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Debt (Summary Of Borrowings) (Details) - USD ($)
$ in Thousands
6 Months Ended 12 Months Ended
Mar. 13, 2020
Mar. 12, 2020
Mar. 06, 2020
Sep. 18, 2019
Dec. 13, 2016
Jun. 30, 2020
Dec. 31, 2019
Dec. 31, 2018
Debt Instrument [Line Items]                
Contractual Facility           $ 286,407 $ 283,138  
Balance Gross           275,913 209,218  
Balance Net           273,421 [1] 207,012 [2]  
Deferred financing costs, net           $ 2,500 $ 2,200  
Trust Preferred Securities [Member]                
Debt Instrument [Line Items]                
Maturity Date           Apr. 30, 2027 Apr. 30, 2027  
Contractual Facility           $ 27,913 $ 27,913  
Balance Gross           27,913 27,913  
Balance Net           $ 26,395 [1] $ 26,311 [2]  
Stated Interest Rate           4.76% 5.94%  
Effective Interest Rate           4.76% 5.94%  
Bank Of America Credit Facility [Member]                
Debt Instrument [Line Items]                
Maturity Date     Mar. 06, 2023     Mar. 06, 2023 Mar. 06, 2023  
Contractual Facility     $ 55,000     $ 55,000 $ 55,000  
Balance Gross           55,000 33,500  
Balance Net           $ 54,906 [1] $ 33,445 [2]  
Stated Interest Rate           3.18% 4.80%  
Effective Interest Rate           3.18% 4.80%  
Bank Of America Line Of Credit [Member]                
Debt Instrument [Line Items]                
Maturity Date     Mar. 06, 2023     Mar. 06, 2023 Mar. 06, 2023  
Contractual Facility     $ 5,000     $ 5,000 $ 5,000  
Balance Gross           5,000    
Balance Net [1]           $ 5,000    
Stated Interest Rate           3.18% 4.80%  
Effective Interest Rate           3.18% 4.80%  
US Cinema 1, 2, 3 Term Loan [Member]                
Debt Instrument [Line Items]                
Maturity Date Apr. 01, 2022         Apr. 01, 2022 Apr. 01, 2022  
Contractual Facility $ 25,000 $ 20,000       $ 24,907 $ 18,658  
Balance Gross           24,907 18,658  
Balance Net           $ 24,498 [1] $ 18,532 [2]  
Stated Interest Rate           4.25% 3.25%  
Effective Interest Rate           4.25% 3.25%  
Minetta And Orpheum Theatres Loan [Member]                
Debt Instrument [Line Items]                
Maturity Date [3]           Nov. 01, 2023 Nov. 01, 2023  
Contractual Facility           $ 8,000 [3] $ 8,000 [3] $ 7,500
Balance Gross [3]           8,000 8,000  
Balance Net [3]           $ 7,900 [1] $ 7,887 [2]  
Stated Interest Rate [3]           2.22% 3.74%  
Effective Interest Rate [3]           5.15% 5.15%  
U.S. Corporate Office Term Loan [Member]                
Debt Instrument [Line Items]                
Maturity Date           Jan. 01, 2027 Jan. 01, 2027  
Contractual Facility         $ 8,400 $ 9,199 $ 9,260  
Balance Gross           9,199 9,260  
Balance Net           $ 9,100 [1] $ 9,153 [2]  
Effective Interest Rate           4.61% 4.64%  
Purchase Money Promissory Note [Member]                
Debt Instrument [Line Items]                
Maturity Date       Sep. 18, 2024   Sep. 18, 2024 Sep. 18, 2024  
Contractual Facility           $ 3,045 $ 3,363  
Balance Gross           3,045 3,363  
Balance Net           $ 3,045 [1] $ 3,363 [2]  
Stated Interest Rate           5.00% 5.00%  
Effective Interest Rate           5.00% 5.00%  
Union Square Construction Financing [Member]                
Debt Instrument [Line Items]                
Maturity Date           Dec. 29, 2020 Dec. 29, 2020  
Contractual Facility           $ 50,000 $ 50,000  
Balance Gross           39,506 36,048  
Balance Net           $ 39,396 [1] $ 36,035 [2]  
Stated Interest Rate           5.50% 6.02%  
Effective Interest Rate           5.50% 6.02%  
NAB Corporate Loan Facility [Member]                
Debt Instrument [Line Items]                
Maturity Date           Dec. 31, 2023 [4] Dec. 31, 2023 [5]  
Contractual Facility           $ 82,716 [4] $ 84,360 [5]  
Balance Gross           82,716 [4] 65,731 [5]  
Balance Net           $ 82,553 [1],[4] $ 65,541 [2],[5]  
Stated Interest Rate           1.29% [4] 1.77% [5]  
Effective Interest Rate           1.29% [4] 1.77% [5]  
Westpac Bank Corporate Credit Facility [Member]                
Debt Instrument [Line Items]                
Maturity Date           Dec. 31, 2023 [4] Dec. 31, 2023 [5]  
Contractual Facility           $ 20,627 [4] $ 21,584 [5]  
Balance Gross           20,627 [4] 6,745 [5]  
Balance Net           $ 20,628 [1],[4] $ 6,745 [2],[5]  
Stated Interest Rate           2.30% [4] 3.05% [5]  
Effective Interest Rate           2.30% [4] 3.05% [5]  
Minimum [Member] | U.S. Corporate Office Term Loan [Member]                
Debt Instrument [Line Items]                
Stated Interest Rate           4.44% 4.44%  
Maximum [Member] | U.S. Corporate Office Term Loan [Member]                
Debt Instrument [Line Items]                
Stated Interest Rate           4.64% 4.64%  
[1] Net of deferred financing costs amounting to $2.5 million.
[2] Net of deferred financing costs amounting to $2.2 million.
[3] The interest rate derivative associated with the Minetta & Orpheum loan provides for an effective fixed rate of 5.15%.
[4] The contractual facilities and outstanding balances of the foreign currency denominated borrowings were translated into U.S. dollars based on the applicable exchange rates as of June 30, 2020.
[5] The contractual facilities and outstanding balances of the foreign currency denominated borrowings were translated into U.S. dollars based on the applicable exchange rates as of December 31, 2019.