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Borrowings (Summary Of Borrowings) (Details)
$ in Thousands, $ in Millions
9 Months Ended 12 Months Ended
Aug. 13, 2024
NZD ($)
Sep. 30, 2024
USD ($)
Sep. 30, 2024
NZD ($)
Dec. 31, 2023
USD ($)
Debt Instrument [Line Items]        
Contractual Facility   $ 222,876   $ 218,159
Balance Gross   215,017   210,300
Balance Net   214,033   208,847
Deferred financing costs, net   $ 1,000   $ 1,500
Trust Preferred Securities [Member]        
Debt Instrument [Line Items]        
Maturity Date   Apr. 30, 2027 Apr. 30, 2027 Apr. 30, 2027
Contractual Facility   $ 27,913   $ 27,913
Balance Gross   27,913   27,913
Balance Net   $ 27,339   $ 27,172
Stated Interest Rate   9.52% 9.52% 9.65%
Effective Interest Rate   9.52%   9.65%
Bank Of America Credit Facility [Member]        
Debt Instrument [Line Items]        
Maturity Date   Aug. 18, 2025 Aug. 18, 2025 Sep. 04, 2024
Contractual Facility   $ 16,250   $ 20,200
Balance Gross   16,250   20,200
Balance Net   $ 16,195   $ 20,080
Stated Interest Rate   11.00% 11.00% 11.00%
Effective Interest Rate   11.00%   11.00%
US Cinema 1, 2, 3 Term Loan [Member]        
Debt Instrument [Line Items]        
Maturity Date   Oct. 01, 2024 Oct. 01, 2024 Oct. 01, 2024
Contractual Facility   $ 20,775   $ 21,008
Balance Gross   20,775   21,008
Balance Net   $ 20,775   $ 20,780
Stated Interest Rate   8.75% 8.75% 8.84%
Effective Interest Rate   8.75%   8.84%
Minetta And Orpheum Theatres Loan [Member]        
Debt Instrument [Line Items]        
Maturity Date   Jun. 01, 2025 Jun. 01, 2025 Jun. 01, 2024
Contractual Facility   $ 7,742   $ 8,000
Balance Gross   7,742   8,000
Balance Net   $ 7,710   $ 8,000
Stated Interest Rate   7.00% 7.00% 8.34%
Effective Interest Rate   7.00%   8.34%
U.S. Corporate Office Term Loan [Member]        
Debt Instrument [Line Items]        
Maturity Date       Jan. 01, 2027
Contractual Facility   $ 8,400   $ 8,401
Balance Gross       8,401
Balance Net       $ 8,356
Union Square Construction Financing [Member]        
Debt Instrument [Line Items]        
Maturity Date   May 06, 2025 May 06, 2025 May 06, 2024
Contractual Facility   $ 55,000   $ 55,000
Balance Gross   47,141   47,141
Balance Net   $ 46,980   $ 46,925
Stated Interest Rate   12.54% 12.54% 12.53%
Effective Interest Rate   12.54%   12.53%
Purchase Money Promissory Note [Member]        
Debt Instrument [Line Items]        
Maturity Date   Sep. 18, 2024 Sep. 18, 2024 Sep. 18, 2024
Contractual Facility       $ 586
Balance Gross       586
Balance Net       $ 586
Stated Interest Rate       5.00%
Effective Interest Rate       5.00%
NAB Australian Corporate Term Loan [Member]        
Debt Instrument [Line Items]        
Maturity Date   Jul. 31, 2026 Jul. 31, 2026 Jul. 31, 2025
Contractual Facility   $ 69,340   $ 68,276
Balance Gross   69,340   68,276
Balance Net   $ 69,195   $ 68,173
Stated Interest Rate   6.10% 6.10% 6.11%
Effective Interest Rate   6.10%   6.11%
NAB Bridge Facility [Member]        
Debt Instrument [Line Items]        
Maturity Date   Mar. 31, 2025 Mar. 31, 2025  
Contractual Facility   $ 13,868    
Balance Gross   13,868    
Balance Net   $ 13,851    
Stated Interest Rate   6.12% 6.12%  
Effective Interest Rate   6.12%    
Westpac Bank Corporate Credit Facility [Member]        
Debt Instrument [Line Items]        
Maturity Date   Jan. 01, 2025 Jan. 01, 2025 Jan. 01, 2025
Contractual Facility $ 18.8 $ 11,988 $ 13.8 $ 8,775
Balance Gross   11,988   8,775
Balance Net   $ 11,988   $ 8,775
Stated Interest Rate   7.95% 7.95% 8.20%
Effective Interest Rate   7.95%   8.20%
Minimum [Member] | U.S. Corporate Office Term Loan [Member]        
Debt Instrument [Line Items]        
Stated Interest Rate       4.44%
Effective Interest Rate       4.44%
Maximum [Member] | U.S. Corporate Office Term Loan [Member]        
Debt Instrument [Line Items]        
Stated Interest Rate       4.64%
Effective Interest Rate       4.64%