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Fair Value of Financial Instruments (Details) - USD ($)
$ in Thousands
9 Months Ended
Sep. 30, 2015
Dec. 31, 2014
Financial liabilities:    
Long-term debt, total   $ 164,229
Change in acquisition-related contingent consideration liabilities    
Notes receivable $ 17,145 14,009
ELLC | Level 2    
Change in acquisition-related contingent consideration liabilities    
Notes receivable 7,500  
Carrying Amount    
Financial assets:    
Cash and cash equivalents 48,751 87,604
Restricted and escrow cash 57,100 8,234
Financial liabilities:    
Acquisition-related contingent considerations 529 524
Carrying Amount | Senior Notes Member    
Financial liabilities:    
Long-term debt, total 365,872  
Carrying Amount | New Term Loan    
Financial liabilities:    
Long-term debt, total 409,229  
Carrying Amount | New Revolving Credit Facility    
Financial liabilities:    
Long-term debt, total 15,447  
Carrying Amount | 8.625% Resorts Senior Secured Notes    
Financial liabilities:    
Long-term debt, total   164,229
Carrying Amount | MTR Second Lien Notes    
Financial liabilities:    
Long-term debt, total   610,827
Fair Value    
Financial assets:    
Cash and cash equivalents 48,751 87,604
Restricted and escrow cash 57,100 8,234
Advance to Silver Legacy Joint Venture 5,622 4,911
Financial liabilities:    
Acquisition-related contingent considerations 529 524
Fair Value | Senior Notes Member    
Financial liabilities:    
Long-term debt, total 367,500  
Fair Value | New Term Loan    
Financial liabilities:    
Long-term debt, total 424,997  
Fair Value | New Revolving Credit Facility    
Financial liabilities:    
Long-term debt, total 18,000  
Fair Value | 8.625% Resorts Senior Secured Notes    
Financial liabilities:    
Long-term debt, total   174,720
Fair Value | MTR Second Lien Notes    
Financial liabilities:    
Long-term debt, total   $ 606,919
Acquisition-Related Contingent Considerations    
Change in acquisition-related contingent consideration liabilities    
Balance at the beginning of the period 524  
Amortization of present value discount 52  
Fair value adjustment for change in consideration expected to be paid 38  
Settlements (85)  
Balance at the end of the period $ 529