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Other Current Liabilities and Other Liabilities (Details) (USD $)
1 Months Ended 9 Months Ended
Sep. 30, 2013
Mar. 31, 2013
Jan. 31, 2013
Dec. 31, 2012
Jun. 30, 2013
Rebranding Incentive
Sep. 30, 2013
Rebranding Incentive
Jan. 31, 2013
Rochester Portfolio
Other Current Liabilities              
Property, sales and use taxes payable $ 17,988,000     $ 13,254,000      
Income tax payable 200,000     125,000      
Accrued interest 4,160,000     4,901,000      
Advanced deposits 9,206,000     6,938,000      
Management fees payable 1,089,000     2,346,000      
Other 3,454,000     3,399,000      
Other Current Liabilities 36,097,000     30,963,000      
Other liabilities              
Deferred gain on sale of asset 14,000,000   14,000,000       3,700,000
Interest rate swap derivative agreement 1,196,000     1,636,000      
Accrued income tax 1,489,000 1,500,000          
Deferred revenue 7,018,000     1,089,000   6,200,000  
Deferred rent 11,568,000     9,459,000      
Deferred incentive management fees 1,645,000            
Other 2,985,000     2,886,000      
Other liabilities 39,901,000     15,070,000      
Other Current Liabilities and Other Liabilities              
Portfolio's pension plan liability             14,000,000
Amount of incentive fee received for rebranding hotel         6,500,000    
Incentive amortization period           25 years  
Current portion of deferred revenue rebranding incentive           300,000  
Noncurrent portion of deferred rebranding incentive $ 7,018,000     $ 1,089,000   $ 6,200,000