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Note 14 - Operating Segments (Tables)
3 Months Ended
Mar. 31, 2020
Notes Tables  
Schedule of Segment Reporting Information, by Segment [Table Text Block]
   
Three Months Ended March 31,
 
   
2020
   
2019
 
Revenues by segment
               
EGM
  $
50,355
    $
69,655
 
Table Products
   
2,482
     
2,156
 
Interactive
   
1,476
     
1,231
 
Total Revenues
   
54,313
     
73,042
 
Adjusted EBITDA by segment
               
EGM
   
23,372
     
36,722
 
Table Products
   
898
     
478
 
Interactive
   
231
     
(935
)
Subtotal
   
24,501
     
36,265
 
Write-downs and other:
               
Loss on disposal of long lived assets
   
49
     
266
 
Impairment of long lived assets
   
6
     
350
 
Fair value adjustments to contingent consideration and other items
   
-
     
400
 
Depreciation and amortization
   
24,369
     
21,533
 
Accretion of placement fees(1)
   
1,859
     
1,271
 
Non-cash stock-based compensation expense
   
1,551
     
1,196
 
Acquisitions and integration related costs including restructuring and severance
   
452
     
2,069
 
Initial public offering costs and secondary offering
   
-
     
279
 
Non-cash charge on capitalized installation and delivery
   
696
     
648
 
Other adjustments
   
702
     
(95
)
Interest expense
   
8,342
     
8,874
 
Interest (income)
   
(52
)    
(39
)
Other expense
   
4,339
     
5,260
 
(Loss) income before income taxes
  $
(17,812
)   $
(5,747
)