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Fair Value Measurements (Tables)
12 Months Ended
Sep. 30, 2022
Fair Value Measurements  
Schedule of company's fair value hierarchy for its financial assets and liabilities measured at fair value on a recurring basis

September 30, 2021 Fair Value Measurements

 

at Reporting Date Using:

 

    

Level 1

    

Level 2

    

Level 3

NAV

    

Total

 

Assets:

Pension plan assets

$

23,654

$

169,953

$

$

104,096

$

297,703

Total fair value

$

23,654

$

169,953

$

$

104,096

$

297,703

September 30, 2022 Fair Value Measurements

 

at Reporting Date Using:

 

    

Level 1

    

Level 2

    

Level 3

NAV

    

Total

 

Assets:

Pension plan assets

$

15,926

$

158,582

$

$

43,813

$

218,321

Total fair value

$

15,926

$

158,582

$

$

43,813

$

218,321