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Fair Value of Financial Instruments (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2016
Dec. 31, 2015
Change in acquisition-related contingent consideration liabilities    
Notes receivable $ 1,286 $ 1,286
Carrying Amount    
Financial assets:    
Cash and cash equivalents 44,099 78,278
Restricted cash 9,054 5,271
Financial liabilities:    
Acquisition-related contingent considerations 530 529
Fair Value    
Financial assets:    
Cash and cash equivalents 44,099 78,278
Restricted cash 9,054 5,271
Financial liabilities:    
Acquisition-related contingent considerations 530 529
Acquisition-Related Contingent Considerations    
Change in acquisition-related contingent consideration liabilities    
Balance at the beginning of the period 529  
Amortization of present value discount 1  
Balance at the end of the period 530  
8.625% Resorts Senior Secured Notes | Senior Notes | Carrying Amount    
Financial liabilities:    
Long-term debt, total 366,201 366,043
8.625% Resorts Senior Secured Notes | Senior Notes | Fair Value    
Financial liabilities:    
Long-term debt, total 387,188 367,500
New Term Loan | New Term Loan    
Financial liabilities:    
Long-term debt, total 407,793 408,410
New Term Loan | New Term Loan | Carrying Amount    
Financial liabilities:    
Long-term debt, total 407,793 408,410
New Term Loan | New Term Loan | Fair Value    
Financial liabilities:    
Long-term debt, total 424,470 419,796
New Revolving Credit Facility | New Revolving Credit Facility    
Financial liabilities:    
Long-term debt, total 56,584 90,967
New Revolving Credit Facility | New Revolving Credit Facility | Carrying Amount    
Financial liabilities:    
Long-term debt, total 56,584 90,967
New Revolving Credit Facility | New Revolving Credit Facility | Fair Value    
Financial liabilities:    
Long-term debt, total $ 59,000 $ 93,500