and 2024, respectively.
Schedule of Lease Expenses, Weighted Average Lease Term and Weighted Average Discount Rates, and Supplemental Cash Flow Information
The components of our operating and finance lease expenses were as follows:
Year Ended September 30,
202520242023
(In thousands)
Operating lease cost$11,686 $14,421 $16,594 
Finance lease cost:
   Depreciation of lease assets2,935 1,859 — 
   Interest on lease liabilities481 369 — 
Short-term lease cost802 811 461 
Variable lease cost1,906 2,060 2,363 
Sublease income (461)(1,073)(429)
     Total lease cost$17,349 $18,447 $18,989 
The following table presents weighted-average remaining lease terms and weighted-average discount rates related to our operating and finance leases:
September 30,
20252024
Operating leases:
     Weighted-average remaining lease term (in months)4644
     Weighted-average discount rate6.58 %6.41 %
Finance leases:
     Weighted-average remaining lease term (in months)2840
     Weighted-average discount rate5.52 %5.52 %
Supplemental cash flow information related to our non-cancellable leases was as follows:
Year Ended September 30,
202520242023
(In thousands)
Cash paid for amounts included in the measurement of lease liabilities:
Operating cash outflow for operating leases$11,651 $18,153 $19,780 
Operating cash outflow for finance leases481 369 — 
Financing cash outflow for finance leases3,144 1,333 — 
Lease assets obtained in exchange for new lease liabilities:
Operating leases6,669 22,433 4,150 
Finance leases— 11,740 — 
Schedule of Future Lease Payments, Operating Leases
Future lease payments under our non-cancellable leases as of September 30, 2025 were as follows:
Operating LeasesFinance Leases
(In thousands)
Fiscal 2026$11,214 $3,625 
Fiscal 20278,125 3,625 
Fiscal 20285,576 441 
Fiscal 20293,767 — 
Fiscal 20301,917 — 
Thereafter2,191 — 
      Total future undiscounted lease payments32,790 7,691 
         Less imputed interest(3,988)(484)
      Total reported lease liabilities$28,802 $7,207 
Schedule of Future Lease Payments, Finance Leases
Future lease payments under our non-cancellable leases as of September 30, 2025 were as follows:
Operating LeasesFinance Leases
(In thousands)
Fiscal 2026$11,214 $3,625 
Fiscal 20278,125 3,625 
Fiscal 20285,576 441 
Fiscal 20293,767 — 
Fiscal 20301,917 — 
Thereafter2,191 — 
      Total future undiscounted lease payments32,790 7,691 
         Less imputed interest(3,988)(484)
      Total reported lease liabilities$28,802 $7,207