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Liquidity (Narrative) (Details) - USD ($)
1 Months Ended 12 Months Ended
May 21, 2025
Feb. 05, 2025
Jan. 31, 2025
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Dec. 19, 2025
Liquidity [Line Items]              
Borrowings due       $ 177,966,000 $ 201,826,000    
Debt current       36,000,000.0      
Cash and cash equivalents       10,531,000 12,347,000 $ 12,906,000  
Working capital       (106,800,000)      
Impairment charges against sites       0 0 0  
Repayment of long-term borrowings       36,759,000 15,298,000 $ 9,667,000  
Nationwide Theaters Corp [Member]              
Liquidity [Line Items]              
Borrowings due       7,648,000      
Long term debt at fair value       $ 7,600,000      
Interest rate       4.75%      
Westpac Bank Corporate Credit Facility [Member]              
Liquidity [Line Items]              
Borrowings due         10,543,000    
Repayment of long-term borrowings     $ 10,500,000        
Bank Of America Credit Facility [Member]              
Liquidity [Line Items]              
Borrowings due   $ 8,700,000   $ 6,200,000 14,699,000    
Repayment of long-term borrowings $ 1,500,000 6,100,000          
NAB Bridge Facility [Member]              
Liquidity [Line Items]              
Borrowings due         12,361,000    
Repayment of long-term borrowings 12,900,000            
Debt extension period       5 years      
US Cinema 1, 2, 3 Term Loan [Member]              
Liquidity [Line Items]              
Borrowings due       $ 19,766,000 20,594,000    
Nine Property Assets [Member]              
Liquidity [Line Items]              
Sale price       $ 197,500,000      
Disposal Group, Held-for-Sale or Disposed of by Sale, Not Discontinued Operations [Member] | Courtenay Central ETC [Member]              
Liquidity [Line Items]              
Sale price     $ 21,500,000        
Disposal Group, Held-for-Sale or Disposed of by Sale, Not Discontinued Operations [Member] | Cannon Park ETC [Member]              
Liquidity [Line Items]              
Sale price 20,700,000            
Disposal Group, Disposed of by Sale, Not Discontinued Operations [Member] | Cannon Park ETC [Member]              
Liquidity [Line Items]              
Sale price 20,700,000            
Emerald Creek Capital [Member]              
Liquidity [Line Items]              
Facility Limit   $ 49,000,000.0     $ 55,000,000.0    
Core Facility [Member]              
Liquidity [Line Items]              
Repayment of long-term borrowings $ 970,000            
Sutton Hill Associates [Member]              
Liquidity [Line Items]              
Long term debt acquired             $ 13,600,000
Short term payables eliminated             $ 7,100,000