Annual report [Section 13 and 15(d), not S-K Item 405]

CONSOLIDATED STATEMENTS OF SHAREHOLDERS' EQUITY

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CONSOLIDATED STATEMENTS OF SHAREHOLDERS' EQUITY - USD ($)
$ in Thousands
Total
Common Stock
Additional Paid-in Capital
Retained Earnings
Accumulated Other Comprehensive (Loss) Income (net of tax)
Treasury Stock
Non- controlling Interests
Beginning Balance at Sep. 30, 2022 $ 487,076 $ 36,334 $ 160,255 $ 706,749 $ (190,191) $ (225,795) $ (276)
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Net income (loss) 39,136     39,291     (155)
Pension plans and other postretirement benefits 1,578       1,578    
Translation adjustment 13,125       13,114   11
Fair value of cash flow hedges 1,095       1,095    
Total comprehensive income (loss) 54,934            
Stock-based compensation 17,308   17,308        
Purchase of shares of treasury stock (2,857)         (2,857)  
Issuance of shares of treasury stock 100   (11,310)     11,410  
Cancellation of shares of treasury stock 0   1,958     (1,958)  
Dividends (31,313)     (31,313)      
Transactions with noncontrolling interests 33           33
Ending Balance at Sep. 30, 2023 525,281 36,334 168,211 714,727 (174,404) (219,200) (387)
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Net income (loss) (59,660)     (59,660)      
Pension plans and other postretirement benefits (1,805)       (1,805)    
Translation adjustment 15,596       15,573   23
Fair value of cash flow hedges (8,106)       (8,106)    
Total comprehensive income (loss) (53,975)            
Stock-based compensation 18,478   18,478        
Purchase of shares of treasury stock (20,574)         (20,574)  
Issuance of shares of treasury stock 0   (26,780)     26,780  
Dividends (32,004)     (32,004)      
Transactions with noncontrolling interests 0   (412)       412
Ending Balance at Sep. 30, 2024 437,206 36,334 159,497 623,063 (168,742) (212,994) 48
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Net income (loss) (24,471)     (24,471)      
Pension plans and other postretirement benefits 2,585       2,585    
Translation adjustment 89,626       89,626    
Fair value of cash flow hedges (1,479)       (1,479)    
Total comprehensive income (loss) 66,261            
Stock-based compensation 23,065   23,065        
Purchase of shares of treasury stock (12,228)         (12,228)  
Issuance of shares of treasury stock 0   (27,945)     27,945  
Dividends (33,314)     (33,314)      
Divestiture (48)           (48)
Ending Balance at Sep. 30, 2025 $ 480,942 $ 36,334 $ 154,617 $ 565,278 $ (78,010) $ (197,277) $ 0