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Liquidity and Impairment Assessment (Details) - USD ($)
$ in Thousands
6 Months Ended
Jun. 30, 2024
Dec. 31, 2023
Jun. 30, 2023
Impact Of Covid [Line Items]      
Debt carrying amount $ 210,418 $ 210,300  
Borrowings due 209,229 208,847  
Debt current 58,600    
Cash and cash equivalents 9,242 12,906 $ 15,511
Working capital (93,300)    
Land and property held for sale 36,446 11,179  
Impairment charges against sites 0    
Union Square Construction Financing [Member]      
Impact Of Covid [Line Items]      
Debt carrying amount 47,141 47,141  
Borrowings due 46,938 46,925  
US Cinema 1, 2, 3 Term Loan [Member]      
Impact Of Covid [Line Items]      
Debt carrying amount 20,855 21,008  
Borrowings due 20,770 20,780  
Debt current 21,000    
Westpac Bank Corporate Credit Facility [Member]      
Impact Of Covid [Line Items]      
Debt carrying amount 8,437 8,775  
Borrowings due 8,437 $ 8,775  
Debt current 8,400    
NAB Corporate Loan Facility [Member]      
Impact Of Covid [Line Items]      
Borrowings due 66,800    
Bridge loan 13,400    
Santander Bank [Member]      
Impact Of Covid [Line Items]      
Debt current $ 8,000